Finance With JEFF
Structured equity research, market analysis, and disciplined investment decision-making across Indian capital markets.
Led by Dr. Alagu Vimalesh, Finance With Jeff provides research-driven insights and structured analysis across Indian equities to help investors evaluate opportunities with clarity and risk awareness.

RESEARCH SERVICES
Explore our research-focused services designed around different investment horizons and market requirements.
SWING RESEARCH
Structured equity research for investors seeking medium-term opportunities based on technical, fundamental and market-structure analysis.
- High-conviction swing stock research
- Entry zone
- Target levels
- Stop-loss
- Technical analysis
- Breakout & momentum setups
- Risk/reward assessment
- Periodic updates on active recommendations
- Exit/hold/SL revision updates where applicable
OPTIONS RESEARCH
Research focused on index and stock options, incorporating directional analysis, option strategies, market conditions and risk/reward considerations.
- Index/stock option research
- Directional setups
- Entry/exit levels
- Stop-loss
- Target levels
- Option-strategy research
- Risk/reward framework
- Market-condition analysis
- Position-sizing framework
LONG-TERM EQUITY RESEARCH
Fundamental research designed for investors seeking to identify quality businesses and evaluate their long-term growth potential, valuation and key risks.
- Long-term stock research
- Fundamental analysis
- Business-quality assessment
- Industry/sector analysis
- Financial performance review
- Valuation analysis
- Growth triggers
- Key risks
- Investment thesis
- Periodic research updates
Research Methodology
Our research is based on structured analysis rather than promotional claims. Every view follows a defined 6-stage process combining business fundamentals, technical analysis, valuation context, and risk evaluation.
Fundamental Analysis
Comprehensive evaluation of business fundamentals, balance sheet durability, earnings quality, capital structure, cash flow trends, and corporate governance standards.
Technical Analysis
Multi-timeframe price action analysis, support and resistance mapping, market structure, trend confirmation, and volume flow to contextualize market behavior.
Company & Sector Analysis
Rigorous assessment of industry tailwinds, competitive moat, cyclical drivers, sector rotation patterns, and regulatory developments affecting the company.
Valuation & Market Context
Application of structured valuation frameworks including relative valuation multiples, historical trading bands, peer comparisons, and broader market sentiment.
Risk Assessment
Systematic identification of downside risks, thesis invalidation levels, scenario stress-testing, and strict risk-to-reward parameters before issuing any view.
Research Documentation
Transparent publication of the research thesis with documented analytical rationale, key assumptions, time horizons, and ongoing tracking of material developments.
Research views do not promise or guarantee returns or accuracy. Investments in securities are subject to market risks.
Full Methodology BreakdownAbout Us
Finance With Jeff is an independent research and financial education platform focused on providing structured, research-driven insights into the Indian securities market.
The platform is founded by Dr. Alagu Vimalesh, a dental professional with a BDS and MDS background, who has developed a professional interest and expertise in financial markets, securities research and investment analysis.
Dr. Alagu Vimalesh has successfully completed the following NISM certifications relevant to financial markets and securities research:
The platform's objective is to provide investors with independent, objective and research-based information to help them better understand securities and investment opportunities.
Our research approach may include fundamental analysis, financial statement analysis, business evaluation, valuation, industry and sector analysis, market trends and relevant corporate developments.
Dr. Alagu Vimalesh
OUR APPROACH
- Independent and objective securities research
- Fundamental and financial analysis
- Business and industry evaluation
- Valuation analysis
- Risk-focused investment research
- Clear explanation of the investment rationale and associated risks
We believe that informed investing begins with understanding the business, financials, valuation, opportunities and risks associated with an investment.
Research services are provided subject to applicable regulatory requirements and guidelines. Past performance, where presented, should not be construed as indicative of future results. Investments in securities are subject to market risks, and investors should make decisions based on their own objectives, risk profile and circumstances.
Our objective is to provide transparent, responsible and research-oriented market insights while maintaining appropriate professional and regulatory standards.
NISM CERTIFICATIONS
Relevant NISM certifications completed in the areas of mutual funds, equity derivatives and securities research.

Equity Derivatives Certification
NISM-Series-VIII: Equity Derivatives Certification Examination

Mutual Fund Distributors Certification
NISM-Series-V-A: Mutual Fund Distributors Certification Examination

Research Analyst Certification
NISM-Series-XV: Research Analyst Certification Examination
Certifications represent regulatory qualification examinations administered by the National Institute of Securities Markets (NISM) in the areas of mutual funds, equity derivatives, and securities research. Regulatory registration details will be published upon completion of applicable registration.