Malaysia is growing. Most people are reading it wrong.
A practitioner’s framework connecting GDP, GNI, capital markets, and national direction.
Explore research brief →Research archive
Long-form institutional write-ups connecting policy direction, capital formation, market structure and portfolio consequences. Evidence first; conviction earned.
A practitioner’s framework connecting GDP, GNI, capital markets, and national direction.
Explore research brief →How to engineer a bear put spread around price structure, volatility, strike placement and defined portfolio risk.
Read complete articleDisinflation, resilient demand and early labour-market divergence in the latest macro snapshot.
Read the local briefTracing how Malaysia finances growth through bonds and sukuk before capital arrives in listed-market narratives.
View research summary →A framework for separating political announcement from funded ecosystem development and durable market demand.
View research summary →Translating policy conviction into sector exposure, security selection, risk budget and portfolio implementation.
View research summaryReading implied volatility, skew and term structure as inputs to hedge timing rather than standalone trading signals.
View research summaryMatching collars, put spreads and dynamic overwrites to mandate constraints and drawdown tolerance.
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