8+ years and 3,000+ training hours across equity research, valuation, derivatives, and financial modelling — for corporates, professional bodies, and premier institutions in India and internationally.
Gourav's path into finance education started where markets are actually made — as a Privilege Banker at ICICI Bank, then as a Derivative Analyst at Alpha Six Capital, working proprietary volatility, arbitrage, and spread strategies. That practitioner's grounding is what now shapes every program he designs.
Today he is empanelled faculty with NSE Academy and the Institute of Chartered Accountants of India, Adjunct Faculty at IMT Nagpur, and has delivered institutional and corporate learning across India, Dubai, and the wider Middle East — including NDA-governed engagements supporting Big Four-led consulting programs.
He is recognised for one thing above all: translating dense financial concepts — valuation, derivatives, technical analysis — into structured, decision-oriented frameworks that participants can apply the next working day.
Leads corporate and institutional programs across Advanced Excel, Financial Modelling & Valuation, and Applied Finance, including NDA-governed consulting assignments for senior stakeholders.
Delivers Equity Research, Financial Modelling, and Valuation with an emphasis on applied, case-based classroom learning.
Designs corporate workshops across Advanced Budgeting, Financial Statement Analysis, AP Management, and Financial Modelling for finance and non-finance professionals.
Delivers advanced certification programs across Equity Research & Valuation, Fixed Income, Mutual Fund Analysis, and Project Finance to 700+ Chartered Accountants and finance professionals.
Runs hands-on, Excel-driven programs in Financial Modelling, Valuation, Equity Research, and Applied Corporate Finance using real-company case studies.
Delivers corporate programs for ICICI Group employees on Mutual Funds and Financial Markets, backed by Excel-based, practical exercises.
500+ hours delivered across Equity Research, Derivatives, Mutual Funds, and Financial Modelling, including advanced options and volatility-based strategy programs using real-market scenarios.
Delivered international corporate and professional programs across Financial Markets, Equity Research, Fixed Income, Derivatives, and Financial Modelling in cross-cultural, multi-day formats.
Courses in Financial Management, Equity Research, Derivatives & Risk Management, Portfolio Management, Fixed Income, and Corporate Finance.
Designed and delivered 40+ hour programs across Fundamental & Technical Analysis and Derivatives, building independent market-analysis capability using structured frameworks.
Worked a proprietary trading desk implementing volatility, arbitrage, and spread strategies focused on risk-adjusted performance.
Managed affluent client portfolios and drove growth across investment, lending, and insurance products.
Ongoing market commentary and finance education, plus a published guide to technical analysis.
Market commentary, fundamental and technical analysis breakdowns, and practical investing education.
Watch on YouTube →Co-authored guide (2024) to reading price action and building structured, technical trading frameworks.
Find on Amazon →Corporate training, institutional certification programs, and executive workshops — designed around your team's actual working context.