Market tape analysis covering ten scenarios: liquidity, momentum, liquidation monitoring, funding arbitrage, basis monitoring, manipulation risk, order book explanation, slippage simulation, K-line breakout/support–resistance, and liquidity with weekend vs weekday. This skill provides structured market insights by orchestrating Gate MCP tools; call order and judgment logic are defined in references/scenarios.md.
| Liquidity | Order book depth, 24h vs 30d volume, slippage | references/scenarios.md (Case 1) | | Momentum | Buy vs sell share, funding rate | references/scenarios.md (Case 2) | | Liquidation | 1h liq vs baseline, squeeze, wicks | references/scenarios.md (Case 3) |
| Funding arbitrage | Rate + volume screen, spot–futures spread | references/scenarios.md (Case 4) | | Basis | Spot–futures price, premium index | references/scenarios.md (Case 5) | | Manipulation risk | Depth/volume ratio, large orders | references/scenarios.md (Case 6) | | Order book explainer | Bids/asks, spread, depth | references/scenarios.md (Case 7) |