Investment Analysis Mastery Program

Build practical skills in financial analysis, portfolio management, and strategic investment decisions through hands-on learning and real market scenarios

Start Your Journey

Comprehensive Training Approach

Real-World Investment Analysis

Our program focuses on practical application rather than theoretical concepts. You'll work with actual market data, analyze real companies, and build investment portfolios using current market conditions. Each module connects directly to what professional analysts do daily.

We cover fundamental analysis, technical indicators, risk assessment, and portfolio diversification through case studies from the Bulgarian and international markets. Students learn to evaluate companies across different sectors and understand how economic factors influence investment decisions.

  • 12-week intensive program starting September 2025
  • Live market analysis sessions twice weekly
  • Portfolio simulation with real market data
  • Guest sessions with active fund managers
  • Individual mentorship throughout the program
Students working on investment analysis with charts and financial data displayed on computer screens

Your Learning Journey

From basic concepts to advanced portfolio management in structured phases

1

Foundation Phase

Master financial statement analysis, understand key ratios, and learn to read market indicators. Build your analytical foundation with proven methodologies.

2

Application Phase

Apply your skills to real investment scenarios. Analyze actual companies, evaluate different asset classes, and understand risk management principles.

3

Portfolio Mastery

Build and manage complete investment portfolios. Learn advanced strategies, understand market psychology, and develop your investment philosophy.

Learn From Experienced Professionals

Our instructors combine academic knowledge with practical market experience

Dimitar Kostadinov, Senior Investment Analyst

Dimitar Kostadinov

Senior Investment Analyst

Fifteen years analyzing European markets with focus on emerging economies. Former portfolio manager at major investment firms, now sharing practical insights with next generation analysts.

Elena Marinova, Portfolio Strategy Expert

Elena Marinova

Portfolio Strategy Expert

Specialized in risk management and portfolio optimization. Her approach combines quantitative analysis with behavioral finance principles to build robust investment strategies.

Viktor Georgiev, Market Research Director

Viktor Georgiev

Market Research Director

Expert in fundamental analysis with deep understanding of sector dynamics. Leads our company evaluation workshops and teaches practical valuation techniques.

Ready to Build Your Investment Skills?

Applications for our autumn 2025 program open in June. Early registration includes access to preparatory materials and exclusive market analysis sessions.

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