Core Philosophy
Compounding, equity risk premium, time horizons, and the long-term mindset that underpins everything.
Compounding
How compounding works as the engine of long-term wealth, and why not interrupting it matters more than picking the right stocks.
Equity Risk Premium
The excess return that equities deliver over risk-free assets, and why capturing it requires no special skill — only the willingness to stay invested.
Time Horizon
How the timeframe you choose determines the tools that matter — and why most investors misjudge their own horizon until a drawdown tests it.
Long-Term Mindset
Why equities are the best-performing asset class over long horizons, and why the most powerful strategy is also the simplest: buy consistently, hold patiently, do almost nothing.
Handling Volatility
Why short-term volatility looks terrifying but long-term volatility is surprisingly tame — and how diversification across time smooths the ride.