Three pieces of phone-side feedback:
1. Indicator group tabs wrap onto multiple rows instead of
horizontal-scrolling — every group is visible at a glance. Each
button keeps its own bottom border so wrapped rows stay
visually delimited; the container's bottom border is removed.
2. Portfolio holdings table hides Qty and Avg columns on mobile via
the mobile-hide class (same mechanism as the indicator table).
Remaining columns are the actionable ones: Ticker, Name, Last,
P/L, %.
3. Markets bar at the bottom compacts to one row per chip —
dot + code + change% only. The state word ("open" / "closed")
is implied by the dot colour; the index label, price, and
until-time are dropped on mobile. Grid columns drop their 220px
floor so the full set fits the viewport without horizontal
scroll (previously the bar scrolled within itself).
Containerised macro-strategy dashboard: 4-panel web UI (indicators,
portfolio, flash news, AI strategic log), MariaDB store, hourly
ingestion jobs, OpenRouter-backed AI analysis.
Ports the four prototype scripts in the parent dir (market_pulse,
flash_news, trading212, strategic_log) into async services backed by a
persistent DB and served via FastAPI + Jinja2 + HTMX. APScheduler runs
as a separate compose service for crash-safety and easier restarts.
Portfolio composition + position names come live from Trading 212;
news per-ticker headlines reuse those names. Tone (NOVICE/INTERMEDIATE/
PRO) and analysis style (DRY/SPECULATIVE) are env-configurable and
stored on each log row so historical entries show what produced them.
Default model is deepseek/deepseek-v4-flash (overridable via env).
Light/dark theme toggle, sans-serif for prose surfaces, monospace for
data. Bearer-token auth, OpenRouter monthly cost cap, RSS feeds auto-
disabled on consecutive failures.
Co-Authored-By: Claude Opus 4.7 (1M context) <noreply@anthropic.com>