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About me

Hi, I’m Manish Joshi — a CFA and FRM charterholder with over 4 years of experience in financial analysis, portfolio monitoring, and valuation across public and private markets. I started my journey with a deep interest in Economics, graduating with honors from Delhi University, where I was among the top of my class. Over the years, I’ve worked across multi-billion-dollar infrastructure portfolios and built expertise in financial modeling (DCF, LBO, and relative valuation), sector research, and investment frameworks. But beyond my corporate role, I’ve always been passionate about real-world investing — especially understanding how behavioral finance, macro trends, and long-term strategies play out in the equity and real estate space. Having cleared both CFA and FRM with high scores, I’ve mentored peers on these certifications, investment careers, and how to move from theory to practical application — whether it's selecting the right asset allocation, reading macroeconomic signals, or avoiding common investing mistakes. If you’re someone preparing for finance exams, making career transitions, or looking to build a grounded investing strategy — I’d love to help share what I’ve learned.