Mission
Build a deep understanding of blockchain systems, crypto markets, token economics, and investment decision-making. Progress from core concepts to practical research, risk management, security, and portfolio implementation.
Crypto / blockchain fundamentals and practical investing.
~24 hours · 8 courses
Course 1 · ~180 min
Explain how a blockchain records and validates transactions, compare major consensus models, and trace a transaction from wallet submission to confirmation.
Understanding the underlying systems makes it possible to evaluate crypto assets beyond price movements and marketing claims.
Course 2 · ~165 min
Classify common digital assets by function, identify the role of major networks, and explain how tokens derive and distribute value.
Clear asset classification helps distinguish fundamentally different opportunities, risks, and use cases in the crypto market.
Course 3 · ~180 min
Analyze a token’s supply schedule and incentive structure, calculate dilution scenarios, and identify economic strengths and weaknesses in a crypto project.
Token economics can materially affect returns, regardless of whether a project has strong technology or adoption.
Course 4 · ~210 min
Use a repeatable research framework to assess a crypto project’s problem, product, users, competition, team, traction, valuation, and key risks.
A structured research process reduces reliance on hype and creates evidence-based inputs for investment decisions.
Course 5 · ~180 min
Interpret crypto market charts, calculate basic returns and volatility, recognize liquidity conditions, and distinguish long-term fundamentals from short-term price behavior.
Market context helps investors set realistic expectations and avoid making decisions based solely on recent price action.
Course 6 · ~150 min
Set up a safer custody process, verify crypto transactions before signing, recognize common attack patterns, and create an incident-response checklist.
Operational mistakes and security failures can permanently eliminate investment capital even when the underlying investment thesis is sound.
Course 7 · ~195 min
Define an investment policy, size positions using explicit risk limits, create allocation scenarios, establish rebalancing rules, and document an investment thesis.
A repeatable framework turns scattered market interest into disciplined decisions aligned with personal risk capacity and time horizon.
Course 8 · ~165 min
Compare execution methods, estimate fees and slippage, maintain transaction records, calculate portfolio performance, and review decisions against a written plan.
Effective execution and ongoing review help preserve returns, reveal mistakes, and improve future decisions without relying on hindsight.