Investing
Long-term principles, decision frameworks and portfolio thinking.
Active Investing vs. Passive Investing
A balanced comparison covering costs, decision-making, diversification, time commitment, behavioral risk and long-term objectives.
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Jump into adjacent areas of the publication. Every topic connects to neighboring concepts.
How markets work, from microstructure to global forces.
Understanding drawdowns, leverage, position sizing and volatility.
The software, APIs and infrastructure behind modern finance.
How to evaluate brokers, custody, disclosures and account protections.
Cash, debt, inflation and everyday financial decisions.
A neutral look at Bitcoin, stablecoins and tokenized instruments.
Other reads
What Is Market Drawdown and Why Does It Matter?
Drawdown measures peak-to-trough decline. Understanding it changes how you think about risk, recovery and long-term returns.
How to Evaluate an Online Broker Before Opening an Account
A structured framework covering regulation, custody, fees, execution, withdrawals and the warning signs worth taking seriously.
Futures, Forex and CFDs: Understanding the Key Differences
Three instruments that look similar on a chart but differ fundamentally in structure, regulation, ownership and risk.
