Independent analysis
Research & Analysis
Evidence-led market briefs, company analysis, earnings intelligence, and macroeconomic context.
Rebalancing Without Guesswork: A Practical Rule for Portfolio Drift
A practical framework for choosing rebalancing reviews, drift thresholds and trade destinations while accounting for cash flows, taxes and costs.
6 min read
How to Evaluate Dividend Stocks for Long-Term Income
Evaluate dividends through business quality, cash generation, balance-sheet capacity, payout policy, valuation, and portfolio fit.
3 min read
Treasury Yields and Rate Expectations: A Practical Guide
Read the Treasury yield curve carefully, distinguish market pricing from forecasts, and connect maturity changes with portfolio risk.
2 min read
Bitcoin Support Levels: How to Read Them Without Certainty
Treat chart support as a conditional observation, verify the market and data source, and account for crypto liquidity, leverage, venue, and custody risks.
3 min read
What Is Dollar-Cost Averaging?
Understand how scheduled investing works, why it can improve discipline, and when its opportunity costs and limitations matter.
3 min read
Bitcoin Halving: Supply Mechanics and the Limits of History
Understand what the Bitcoin halving changes in the protocol, what it does not determine, and how to evaluate historical market claims responsibly.
3 min read
Bitcoin Market Cycles: Evidence Without the Hype
Study Bitcoin market history without treating four-year narratives, halving dates, or past returns as a forecast.
2 min read
How to Size a Crypto Position: A Risk-First Method
Translate a predefined loss limit into crypto exposure while accounting for volatility, slippage, leverage, liquidation, venue, and custody risks.
3 min read
Stablecoins: Reserves, Redemption, Counterparties, and Yield Risk
Evaluate a stablecoin through its legal claim, reserves, redemption path, governance, operational dependencies, and the risks behind any advertised yield.
3 min read