Master Advanced Financial Analysis That Actually Works
Skip the textbook theories. Learn the real-world financial analysis techniques that Malaysia's top companies use to make million-dollar decisions. Our hands-on approach focuses on practical skills you'll use from day one.
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What Makes Our Approach Different
We teach the analysis methods that Fortune 500 companies actually use – not outdated academic theories.
Real Company Data
Work with actual financial statements from Malaysian public companies. You'll analyze real merger decisions, investment opportunities, and risk assessments that happened in the market.
Advanced Modeling Techniques
Master Monte Carlo simulations, scenario planning, and sensitivity analysis. These aren't just buzzwords – they're the tools that separate junior analysts from senior decision-makers.
Industry-Specific Focus
Different industries require different analysis approaches. We cover palm oil, manufacturing, technology, and REIT sectors with specialized metrics and benchmarking techniques for each.
Learn From Active Market Practitioners
Our instructors aren't just teachers – they're currently working in investment banking, corporate finance, and equity research.

Cornelis Veldkamp
Senior Financial Analyst & Lead Instructor
Cornelis spent eight years at Maybank Investment Bank before joining our team. He's the guy who built the DCF models for three major IPOs in 2024, including the recent tech company listing that everyone's talking about. His students learn the same Excel tricks and analysis shortcuts he uses in real client work.
What sets Cornelis apart? He brings actual deal experience into every lesson. When he teaches cash flow forecasting, he's using examples from companies he personally analyzed for acquisition targets. His approach focuses on what really matters in professional analysis work.
Step-by-Step Skill Building
We break down complex financial analysis into manageable chunks. Each module builds on the previous one, so you're never overwhelmed.
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1Start with fundamental ratio analysis using real Malaysian company data. You'll spot red flags and opportunities that basic courses miss entirely.
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2Build comprehensive financial models from scratch. No templates – you'll understand every formula and assumption behind professional-grade analysis tools.
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3Practice with case studies based on actual market situations. Recent examples include analyzing the impact of commodity price swings on plantation company valuations.
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4Present your analysis like professionals do. Learn to communicate complex financial insights clearly to both technical and non-technical stakeholders.

Advanced Analysis Methods
Master the sophisticated techniques that set senior analysts apart from the competition.

Multi-Scenario Modeling
Build dynamic models that automatically adjust assumptions based on different economic scenarios. This is the technique that investment banks use for stress testing and strategic planning. You'll learn to create models that can instantly show how changing interest rates, currency fluctuations, or commodity prices affect company valuations.
Risk-Adjusted Returns
Calculate Sharpe ratios, beta coefficients, and value-at-risk measures that professional portfolio managers rely on daily.
Peer Group Analysis
Master the art of comparable company analysis using Malaysian market data and regional benchmarks.

Market Timing Indicators
Learn the technical and fundamental indicators that help identify optimal entry and exit points for investments.
Sector Rotation Strategies
Understand how economic cycles affect different industry sectors and position portfolios accordingly.
Ready to Elevate Your Analysis Skills?
Our next intensive program starts in September 2025. We keep class sizes small (maximum 16 students) to ensure personalized attention and hands-on guidance. Early applications receive priority consideration and access to preparatory materials.