Associate Instructor
Victoria Collin
Victoria spent the first 13 years of her career in Equity Research covering various sectors in Emerging Markets, Europe and the US. She was runner-up in the Wall Street Journal’s ‘Best on the Street’ for her coverage of the US Household & Personal Care sector in 2010. After moving to work assisting start-ups and early stage companies, Victoria helped refine entrepreneur’s investment propositions and coached companies in the best ways to raise finance. During this time she also qualified as an Independent Financial Adviser – Victoria holds a Diploma in Regulated Financial Planning, specialising in investments and securities.
Victoria's Blogs
Adjusted Funds from Operations (AFFO)
November 26, 2024
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EBITDA Margin
November 18, 2024
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Forward Contract
November 17, 2024
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Earned Premium vs. Unearned Premium
November 4, 2024
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Closet Indexing
October 16, 2024
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Investment Banking Superdays
October 15, 2024
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Private Equity Resume Template
October 14, 2024
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Customer Acquisition Cost
October 14, 2024
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Dividend Discount Model
October 10, 2024
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Cost Behavior
October 9, 2024
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What Is an Underwriting Syndicate?
October 8, 2024
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Venture Capital Resume Template
October 8, 2024
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Form 10-K
October 8, 2024
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Statement of Retained Earnings
September 30, 2024
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Series A, B and C Funding
September 30, 2024
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13-Week Cash Flow Model (TWCF)
September 27, 2024
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Walk me Through an LBO Model – Interview Question
September 27, 2024
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10 Largest US & European Mergers and Acquisitions in History
September 10, 2024
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Merger Waves
September 10, 2024
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Walk Me Through A DCF – 5 Steps
September 10, 2024
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LBO Model Template
September 9, 2024
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Initial Public Offerings (IPO) Model Template
September 9, 2024
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Portfolio Optimization
September 9, 2024
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Venture Capital Due Diligence Checklist
September 2, 2024
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Bull Market vs. Bear Market
September 2, 2024
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What are Circular References in Financial Modeling
August 30, 2024
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Private Equity Transaction Timeline
August 30, 2024
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Expected Returns
July 24, 2024
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A Day in the Life of an Investment Research Analyst
July 24, 2024
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What are Convertible Securities
July 5, 2024
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Portfolio Rebalancing
July 5, 2024
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Financial Modeling Errors
June 27, 2024
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SEC Filings
June 17, 2024
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30+ Key Excel Functions for Finance
June 14, 2024
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Venture Capital Interview Questions: The Full Guide
June 10, 2024
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Portfolio Turnover
June 10, 2024
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Credit Analyst Career Path
May 29, 2024
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Financial Modeling Best Practices 2024
May 23, 2024
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Macroeconomic Indicators
April 12, 2024
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Risk and Return
March 4, 2024
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Diversification
January 3, 2024
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Asset Management Interview Questions
December 21, 2023
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Asset Management Career Path
December 19, 2023
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Portfolio Analysis
November 22, 2023
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Fixed Income Portfolio Management
October 17, 2023
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Investment Policy Statement (IPS)
September 18, 2023
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What is Asset Management
September 4, 2023
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Portfolio Risk Management
June 15, 2023
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Moody's
March 1, 2023
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Investing Fee
December 21, 2022
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Corporate Social Responsibility
December 21, 2022
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ESG Ratings Methodology
December 14, 2022
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Investment Management Career Path
December 14, 2022
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Private Equity Career Path
November 1, 2022
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Corporate Finance or Finance Function Career Path
October 3, 2022
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Investment Banking Vs. Investment Management
August 31, 2022
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Private Equity Funds
August 31, 2022
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Investment Banking Vs. Hedge Fund Management
August 3, 2022
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Organic Sales Growth
July 29, 2022
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Rolling Return
July 22, 2022
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Fiduciary
July 22, 2022
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Liquidity
July 22, 2022
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Types of Roles in Asset Management
July 20, 2022
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Investment Banking Vs. Asset Management
July 20, 2022
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Investment Banking Vs. Private Equity
July 19, 2022
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Ultra-Short-Term Funds Guide
July 1, 2022
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Socially Responsible Investing (SRI)
June 29, 2022
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Dividends and Net Asset Value
June 9, 2022
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Investment Research
June 8, 2022
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How to Get a Job in Equity Research?
May 26, 2022
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Assessing Liquidity and Capacity for Mutual Funds
April 29, 2022
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Floating Rate Funds
April 22, 2022
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What is a Long-Short Equity Strategy?
March 29, 2022
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How Asset Management Companies Make Money
March 25, 2022
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Venture Capital Trusts
March 11, 2022
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Survivorship Bias
March 11, 2022
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Government Bond Yield Curve
March 3, 2022
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How Does Inflation Affect Investments?
March 3, 2022
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Index Investing
February 15, 2022
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Wealth Management
February 15, 2022
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How To Get A Job In Asset Management?
January 25, 2022
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VIX – CBOE Volatility Index
January 18, 2022
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Carbon Pricing
January 14, 2022
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Portfolio ESG Metrics
January 14, 2022
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Net Interest Income
January 13, 2022
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Islamic Finance (or Faith-Based Investing)
January 11, 2022
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Hedge Fund vs. Private Equity
January 11, 2022
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Feeder Fund
January 7, 2022
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ESG in Credit Analysis
January 7, 2022
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ESG Integration
January 6, 2022
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ESG Funds
January 4, 2022
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The Role of a Portfolio Manager
December 21, 2021
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Hedge Fund Analyst
December 21, 2021
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Total Return Investing
December 10, 2021
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Hedge Fund Performance
November 26, 2021
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Build an Error Free Model
November 26, 2021
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The role of a Portfolio Manager and how to break into the industry?
November 19, 2021
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How a Deal Team Works in Investment Banking
November 19, 2021
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Investment Banking Divisions
November 19, 2021
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A Day in the Life of an Investment Banking Analyst
November 16, 2021
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Delayed Draw Term Loans
November 12, 2021
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Carried and Promoted Interests
November 10, 2021
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Global Economics – Trade Advantages
November 10, 2021
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Global Economics – Balance of Payments
November 10, 2021
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Multi-Asset Funds
November 9, 2021
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Target Date Funds
November 9, 2021
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Equity Swaps
November 5, 2021
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Hedge Fund Strategies
November 5, 2021
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Absolute Return Strategies
November 5, 2021
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Top-Down Forecasting
October 29, 2021
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Positive vs Negative Screening
October 25, 2021
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Sovereign Wealth Funds
October 25, 2021
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Stress Test - Financial Modeling
October 25, 2021
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How Hedge Funds Work
October 22, 2021
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Market Overview of US vs. EU
October 22, 2021
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Hedge Funds vs Mutual Funds
October 22, 2021
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Hedge Fund Investors
October 22, 2021
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Quality Investing
October 19, 2021
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Other Equity Investment Vehicles
October 19, 2021
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Investment Trusts
October 15, 2021
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Credit Risk
October 15, 2021
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Synergies
October 14, 2021
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Financial Modeling Assumptions
October 12, 2021
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Momentum Investing
October 11, 2021
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Divestiture Modeling
October 11, 2021
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Credit
October 11, 2021
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Collateralized Loan Obligations
October 1, 2021
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What is Ratio Analysis?
October 1, 2021
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Corporate Lending
September 29, 2021
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Bankruptcy
September 29, 2021
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Coupon Types
September 29, 2021
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Financial Stability
September 29, 2021
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Spreads and Shifts
September 29, 2021
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Term Structure of Interest Rates
September 28, 2021
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Determination of Interest Rates
September 24, 2021
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Derivative Financial Instruments
September 24, 2021
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Financial Instruments
September 24, 2021
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Attribution Analysis
September 23, 2021
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Options Pricing Models
September 23, 2021
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Horizontal Analysis
September 23, 2021
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London Interbank Offered Rate (LIBOR)
September 21, 2021
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International Fixed Income Markets
September 17, 2021
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How to Build a Merger Model
September 17, 2021
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Discount Factor
September 17, 2021
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Money Market Funds
September 17, 2021
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Eurobonds
September 15, 2021
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Free Cash Flow to Firm
September 10, 2021
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Vertical Analysis
September 10, 2021
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Leading, Lagging & Coincident Economic Indicators
September 10, 2021
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Financial Forecasting
September 10, 2021
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Shareholder Activism
September 7, 2021
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Ratings and Spreads
September 3, 2021
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Money Markets
September 3, 2021
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Foreign Exchange
September 3, 2021
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Thematic Investing
September 3, 2021
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International Bond Markets
September 3, 2021
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Foreign Exchange Markets
September 3, 2021
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UN Sustainable Development Goals
September 2, 2021
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Asset Based Lending - Definition
September 2, 2021
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Ethical Investing
September 2, 2021
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Sensitivity Analysis
September 1, 2021
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Performance Attribution
August 31, 2021
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Modern Portfolio Theory
August 26, 2021
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Inflation and Bonds
August 25, 2021
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Impact Investing
August 24, 2021
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Style Based Investing
August 23, 2021
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Equally Weighted Index
August 20, 2021
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Bond Pricing
August 20, 2021
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Asset and Liability Management
August 19, 2021
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Scenario and Sensitivity Analysis
August 19, 2021
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LBO Model
August 13, 2021
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Fiscal Policy
August 13, 2021
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Equity Indices
August 13, 2021
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Debt Capacity
August 13, 2021
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DCF Terminal Value Formula
August 13, 2021
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Cyclical Markets/Stocks
August 13, 2021
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Commodities Investing
August 13, 2021
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Bond Characteristics
August 13, 2021
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Earnings Season
August 6, 2021
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Portfolio Performance
August 6, 2021
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Risk Adjusted Measures
August 6, 2021
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How to Build a Financial Model
August 6, 2021
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International Diversification
July 23, 2021
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Sector Funds
July 23, 2021
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Types of Risks in Investing
July 9, 2021
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Primary and Secondary Markets
July 9, 2021
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Inflation and Stock Prices
July 7, 2021
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Large Cap, Mid Cap, and Small Cap Stocks
July 2, 2021
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Emerging Markets
July 2, 2021
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Value Investing
June 28, 2021
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Growth Investing
June 28, 2021
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Investment Strategy
June 21, 2021
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Growth Vs Value Investing
June 21, 2021
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Efficient Market Hypothesis
June 9, 2021
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Goals-Based Investing
June 9, 2021
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Risk Based Performance Measures
June 9, 2021
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Stock Splits
June 9, 2021
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Mezzanine Debt
June 4, 2021
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Portfolio Management
May 28, 2021
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High Yield Bonds
May 28, 2021
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Government Bonds
May 28, 2021
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Top-Down Investing
May 21, 2021
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Growth Stocks
May 21, 2021
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Market Cap Weighted Index
May 19, 2021
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Fundamental or Bottom-Up Investing
May 18, 2021
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Seed Equity
May 14, 2021
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Capital Gain
May 10, 2021
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Information Required for Transaction Comparables
May 10, 2021
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Funds from Operations - REITs
April 28, 2021
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Market Value
April 28, 2021
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Credit Rating
April 27, 2021
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Equities vs. Bonds
April 26, 2021
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Dividend Stocks
April 20, 2021
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