acb-tax-mcp
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TDQS
Scored across 7 tools
Each tool has a clear purpose: calculate_acb runs the full computation, acb_summary gives a lighter holdings view, capital_gains_report lists dispositions per year, schedule3_summary provides aggregated filing lines, check_superficial_losses handles a specific rule, unrealized_gains handles market comparison, and normalize_broker_csv handles data ingestion. There is some overlap between acb_summary and calculate_acb, and between capital_gains_report and schedule3_summary, but each serves a distinct user need.
The naming mixes verb_noun patterns (calculate_acb, check_superficial_losses, normalize_broker_csv) with noun phrases (acb_summary, capital_gains_report, schedule3_summary, unrealized_gains). This is inconsistent but still readable and mostly clear.
7 tools is within the typical range. Each tool has a distinct purpose and covers the domain of ACB/tax calculations well. Not too many, not too few.
The toolset covers input normalization, full ACB calculation, summaries, per-year reports, Schedule 3 aggregation, superficial loss checking, and unrealized gains. Gaps might include things like ACB adjustment events (e.g., return of capital) or tax-loss harvesting suggestions, but for the stated purpose of ACB/tax calculations, it's fairly complete.