Methodology
Last updated: 2026-02-27
This page describes the framework behind PARAGON education content. It is not a trading recommendation and does not guarantee outcomes.
1) Mechanics before narratives
- We focus on how derivatives systems work: margin, liquidation, funding, mark price, and order book dynamics.
- We prefer simple models that explain the dominant mechanism, then add nuance.
2) Risk-first decision framing
- Position sizing, downside scenarios, and failure modes are treated as first-class topics.
- We emphasize process: defined invalidation, sizing, and execution constraints.
3) Education structure
- Definition-first openings so readers (and answer engines) can extract a clean answer fast.
- Modular sections: what it is → how it works → why it matters → common mistakes → FAQ.
4) Iteration and maintenance
- Content is reviewed periodically and updated for clarity and accuracy.
- When examples get stale (prices, regimes), we refresh them rather than pretending they are timeless.
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