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Categories: NISM

About Course

The NISM-Series-XV: Research Analyst Certification Examination is a mandatory qualification for individuals providing research reports and investment recommendations in India. This SEBI-mandated certification ensures that professionals have the necessary skills to analyze financial statements, evaluate investment opportunities, and prepare research reports. Our comprehensive course equips you with the knowledge and expertise required to excel in the field of equity and investment research.

Why Choose NISM-Series-XV Certification?

Becoming a certified research analyst offers a competitive edge in the finance industry. Here’s how this certification benefits your career:

Regulatory Compliance

A SEBI-mandated certification for professionals offering investment research and analysis, ensuring transparency and ethical standards.

Equity Research Expertise

Develop a strong foundation in financial statement analysis, valuation methods, and stock market research techniques.

Career Growth in Investment Research

Enhance your credibility and unlock opportunities in brokerage firms, investment banks, mutual funds, and financial research companies.

Investor Confidence & Market Insights

Certified analysts are trusted for their ability to provide well-researched investment insights, fostering investor confidence.

Master Fundamental & Technical Analysis

Gain expertise in market trends, technical charting, and fundamental stock valuation to make informed investment decisions.

Meet Your Instructor

This course is led by Bhaskar Konka, a finance expert with over 8 years of experience in equity research, portfolio management, and financial consulting. His insights bridge the gap between theory and real-world investment analysis.

What Will You Learn?

  • Understand the primary role, responsibilities, and essential qualities of a research analyst.
  • Explore securities, market structure, participants, and dematerialization.
  • Learn key terms, bond types, and market dynamics in equity and debt markets.
  • Master technical, fundamental, quantitative, and behavioral approaches to equity investing.
  • Analyze microeconomics, macroeconomics, industry trends, and regulations.
  • Interpret financial statements, assess business models, governance, risks, and ESG factors.

Course Content

INTRODUCTION

  • CONTENTS AND MARKS WEIGHTAGE

CHAPTER 1-3

CHAPTER 4-6

CHAPTER 7-9

CHAPTER 10-13

MOCK TESTS

Student Ratings & Reviews

5.0
Total 2 Ratings
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3 years ago
I truly enjoyed this class and really liked the student-professor interaction. ... The more I learn today, the less risky moves I will make in the future.
3 years ago
Excellent course! Educators are knowledgeable and thoroughly enjoy the topic creating a fun laid-back learning atmosphere. Will take more courses

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