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Explaining stock bond mix. Showing how allocation defines risk more than asset selection.
Explaining his philosophy and impact. Focusing on cost reduction and long term discipline.
Discussing probabilities and underperformance. Explaining skill vs luck.
Explaining why markets crash regularly. Showing historical recovery patterns.
Covering fear, greed, and overtrading. Explaining why emotions are the biggest enemy.
Match money to time. Why short term money should not be invested aggressively.
Explaining correlation and risk spreading. Why concentrated bets feel good but fail statistically.
Explaining pooling, diversification, and simplicity. Why ETFs reduce mistakes.
From the publisher's feed