Financial Analysis Built on Real Experience

Since 2018, we've been teaching investment professionals how to read markets through data patterns most analysts miss. Our methods come from years spent analyzing portfolios across volatile Asian markets.

We don't teach theory from textbooks. Every technique we share comes from actual trading floors and client portfolios in Seoul and beyond.

Financial data analysis workspace showing market trends
Investment research and market analysis documentation Professional financial analysis tools and methodology Market data visualization and investment strategy planning

Started During a Market Correction

We launched in late 2018, right when Korean markets were going through significant corrections. Not ideal timing, you'd think. But that volatility forced us to focus on what actually works when predictions fail.

Our founder spent twelve years managing institutional portfolios before switching to education. He noticed the same analytical gaps in every new hire—people could build models but couldn't interpret what the numbers were actually saying about market psychology.

The educational programs we built address that gap. We teach pattern recognition in financial data, risk assessment under uncertainty, and how to communicate findings to non-technical stakeholders who control the capital.

Our students range from junior analysts at Seoul investment firms to professionals transitioning from accounting roles. Most join us because they want practical skills that translate directly to their work, not another certificate to hang on the wall.

How We Teach Financial Analysis

Our method focuses on three areas that separate competent analysts from exceptional ones. These aren't quick skills—each takes months to develop properly.

Data Interpretation

We start with raw financial statements and market data. Students learn to spot inconsistencies, identify trends before they're obvious, and understand what numbers reveal about company health beyond the official narrative.

Risk Modeling

Markets don't follow normal distributions. We teach probability assessment using real historical data from Asian markets—including the patterns that preceded major corrections in 2008, 2015, and 2020.

Strategic Communication

Your analysis means nothing if portfolio managers don't trust it. We train students to present findings clearly, defend their methodology under questioning, and explain complex risk scenarios to executive teams.

Miles Bergman, lead financial analysis instructor

Miles Bergman

Lead Instructor, Portfolio Analysis

Miles spent fourteen years analyzing equity portfolios for institutional clients before joining our education team in 2021. He's particularly good at teaching risk assessment to students who come from pure mathematics backgrounds without market experience.

His teaching style is direct—he'll tell you when your analysis doesn't hold up and explain exactly why. Students appreciate that he uses real cases from his consulting work, with client details removed, to illustrate what happens when analysis meets actual investment decisions.

Outside the classroom, Miles still consults for three investment firms in Seoul, which keeps his teaching grounded in current market conditions rather than outdated textbook scenarios.

Programs Starting Fall 2025

We're accepting applications for our October 2025 cohort. Programs run six to twelve months depending on your starting skill level and time commitment. If you're serious about financial analysis, let's talk.

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