Master Financial Analysis Through Real Market Experience

Our comprehensive programme bridges the gap between academic theory and practical investment decision-making. You'll work with actual market data, analyse real portfolios, and develop the analytical skills that Australian investment firms demand.

Explore Our Programmes

Data-Driven Decision Making Framework

We've spent years developing an approach that mirrors how successful fund managers actually work. Instead of memorising formulas, you'll learn to spot patterns in market behaviour and understand the stories behind the numbers.

  • Live market simulation with real ASX data feeds
  • Portfolio construction using institutional-grade tools
  • Risk assessment through stress testing scenarios
  • Sector analysis across Australian and global markets
  • Performance attribution and benchmarking techniques
Financial professionals analysing market data and investment portfolios in a modern trading environment

Following Careers Beyond Graduation

Portrait of Kai Thornton, investment analyst and programme graduate

Kai Thornton

Investment Analyst

June 2023

Programme Completion

Completed our intensive financial analysis programme while working part-time at a small accounting firm. The hands-on approach with real market data was exactly what clicked for me.

September 2023

Junior Analyst Role

Started as a junior analyst at Macquarie. The portfolio modelling skills from the programme gave me confidence during the interview process, and I could speak their language from day one.

March 2024

Key Project Leadership

Led the ESG integration analysis for our Australian equity fund. The sector analysis framework we learned became the foundation for evaluating sustainability metrics across different industries.

January 2025

Senior Analyst Promotion

Recently promoted to senior analyst covering mining and resources. The risk assessment techniques continue to be invaluable, especially when analysing commodity exposure and volatility patterns.

Beyond Traditional Analysis

Financial markets have evolved dramatically. We teach you to work with alternative data sources, understand algorithmic trading impacts, and analyse markets through multiple lenses simultaneously.

ML

Machine Learning Integration

Apply statistical models to identify market patterns

ESG

ESG Analytics

Assess sustainability impacts on investment returns

FX

Currency Hedging

Manage foreign exchange exposure in portfolios

VOL

Volatility Modelling

Understand and predict market uncertainty

Learn About Our Methods
Advanced financial modelling workspace with multiple screens showing market analytics and portfolio performance

How We Structure Your Learning Journey

Foundation Phase

Start with market fundamentals and build your analytical toolkit. We cover everything from reading financial statements to understanding how central bank policy affects different asset classes. The pace is intensive but manageable.

8 weeks Core Modules
Students engaged in financial analysis workshop, working with market data and investment calculations

Applied Practice

Work with live portfolios and conduct real market analysis. You'll present investment recommendations, defend your analysis, and learn to communicate complex ideas clearly. This is where theory meets practice.

12 weeks Hands-on Projects
Professional presentation of investment analysis with charts, graphs and financial models displayed on screen

Ready to Transform Your Career in Finance?

Our next cohort begins in August 2025. Limited places available for serious candidates who want to work in institutional investment management.