Stock Picking Mastery (3 days)

Investing is not a game of luck but of skill and you will be immersing yourself to learn more emotional and analytical strategies necessary to play it well. You will learn how to effectively control emotions when investing and think strategically to manage your capital and timing risks. By the end of the 3 days, you would also be walking away with a proprietary trading technique to exploit market volatility to your advantage. The training will be done through a market simulation test series modelled after real stocks and and events to enhance your competency level and build your confidence when facing the deceptive financial markets.

Time The Stock

Bad timing produces poor results. Equip yourself with an understanding of investment yields to mitigate timing risks.

Circle Of Competence

Learn why it is inexcusable to invest in something that you are not capable of understanding.


Relive a more intense version of VIP simulation and put yourself to the test!

Portfolio Mastery (2 days)

Stock picking alone is insufficient to assure consistent returns from equities over the long term. Here, you will be provided a powerful new system and tool to craft a value-based portfolio that is tailor made for your particular situation. Participants will go through both theory and practical exercises and with an insider's view of the mind of master investors, you will be able to ''borrow'' one of their top analytical strategies to enrich your own portfolio to boost financial success.


Discover why you must improve your competency by taking investing very seriously.

Portfolio Strategy

Learn where your stock sits in your portfolio and how much of it should you hold.

Empirical Backtesting

Leveraging on our softwares, design your own virtual portfolio and see what they’ve done in the past, witnessing the power of systematic portfolio planning in the process.

CAGR Mastery I (2 days)

CAGR Mastery is by far the most popular learning series in our education curriculum and investors, participants will be tested not only on their stock picking, portfolio management skills but also shall be given the challenge to double their capital by the end of the simulation.

8 stocks

You will get a buffet of stocks you can build your portfolio around that have different price movements, financial data, and business models. Organize your portfolio to maximize your returns!


News or Distractions? Data or Deception? Fact or Opinion? How will you separate the wheat from the chaff?


Unlike VIP and SPM’s simulation, this is the real deal. Experience our software to the fullest by immersing yourself in the best stock simulation available in the market!

CAGR Mastery II (2 days)

Prepare to weather the storm as plenty of traps and false signals akin to those setup by real market manipulators are built in to test participants to the vulnerabilities often induced by market noise and rumormongers. Word of caution - we take no responsibility in the emotional pressure and distress you may be subjected to bear. We do however, promise a rewarding, self-reflective outcome and an award certificate at the end of completing both challenges.

8 stocks

Once again, you’ll get a buffet of stocks to choose from. However, choose wisely..

Mental Torture

Unlike CAGR Master I, the leniency in our mental games will greatly reduce. Feel an intensity that you’ve never experience before!


Similarly, you will undergo a simulated stock market environment, but at triple the rigour and excitement!


CEO of EquitiesTracker Holdings Bhd

He is the creator of Research Portal and the EquitiesPortfolioManager Portal and he co-Authored Value Investing and Portfolio Management educational series, which is the first and only structured course on Value Investing in the region. currently provides fundamental data of Malaysian & Singapore listed companies to international data aggregators, investment banks and brokerages. Alvin has served on a board of an ASX listed company and has experience in fundraising. Alvin is currently involved in tracking undervalued listed companies in Malaysia, Singapore & Australia and lectures extensively. Alvin believes in long-term wealth creation via value investing and proper portfolio management techniques.

Chair/Business Coach

Prior to his recent retirement, Boh held the position of Deputy Group Chief Executive Officer of Khind Holdings Berhad, a company listed on the Kuala Lumpur Bursa. Joining Khind Holdings Berhad in 2011, Boh was responsible for the day-to-day operations of the entire group and also has been instrumental in assisting the Group’s Chief Executive Officer in managing and executing the Khind Group’s business strategies in Malaysia, Singapore, Hong Kong, China, the Middle East and North Africa.

Previously, Boh was the Financial Controller of INTI Universal Holdings Berhad from 1996 to 2002 before starting a career with Education Ventures Sdn Bhd (“EV”), a company involved in Early Childhood education, as Deputy Group General Manager. He was promoted to the position of Chief Executive Officer (CEO) in January 2003.

He returned to the INTI Group in October 2006 as Chief Financial Officer (CFO), and was then promoted to the position of Chief Operating Officer (COO) in September 2007. In February 2009, he was appointed to a new portfolio as Managing Director of INTI University College.

Aged 57, Boh is professionally qualified as an accountant with The Association of Chartered Certified Accountants (ACCA). He is also a Member of the Malaysian Institute of Accountants (MIA). He also holds an MBA from the University of Bath. He has more than 30 years of commercial experience in various sectors including taxation, construction, manufacturing and education.

Easy Payment RM2,995
(RM500 installment for the next 12 months)

Full Payment RM8,995

Upcoming Workshop Details:

Stock Picking Mastery (SPM) - 29-31 October 2021
Portfolio Mastery (PM) - 18-19 December 2021
CAGR Mastery 1 (CAGRM1) - 12-13 February 2022
CAGR Mastery 2 (CAGRM2) - 05-06 March 2022