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Jagannathan Janakiraman FRM Level 1 & 2, CFA Level 1, Derivatives Expert
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Objective: *********
1)To help candidates in gaining expertise over Market Risk / Credit Risk / Capital Markets domain to crack the Investment Banking Interviews.

2)To help candidates with their Finance/ Banking / Risk (Credit & Market Risk ) / Derivatives / Bond Valuations assignments.

3)To help to candidates who are new to capital markets - must know concepts to trade and other Know How? concepts

4)To help candidates to prepare their Risk Management / Banking & Finance / Capital markets Related Examination.

Fee Structure:

Candidates are encouraged to pay only if they are convinced with their objective or target is met . No upfront payment is required .I work based on Trust model

Current Candidates Base :

1)Currently I help candidates in New jersey, London & Netherlands / Middle east regions to crack the investment banking interviews
2) I help the candidates on assignments - who are attending their MBA / RISK / Banking classes to Banking/ Market Risk / Credit Risk and their finance functions and explain them the essential concepts to secure Good Grades on Exam

Few Words About Tutor

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Jagan started his capital markets career at 2007 .Prior to joining Bond (Fixed Income) Investment Portfolio Group, he was responsible for implementing BASEL III, U.S.SCCL, FRTB regulations functionalities.

He have been involved in central trading Risk Management Desk activities for Derivatives (exotics) Trading portfolios.
He have been associated with Global banks such as Deutsche Bank, State Street in his career.

Jagan is certified Financial Risk Manager (FRM) from Global Association of Risk Professionals (U.S.)
and Chartered Financial Analyst (CFA) Level II candidate (U.S.) equivalent to Capital Markets Activity Level I License; (Turkey), fulfillment of SPS Regulation 114-2005 (Peru)

He received the Master’s degree (M.B.A) in Finance from VIT University at India and a BBA in Finance from the VIT University.

Here our major objectives are to spread financial literacy, clear the misconception about stock markets and provide right guidance to traders and Investors. We achieve our objectives through various ways such as posting insightful contents on our blog - site, conducting informative seminars and webinars as well as offering "Practical mentorship training program for aspiring traders" *********

Subjects

  • Corporate Finance Beginner-Expert

  • Risk Management Beginner-Expert

  • Stock Market Trading Beginner-Expert

  • Portfolio Management Beginner-Expert

  • Technical analysis Beginner-Expert

  • Options Strategy Trading Beginner-Expert

  • Fundamental analysis Beginner-Expert

  • Futures Options Beginner-Expert

  • Finance Derivatives Beginner-Expert

  • Banking & Insurance Accounting Beginner-Expert

  • Finance Analytics Beginner-Expert

  • Investment banking Beginner-Expert

  • Nifty and bank Nifty option selling Beginner-Expert

  • Investment Analysis and Portfolio Management Beginner-Expert

  • Derivative market Beginner-Expert

  • Fixed Income Securities Beginner-Expert

  • Finance and Banking Beginner-Expert

  • MBA Finance

  • CFA Exam

  • Bonds Beginner-Expert


Experience

  • AVP (Jan, 2010Feb, 2020) at One of the Leading Bank of India, Mumbai

Education

  • Financial Risk Management By GARP (U.S) (Jan, 2017Aug, 2020) from Financial Risk Manager - BOTH YEAR COMPLETE,BOTH
  • Chartered Financial Analyst Level 2 (May, 2014May, 2020) from CFA institute, US
  • NSE Certified capital market professional Level 2 (Apr, 2010Aug, 2012) from NCFM Certification
  • Master of Business administration (Apr, 2007Aug, 2012) from Vit, Vellore

Fee details

    1,5004,000/hour (US$17.9647.90/hour)

    No Upfront Fee is expected from candidates . I encourage paying the fees only if the candidates is satisfied with the class / Assignments/ Projects post the sessions


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