Matthew Farley

Matthew Farley

Expertise: Fundamental Analysis, Technical Analysis

Education: Bachelor of Business Studies, Economics, Auckland University

Awards & Accomplishments: Financial Modeling & Valuation Analyst (FMVA)

Matthew Farley is a stock analyst and journalist who aims to bring a rational voice to the financial markets. He has written for publications such as the Motley Fool, Seeking Alpha, and New Scientist magazine, among others. Matthew has a particular interest in creating low-volatility portfolios and dividend investing.

Matthew spent most of his career in financial technology startups before he began writing about the markets in 2018. As such, he is long on cryptocurrencies and related Web 3.0 technologies, AI, large language models (LLM), and other disruptive platforms that are leading humanity forward.

Matthew’s investment philosophy is to build wealth slowly, preserve capital, and let compounding do the heavy lifting for you. As such, he owns shares in many blue-chip, established “boring” companies that have been around for decades with some adventurous incursions thrown into risky moonshots (as he’s still young).

Recent Articles

3 International Dividend Aristocrats to Diversify Your Portfolio 

Explore international dividend aristocrats for portfolio diversification, combining steady dividend growth with exposure to global markets.

Hidden Gems: 3 Overlooked Dividend Stocks in Emerging Markets

Explore emerging markets dividend stocks with potential for capital appreciation and income generation, benefiting from rapid growth.

Get Your Money Out of These 3 REITS by 2025

Explore reasons to consider divesting from these REITs to sell by 2025 due to sector-specific challenges and high debt levels.

7 Wind Stocks With Tailwinds as Gale-Force Growth Continues

Explore wind stocks with growth potential as the industry benefits from clean energy policies and technological advancements.

GOOG Stock Risk: How Probes and AI Scrutiny Could Shape Alphabet’s Future

Explore potential impacts of increasing regulatory scrutiny on Alphabet stock and other tech giants, particularly in Europe.