01Markets & cyclesCorrections, crashes, bull and bear markets, volatility and the evidence behind long-term return claims.
02Investor behaviourPanic selling, missed market days, financial literacy and the mistakes that appear when markets become stressful.
03Costs & brokersBrokerage charges, transfer fees, cash treatment and whether common platform claims survive closer scrutiny.
04Practice & simulationWhat paper trading and market simulators can teach, where they fall short and how closely they resemble live markets.
05Funds & portfoliosETFs, diversification, index-fund costs and the assumptions hidden inside familiar portfolio advice.
06Information qualityWhere beginners look for answers, how accurate those answers are and what reliable investing education requires.