Wealth
WEALTH
Risk Management. Scalping. Asymmetric Upside.
Scalping & Execution
Open-session frameworks, volatility fit, and stop discipline.
Jan 24, 2026
Scalping the US500: A 15-Minute Strategy for Open Market
A tight, rules-based framework for trading the opening session without getting chopped up.
Jan 26, 2026
Nasdaq 100 (USTEC) vs. S&P 500: Which Index Fits Your Volatility Tolerance?
Compare concentration, sector exposure, and trading behavior for two core US indices.
Feb 2, 2026
The Psychology of the Stop-Loss: Why You Move It (And How to Stop)
Loss aversion and the disposition effect explain the habit. Rules fix it.
Risk & Positioning
Sizing math, leverage control, and journal-grade data points.
Jan 28, 2026
The 1% Rule: Position Sizing to Survive Drawdowns
A survival-first sizing framework that keeps you in the game.
Jan 25, 2026
Why Day Traders Fail: The Math of Over-Leveraging
Leverage magnifies wins and losses. The losses arrive faster.
Jan 29, 2026
Trading Journals: The Specific Data Points You Must Track
A minimalist journal that reveals your edge and your leaks.
Broker & Lending
Loan metrics, refinancing traps, and prop firm constraints.
Jan 27, 2026
How Banks Assess Your Income for a Home Loan (Hidden Metrics)
The serviceability checks lenders use beyond your headline salary.
Jan 30, 2026
Refinancing Myths: When It Actually Costs You More
Rate cuts are not free. Here is how to calculate the real cost.
Feb 1, 2026
LMI Explained: How to Buy a Home with Under 20% Deposit
Understand lenders mortgage insurance before you sign.
Jan 31, 2026
Prop Firm Challenges: Rules That Trap New Traders
The drawdown rules and consistency traps most traders ignore.