Investment Analysis Mastery
Learn systematic approaches to market analysis and portfolio management through practical, hands-on experience with real market scenarios and mentorship from seasoned professionals.
Start Your JourneyFrom Confusion to Confidence
Marcus spent months trying to decode market patterns on his own. Charts looked like random noise, and every "sure thing" investment turned into a lesson in humility. He'd read dozens of articles but couldn't connect theory to actual decision-making.
Through our structured program, he learned to break down complex market data into manageable pieces. We started with basic ratio analysis, moved through cash flow patterns, and gradually built up to portfolio construction. Real case studies made abstract concepts click.
Marcus now manages his family's investment portfolio with clear methodology. He doesn't predict the future, but he understands risk better and makes decisions based on solid analysis rather than gut feelings or hot tips.

Three Learning Paths
Choose the track that matches your experience level and time commitment. All programs start in autumn 2025.

Foundations Track
Start with basic financial statement analysis and valuation principles. Perfect for beginners who want to understand what makes companies tick. 16 weeks, weekend sessions.
Applied Analysis Track
Dive deeper into sector analysis, competitive positioning, and portfolio theory. For those with basic knowledge who want practical skills. 20 weeks, evening classes.
Strategic Portfolio Track
Advanced risk management, asset allocation strategies, and market psychology. Designed for serious investors ready to develop their own systematic approach. 24 weeks, intensive format.
Find Your Learning Style
Your Learning Journey
Every program follows a proven progression that builds knowledge systematically while giving you practical experience.
Foundation Building
Start with financial statement analysis and basic valuation methods. You'll work through real company examples and learn to spot red flags in financial reports. No prior experience needed.
Weeks 1-6Market Analysis Skills
Learn to evaluate industries, understand competitive dynamics, and assess market conditions. You'll analyze different sectors and understand how macro factors affect investment decisions.
Weeks 7-14Portfolio Construction
Put it all together by building balanced portfolios. Learn risk management, asset allocation, and how to monitor performance. Work with real market data and current conditions.
Weeks 15-20Independent Practice
Apply your skills to a capstone project where you research and present investment recommendations. Get feedback from mentors and peer review from classmates.
Final 4 weeks