finans-mcp
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TDQS
Scored across 18 tools
Most tools have distinct targets, but several quantitative/analytical tools overlap: portfoy_risk_analizi, monte_carlo_simulasyonu, and stres_testi_simulasyonu all compute risk metrics (VaR, CVaR) and could be confused. Similarly, sapma_analizi_raporu and korelasyon_raporu both measure analyst divergence. The descriptions help, but the boundaries are slightly blurry.
Tool names are mostly snake_case noun phrases (e.g., kap_son_bildirimler, portfoy_risk_analizi), but rapor_indir follows an object-verb pattern. Prefixes like kap_, spk_, tcmb_, tefas_, openbb_ are applied inconsistently, and no uniform verb_noun or noun_verb structure is maintained across the set.
At 18 tools, the server is on the heavier side but still appropriate for a comprehensive finance domain covering regulatory data, analytics, simulations, and report management. Each tool fills a niche, though a few could potentially be consolidated.
The server covers a broad swath of Turkish financial research: KAP disclosures, insider transactions, regulatory compliance, portfolio analytics, macro data, fund analysis, broker consensus, and simulations. Minor gaps exist (e.g., no dedicated tool for financial statement parsing beyond KAP announcements), but the overall surface is robust and cohesive.