Finance & Commerce

Markets

Fintech & Investment Analytics

Twelve weeks at the intersection of code and markets. Pull market data, build and honestly backtest a strategy, and report risk the way a desk would demand.

Curriculum

  1. Week 1

    Market data

    APIs, cleaning, returns and survivorship bias.

  2. Week 2

    Portfolio maths

    Risk, correlation, drawdown, Sharpe.

  3. Week 3

    Backtesting

    Building tests that do not lie to you.

  4. Week 4

    Project build

    Strategy, dashboard and risk write-up.

What you walk away with

  • A backtested strategy with a risk report
  • A market data pipeline in Python
  • A portfolio analytics dashboard

How the stipend works for Fintech & Investment Analytics

Overfitted backtests are marked down. Score 90+ and you receive the full ₹6,800.

  • 01

    Curriculum Completion (20 pts)

    Finish all lessons and pass the module checkpoints.

  • 02

    Project Quality (60 pts)

    Graded by your mentor on craft, correctness and clarity.

  • 03

    Engagement (20 pts)

    Live Q&A attendance and peer reviews inside your cohort.

Your score, your payout

  • 90–100100% of max stipend₹6,800
  • 75–8970% of max stipend₹4,760
  • 60–7440% of max stipend₹2,720
  • Below 60Not yet eligible — resubmit to improve