Finance Thesis Stress Test
SkillMonitoring & opsPressure-test an investment or operating thesis by attacking assumptions, downside paths, invalidation conditions, and monitoring triggers.
Available today. Use it from your connected AI after setup.
No other account needed.
Connect ahel once, and every AI you use reads what you have installed.
Then ask your AI: use the Finance Thesis Stress Test skill
What this skill tells your AI
The instructions your AI receives, as published by contextgo/contextgo in src/process/resources/skills/finance-analyst-pack/skills/finance-thesis-stress-test/SKILL.md and read by ahel’s review.
Use this skill when the real job is not building the case, but trying to break it.
Use when
- A thesis or recommendation already exists.
- The user wants to know what could make the thesis fail.
- A management or investment case needs stronger downside discipline.
Do not use when
- No thesis exists yet.
- The task is only to summarize financial statements.
- The user wants comfort rather than challenge.
Stress-test rules
- Attack the assumptions doing the most work.
- Distinguish thesis risk from valuation risk.
- Name invalidation conditions explicitly.
- End with monitoring triggers, not just abstract caution.
Workflow
1. Restate the current thesis
Write the thesis as clearly as possible:
- what the user believes
- what must go right
- what valuation or outcome the view depends on
2. Identify the pressure points
Common stress points:
- revenue growth durability
- margin sustainability
- cash conversion
- leverage and refinancing risk
- customer concentration
- cyclical exposure
- management execution risk
- competitive response
3. Build downside paths
For each pressure point, ask:
- what if this assumption is too optimistic
- how quickly would the thesis weaken
- what would show up first in the numbers
4. Define invalidation and monitoring
The answer should explicitly state:
- what would invalidate the thesis
- what would reduce confidence
- what would increase conviction
- which metrics or events should be monitored next
Output format
Return:
1. Thesis under review
- current thesis
- core assumptions
2. Pressure points
- assumption
- failure mode
- why it matters
3. Invalidation map
- what breaks the thesis
- what weakens it
- what would strengthen it
4. Monitoring triggers
- metrics or events to watch next
Use together with
finance-dcf-valuationfinance-investment-memofinance-investment-screening
Signals
- GitHub stars
- 54
- Forks
- 5
- Last commit
- May 2026
Advanced
- Catalog kind
- skill
- Gateway key
finance-thesis-stress-test- Source
- github.com/contextgo/contextgo