MiroMint Academy
Master the mechanics of financial algorithms, quantitative models, and valuation frameworks. Transition from raw data filters to institutional-grade stock intelligence.
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📚 Financial Dictionary
Instantly resolve financial metrics, quant formulas, options variables, and indicators in our glossary database.
Search Glossary Terms →Relative Strength Index (RSI) Deep Dive
Learn how the Relative Strength Index measures stock price momentum, identifies overbought or oversold conditions, and signals potential trend reversals.
Decoding Stock Valuations: P/E, PEG, and CAPE Ratios
Master the fundamentals of stock valuation. Learn to calculate and analyze the Price-to-Earnings, PEG, and Shiller CAPE ratios to spot value traps.
Intro to Quantitative Strategies & Factor Investing
Explore the mathematical foundations of quantitative finance, algorithmic trading, and how institutional factor models evaluate market risk.
Beta & Systematic Risk Management
Learn to measure portfolio sensitivity relative to the market. Understand systematic vs. unsystematic risk and implement professional hedging strategies.
Autonomous Stock Screening with AI Scoring
Learn how MiroMint’s AI algorithms process technical indicators, fundamental balance sheet metrics, and news sentiment to generate real-time stock scores.
Options Pricing & Options Chain Mechanics
Learn the fundamentals of options contracts, understand options chains, and master the key variables that dictate options premiums.
Dividend Growth Investing: Yield, Payout Ratios & Avoiding Yield Traps
Master the mechanics of dividend investing. Learn how to evaluate dividend safety, payout ratios, dividend aristocrats, and avoid high-yield value traps.
Moving Averages Deep Dive: SMA, EMA, Golden Cross & Death Cross
Understand the difference between Simple and Exponential Moving Averages. Learn how to trade moving average crossovers and identify major trend reversals.
Navigating Earnings Season: EPS Beats, Revenue Surprises & Guidance
Learn how corporate earnings announcements move stock prices. Master the breakdown of top-line revenue, bottom-line EPS, and corporate forward guidance.
Small-Cap vs. Large-Cap Stocks: Risk, Reward & Liquidity Dynamics
Compare the risk-reward profiles of small-cap, mid-cap, and mega-cap stocks. Learn how liquidity, institutional ownership, and market cycles impact valuations.
ETF Investing vs. Individual Stock Picking: Building Portfolio Strategy
Explore the trade-offs between passive index ETF investing and active individual stock selection. Learn about expense ratios, diversification, and core-satellite strategy.
Macroeconomics for Traders: Federal Reserve Rates, Inflation & Stock Prices
Understand how macroeconomic forces drive stock valuations. Learn how Federal Reserve interest rate policy, CPI inflation, and bond yields move stock markets.
Portfolio Diversification & Asset Correlation Matrices
Learn Modern Portfolio Theory (MPT). Calculate correlation coefficients across assets to minimize portfolio variance without sacrificing expected returns.
Reading Financial Statements: Balance Sheets, Income & Cash Flows
A fundamental guide to analyzing corporate SEC filings. Learn to read Income Statements, Balance Sheets, and Cash Flow Statements to spot financial strength.
Understanding the VIX Index: Market Fear, Volatility & Hedging
Learn how the CBOE Volatility Index (VIX) measures market risk. Understand how to interpret VIX spikes and use volatility metrics to hedge equity portfolios.
MiroMint Screener Mastery: Building High-Alpha Quantitative Filters
Learn step-by-step how to construct high-probability stock screens using MiroMint's AI scoring engine, technical momentum filters, and fundamental balance sheet ratios.