About Us

 AurixFinance News is an independent market research publication dedicated to delivering transparent, data-driven analysis on US equities, macroeconomic trends, and monetary policy. We help individual investors and portfolio managers make informed decisions by replacing sensational headlines with verifiable financial analysis.

 At a Glance:
  •  Founded by a former Wall Street equity research analyst with over 10 years of institutional experience.
  •  100% independent research focused on balance sheets, SEC filings, and central bank data.
  •  Specialized coverage in US macroeconomic trends, AI hardware CapEx cycles, and interest rate mechanics.
  •  Strict editorial standards prioritizing clarity, mathematical modeling, and transparency about risk.

 Why We Started AurixFinance News

 We launched this publication to provide everyday investors with direct access to institutional-quality macroeconomic research and fundamental equity analysis, free of Wall Street paywalls and speculative hype.

 Modern financial media is often filled with clickbait headlines, intraday panic, and superficial market commentary. Most financial websites focus on daily stock price movements while ignoring the structural economic forces that actually drive long-term capital compounding.

 I spent over a decade analyzing equities and macroeconomic liquidity cycles at leading financial institutions. During that time, I saw how major institutions use primary data sources—such as direct SEC EDGAR filings, central bank balance sheet updates, and supply chain reports—to make rational investment decisions.

 We created AurixFinance News to bring that same analytical rigor to self-directed investors, financial advisors, and wealth builders navigating today's complex markets.

 Our Editorial Mission and Research Focus

 Our mission is to translate complex economic data, corporate balance sheets, and central bank actions into clear, actionable investment intelligence.

 We focus on the economic drivers that determine long-term investment outcomes:

  •  Federal Reserve Monetary Policy: Tracking benchmark interest rate paths, quantitative tightening, and Treasury market liquidity to evaluate the true cost of corporate capital.
  •  AI Infrastructure & Technology CapEx: Monitoring multi-billion dollar capital expenditure cycles across semiconductor foundries, data center hardware, and grid energy suppliers.
  •  US Equity Allocation & Valuations: Analyzing free cash flow yields, operating margins, and return on invested capital rather than short-term price momentum.
  •  Fixed Income & Real Yields: Tracking sovereign debt yields, credit spreads, and inflation expectations to help readers balance portfolio risk.

 How Our Research Compares to Mainstream Financial Media

 Here is a side-by-side comparison of how we approach market analysis compared to typical financial news websites:

 Analytical Feature  Typical Financial News Sites  AurixFinance News Standard
 Data Sourcing  Aggregated third-party commentary and press releases  Direct 10-K/10-Q filings, Fed data, and earnings transcripts
 Content Horizon  Intraday market noise and daily price fluctuations  Multi-year macroeconomic cycles and structural business models
 Author Transparency  Anonymous staff writers or automated summaries  Authored by credentialed analysts with Wall Street experience
 Risk Assessment  One-sided promotional narratives  Objective balance-sheet audits with explicit risk warnings

 Our 5-Step Editorial & Verification Protocol

 Every research report published on our platform passes through a rigorous five-stage review process before release:

 1
 Primary Source Data Extraction 

We extract raw metrics directly from official SEC filings, corporate investor presentations, and Federal Reserve economic releases.

 2
 Balance-Sheet & Cash Flow Auditing 

We calculate fundamental ratios including free cash flow conversion, net debt-to-EBITDA, and capital expenditure reinvestment rates.

 3
 Macroeconomic Contextualization 

We stress-test corporate valuations against current interest rate environments, inflation trends, and global supply chain conditions.

 4
 Plain-Language Synthesis 

We translate complex financial models into straightforward, easy-to-read reports using clear language and visual tables.

 5
 Editorial Review & Regular Updates 

Every article undergoes fact-checking and is periodically updated as companies release new quarterly results or macroeconomic conditions evolve.

 Essential Financial Metrics We Track Daily

 Understanding these five key valuation terms will help you get the most out of our research reports:

 1. FCF Yield (Free Cash Flow Yield: A financial solvency ratio that compares free cash flow per share to market price. It shows how much real cash a company produces relative to its valuation.
 2. ROIC (Return on Invested Capital)
  A calculation used to assess a company's efficiency in allocating capital to generate profits. It shows how effectively management reinvests money into growth.
 3. Net Debt-to-EBIT: A measurement of leverage that indicates how many years it would take a company to pay off all debt using its basic operating earnings.
 4. FFR (Federal Funds Rate): 
 The target interest rate set by the Federal Open Market Committee at which commercial banks lend overnight funds to each other.
 5. CapEx Reinvestment Rate: The percentage of operating cash flow that a company directs back into buying physical equipment, computing infrastructure, or building new facilities.

 Lead Strategist & Editorial Leadership

 Stick Demon, CFA

 Founder & Lead Market Strategist at AurixFinance News

 Stick Demon, CFA, is the founder and lead editor of AurixFinance News. With more than 10 years of experience in financial markets, including previous work as an equity research analyst at Goldman Sachs, Stick covers US macroeconomics, technology infrastructure investments, and quantitative equity modeling.

 Throughout his career in institutional research, Stick structured multi-asset portfolio strategies and analyzed central bank monetary policies. He founded AurixFinance News to provide independent investors with analytical tools and clear financial frameworks used by institutional desks.

 Core Expertise:
 US Macroeconomics,  AI Infrastructure, Cap, Ex Corporate Balance-Sheet Model, IN Fixed Income & Duration Strategy

 Frequently Asked Questions About AurixFinance News

 1  Who funds or owns AurixFinance News?

 AurixFinance News is an independent digital publication owned and managed by its founding editorial team. We do not accept sponsored coverage or compensation from the companies we analyze, ensuring our research remains objective.

2. Does AurixFinance News offer individual investment advice?

No. We publish educational analysis, macroeconomic research, and market data for general informational purposes only. We do not provide personalized financial, legal, or tax planning services. Readers should consult a licensed financial professional before making investment decisions.

3  How often do you publish new reports and market updates? publish in-depth research articles multiple times per week in line with major corporate earnings announcements, Federal Reserve rate decisions, and significant economic data releases.

4  How can readers contact the editorial team?

Readers, researchers, and media professionals can reach our editorial team directly through our official website at www.aurixfinancial.com via our dedicated contact page.

5. Where do you source your market data?

We pull our raw data directly from primary regulatory and government filings, including the US Securities and Exchange Commission (SEC), the Federal Reserve Economic Data (FRED) system, and verified quarterly earnings reports.

Editorial Disclaimer: The content provided on AurixFinance News (www.aurixfinancial.com) is for educational and general informational purposes only and does not constitute financial, investment, or legal advice. All investments carry risk, including the potential loss of principal. Always perform your own research and consult with a licensed financial advisor before making any investment decisions.