Volatility Explained
An intermediate explanation of what volatility actually measures, why it clusters, how it affects risk and pricing, and why unmanaged volatility—not volatility itself—is the real danger.
Support & Resistance
An intermediate breakdown of support and resistance that explains them as behavioral zones, not exact prices, and shows how professionals use them to frame risk and decision-making.
Technical Analysis
An intermediate explanation of technical analysis stripped of hype, focusing on trends, volume, support and resistance, and how professionals use charts to manage risk—not predict prices.
How Professionals Evaluate a Stock
An intermediate look at how professional investors evaluate stocks—focusing on expectations, business quality, scenarios, and risk rather than predictions.
Taxes & Trading
An intermediate guide to how taxes quietly erode trading performance, why turnover matters, and why after-tax returns—not gross gains—define real success.
Why Most Traders Lose
An intermediate, data-driven explanation of why most traders lose money, focusing on costs, risk management, behavioral bias, and structural disadvantages—not intelligence or effort.