Market Analysis
Market trends, economic indicators, sector analysis, and data-driven perspectives on equity and fixed income markets.
Market trends, economic indicators, sector analysis, and data-driven perspectives on equity and fixed income markets.
Core financial concepts explained clearly. Compound interest, risk-return tradeoffs, tax-efficient investing, and building a solid foundation for wealth creation.
Welcome to PascalFi.
This blog is built around a simple idea: investing decisions should be driven by data, not emotion. Named after Blaise Pascal, whose work on probability theory changed how we think about uncertainty, PascalFi applies quantitative thinking to practical investing.
Portfolio construction, asset allocation, diversification principles, rebalancing tactics, and risk management frameworks for building resilient investment portfolios.
Systematic, data-driven approaches to investing. Factor models, backtesting strategies, statistical analysis, and algorithmic decision-making for portfolio management.