For informational & educational purposes only — not investment advice
Education · Library

Investing, from first principles.

A growing library of plain-English explainers. Written the way we think about these ideas internally — structured, practical, free of jargon, and intentionally boring where that serves the reader. No fees, no sales pitch. Just frameworks.

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01Beginner · Portfolio

How to build a portfolio

Why allocation matters more than selection. Sizing, diversification, and the architecture questions to settle before buying a single asset.

12 min readRead →
02Intermediate · Risk

How to manage risk

The simple mental models that matter: asymmetric payoffs, drawdowns, leverage, and why your risk budget is smaller than you think.

9 min readRead →
03Intermediate · Markets

Understanding market cycles

Cycles are not predictions. A framework for locating where prices, earnings and sentiment sit relative to history — and what that implies.

14 min readRead →
04Beginner · Portfolio

Asset allocation basics

Trade-offs between income and growth, liquidity and return, concentration and diversification — with worked examples on a blank sheet.

10 min readRead →
05Beginner · Behaviour

The behaviour gap

Why investors tend to earn less than the funds they own. The mechanics of panic, anchoring, and loss aversion — and how to design around them.

8 min readRead →
06Intermediate · Portfolio

Rebalancing without regret

When rebalancing helps, when it hurts, and how to think about tax friction, bands vs. calendars, and the humility of not forecasting.

11 min readRead →
07Advanced · Risk

Thinking in probabilities

Base rates, expected value, Kelly, and what it really means when you hear "risk-adjusted return." A primer for intuitive probabilistic thinking.

16 min readRead →
08Intermediate · Markets

Reading a balance sheet

The five lines that matter most, how debt hides, and what a healthy balance sheet looks like across sectors — from banks to utilities.

13 min readRead →
09Advanced · Markets

Valuation, with humility

DCF, multiples, and why every valuation is a story about the future. A short guide to ranges, margins of safety, and the limits of precision.

18 min readRead →
10Beginner · Risk

What is volatility, really?

Volatility is not the same thing as risk. A plain explanation, why standard deviation is a weak proxy, and what to watch instead.

7 min readRead →
11Intermediate · Behaviour

Compounding, patiently

The math is trivial; the temperament is rare. Why time in the market beats timing, and what compounding looks like on a real timeline.

9 min readRead →
12Advanced · Portfolio

Building a concentrated book

When concentration helps, when it hurts, and how great investors have historically sized their highest-conviction positions.

15 min readRead →

More topics are on the way.

New explainers are added as we write them. If there's a specific concept you'd like us to cover — drop us a note and we'll add it to the queue.