Last visit was: 28 Apr 2026, 21:35 It is currently 28 Apr 2026, 21:35
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Score: Plan to take the GMAT
GPA: 9.59
Pre-MBA industry: Finance: Investment Banking
Post-MBA industry: Finance: Investment Banking
HEC Paris
HEC MSc in International Finance
HEC MSc in International Finance
4 months ago
12 Dec 2025 05:12
ESSEC
ESSEC Master in Finance
ESSEC Master in Finance
R1, 2027
4 months ago
12 Dec 2025 05:12
4 months ago
12 Dec 2025 05:12
Banking, Finance & Accounting Coursework  Completed academic coursework in Corporate Accounting, Cost Accounting, Financial Markets & Services, Business Finance, and International Finance, developing a strong foundation in banking and financial operations.  Gained exposure to Financial Statement Analysis, Income Tax, GST, and Legal Aspects of Business, enhancing understanding of financial reporting, compliance, and regulatory frameworks.  Studied Security Analysis & Portfolio Management, strengthening analytical and decision-making skills relevant to financial services. Goldman Sachs Excel Simulation (January 2024)  Completed a simulation focusing on advanced Excel techniques, including data cleansing, manipulation, and conditional formatting.  Gained proficiency in applying Excel for financial data analysis and reporting. Avishkaar Finalist (February 2024)  Reached the final round of the "Synergies for Tomorrow" national conference at CMS - Jain University. Best Presenter Award (March 2024)  Recognized for outstanding presentation and analysis during the "Open Book Open Web (OBOW)" simulation at CMS - Jain University.  Demonstrated strong communication, critical thinking, and data interpretation skills. CFA Level I Candidate (Exam Date - May 2026)  Enrolled in the CFA program to develop expertise in investment management, financial modeling, and ethical standards in finance. KEY PROJECTS Equity Research & Valuation: Maruti Suzuki India Ltd.  Conducted a comprehensive valuation using DCF, relative valuation (EV/EBITDA, P/E), and sensitivity analysis on WACC and terminal growth.  Analyzed historical financials, ratios, and common-size statements; built financial forecasts and estimated intrinsic value. Marketing Portfolio Performance Analysis: Indian Equities vs NIFTY 50  Built and analyzed a weighted stock portfolio using Python; compared returns, volatility, and Sharpe Ratio with NIFTY 50 benchmark.  Visualized performance trends using time-series plots to evaluate risk-adjusted returns over a 1-year period. India vs France: Macro-Economic Trends (2015–2024)  Compared macroeconomic indicators (GDP growth, inflation, FDI, interest rates) using data from IMF, World Bank, and RBI.  Summarized 8 years of trends into a visual report highlighting key economic contrasts between the two nations.
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