Advanced Financial Analysis Program

Master sophisticated analytical techniques used by Taiwan's leading investment professionals. Build expertise in valuation models, risk assessment, and market analysis through hands-on learning with real Asian market data.

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Financial professionals analyzing market data and investment strategies

Why This Program Works

Most finance courses teach theory. We focus on what actually happens in Taiwan's investment firms. You'll work with the same Bloomberg terminals, valuation models, and analytical frameworks that professionals use daily.

  • Live market analysis using Taiwan Stock Exchange data
  • DCF modeling with real company financials from TSMC, Hon Hai, and other major firms
  • Risk management techniques adapted for Asian markets
  • Portfolio construction strategies for high-net-worth clients
  • ESG integration methods specific to emerging markets

Three-Phase Learning Structure

Each phase builds practical skills that investment professionals actually need. We skip the academic fluff and focus on techniques you'll use from day one.

1

Foundation Analytics

Financial statement analysis, ratio interpretation, and cash flow modeling using Taiwanese company examples. Learn to spot red flags that automated screening tools miss.

2

Valuation Mastery

Build sophisticated DCF models, comparable company analysis, and precedent transaction studies. Handle currency considerations and emerging market risk premiums.

3

Advanced Applications

Portfolio optimization, scenario modeling, and client presentation techniques. Practice with actual case studies from Taiwan's wealth management sector.

Learn From Active Practitioners

Our instructors still work in the field. They bring current market insights and real challenges from Taiwan's financial sector.

Financial analysis instructor

Viktor Andersen

Senior Portfolio Manager

15 years managing institutional portfolios across Asia-Pacific markets. Former head of equity research at two major Taiwanese investment banks.

Investment strategy specialist

Catalina Rossi

Risk Management Director

Specializes in emerging market risk frameworks and ESG integration strategies. Built risk models for three major family offices in Taipei.

Market analysis expert

Astrid Johansson

Quantitative Analyst

Former Bloomberg quantitative researcher with deep expertise in Asian equity markets. Develops proprietary screening algorithms for institutional clients.

Ready to Start?

Our next cohort begins in September 2025. The program runs for 16 weeks with both weekend workshops and weekday evening sessions to accommodate working professionals.

1

Application

Submit your background and goals. We review each application individually.

2

Interview

Brief conversation to ensure the program matches your objectives.

3

Begin Learning

Join your cohort and start building practical financial analysis skills.

Students collaborating on financial modeling exercises in classroom setting
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