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| Item Details | Price | ||
|---|---|---|---|
Cohort programs where you model, trade and pitch real cases, then walk out with a capstone you can show.
Read a company, build a thesis, and value it. Teardowns, three-statement models, DCF and a published report.
Turn an investor's goals into a defensible portfolio. Risk and return, the efficient frontier, asset allocation.
Go from your first SIP to a real fund portfolio. SEBI categories, NAV and XIRR, scheme-document teardowns.
Master money end to end, from payslip to plan. Budgets, safe UPI and credit, goals, insurance.
The full-depth track: structured notes, question banks and complete mock exams for each series.
Mutual Fund Distributors Certification, learned the gamified way.
Research Analyst Certification Examination, with full mock papers.
Equity Derivatives Certification Examination, futures and options in depth.
Exam-shaped prep across every series we cover, built to get you certified without the filler.
Currency Derivatives Certification.
Registrars to an Issue and Share Transfer Agents (Corporate).
Mutual Fund Distributors Certification.
Depository Operations Certification.
Securities Operations and Risk Management Certification.
Equity Derivatives Certification.
Securities Markets Foundation Certification.
Research Analyst Certification.
Commodity Derivatives Certification.
Alternative Investment Fund Managers Certification.
Category I and II AIF Managers Certification.
Category III AIF Managers Certification.
Short, self-paced courses to build knowledge and confidence. No card needed.
Two learners, the same brief, opposite calls — defended live in front of judges and a room of peers.
Structured, mentor-led internships where the output is work you can actually show.
Cover a company end to end and publish a research note.
Work through fund selection, categories and scheme documents.
Build and defend allocations against real constraints.
Turn money basics into content and workshops people trust.
Everything else Fin Maverick runs, over on the main site.