2026

How Ronald Read and Strategic Stock Picking Can Unlock Your Financial Freedom
Financial Education

How Ronald Read and Strategic Stock Picking Can Unlock Your Financial Freedom

Strategic stock picking focuses on identifying Wealth Generating Companies (WGCs) characterized by sustainable earnings growth, high ROIC, and durable competitive moats. The historical precedent of Ronald Read demonstrates that long-term discipline and dividend reinvestment often outperform aggressive trading. In 2026, amidst high market volatility, transitioning toward low-cost ETFs offers a diversified alternative to individual equity […]

A Generational Opportunity: Why I Am Aggressively Doubling Down on Constellation Software (CSU) Amidst Extreme Market Fear
Investment Portfolio

Constellation Software (CSU): Why I Am Aggressively Doubling Down on This Generational Opportunity Amidst Extreme Market Fear

As of January 2026, Constellation Software (CSU) is experiencing a historic 40% drawdown, driven by market fears that Generative AI will disrupt Vertical Market Software (VMS). However, CSU’s fundamentals remain record-breaking, with a Forward PER of 19x and Price-to-FCF of 18x—valuation levels not seen since 2014. With the weekly RSI at extreme oversold levels, the

Is the Stop Loss Obsolete? Why in 2026 I Use Hedging as My Antifragile Shield
Strategies

Is the Stop Loss Obsolete? Why in 2026 I Use Hedging as My Antifragile Shield

In 2026, the rise of predatory HFT algorithms has turned the traditional stop loss into a liability by facilitating institutional “liquidity sweeps.” Drawing from Nassim Taleb’s principles of antifragility, this analysis argues that fixed exits make portfolios fragile to market noise. Conversely, hedging serves as a robust alternative, capping losses without realizing them prematurely, thus

Why I Am Long VIX in 2026: Buying the Insurance Policy No One Wants
Trading Portfolio

Why I Am Long VIX in 2026: Buying the Insurance Policy No One Wants

As of January 2026, the S&P 500 is trading at a dangerously stretched Forward P/E of 22.0x, far exceeding its 30-year historical average of 17.1x. Despite prevailing market euphoria, technical indicators and VIX term structure (Volatility) suggest an imminent mean reversion. I am strategically positioned Long VIX to capitalize on Q1 seasonality and looming macro

The Secret to Financial Freedom: Dollar Cost Averaging
Financial Education

Dollar Cost Averaging: The Secret to Financial Freedom

In 2026, wealth preservation requires a strategic shift from fiat currencies to hard assets. The SPDR S&P 500 ETF Trust (SPY) has surged approximately 1,500% since 1993, while the US Dollar’s purchasing power has plummeted by over 50%. Utilizing Dollar Cost Averaging (DCA) into broad-market indices, Gold, and Bitcoin is the most effective strategy to

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