Most people settle for the average, or gamble on hype.

There is a third way

Learn to spot a great business before the crowd does, buy it with a margin of safety, and hold it through the fear while it compounds.

Architecture of Wealth is the complete, documented system used to build a multimillion-dollar portfolio, growing 24% a year.

Now it's yours to learn, in hardcover, or ebook.

HARDBACK + DIGITAL $97

(1st EDITION SOLD OUT)

(HEIRLOOM EDITION, 1st Print, ONLY AVAILABLE AUG 15th-17th)

DIGITAL ONLY $57

(Or read FREE 1st Chapter First) -> READ HERE <-

DOES THIS SOUND LIKE YOU?

For investors who are almost (but not entirely) satisfied with their returns, and can't figure out what's missing.

You do the reading. You own some stocks. You're not reckless. But something isn't clicking, and you can't name what. This book was written as an antidote for that exact feeling.

A few of the questions it answers, and where:

◆ If you keep selling stocks that soar the moment you let them go, See page 166.

◆ If you own thirty stocks and could honestly explain maybe six of them, See page 62.

◆ If you sold at the bottom of the crash and swore you'd never do it again, See page 40.

◆ If a stock looks cheap on its P/E and only keeps getting cheaper, See page 136.

◆ If you never seem to have cash on hand when the market goes on sale, See page 72.

◆ How to spot a company whose profits are about to explode, before the crowd does. See page 124.

◆ If a 200-page annual report loses you by page 40, See page 130.

◆ If you can read an income statement but still can't tell a great business from a mediocre one, See page 112.

◆ If management keeps “growing earnings” while your slice of the company quietly shrinks, See page 118.

◆ If you jump to a new strategy every two years and wonder why nothing ever compounds, See page 190.

◆ How to know when doing absolutely nothing is the smartest move you can make. See page 178.

◆ What to actually do, hour by hour, during a bear market. See page 184.

THE THIRD WAY

You've been handed two ways to invest, and both cost you.

1/ Give your money to an index fund and take the average.

2/ Gamble it on hype and hope.

There is a third way, the one the wealthy use: own a small number of exceptional businesses, buy them with a margin of safety, and hold them for years while they compound. It sounds simple. It's difficult to live, and nobody teaches it as a complete, learnable craft.

This book does.

WHAT'S INSIDE

230 pages, 4 parts, and 30 chapters that take you from your very first share to a seven-figure portfolio.

By the end, you'll know how to:

◆ Tell a great business from a mediocre one, from its moat to its margins to its management

◆ Read financial statements like a story, and value a stock with a margin of safety

◆ Read a 10-K in under two hours and pull out the twenty pages that matter

◆ Concentrate your money in seven to twelve companies and hold them through the fear

◆ Build a war chest of cash and deploy it into market crashes

◆ Tell the difference between volatility and real risk, so you never sell at the bottom again

◆ Ignore the macro noise that wrecks most investors

◆ Know when to sell, and when doing nothing is the smarter move

◆ Handle the psychology of a portfolio once it grows large

◆ Place yourself on the ten levels of wealth, and set a dated target to climb them

HARDBACK + DIGITAL $97

(1st EDITION SOLD OUT)

(PRINT ON DEMAND, ONLY AVAILABLE AUG 15th-17th)

the heirloom edition, made to be handed down.

DIGITAL $57.

read it tonight.

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