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Sushil M.

Analytic Tutor

Newark, DE (19726)

Travel radius
40 miles
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I have formal teaching experience of 6 years. I have a great passion for teaching. I have participated in Chartered Financial Analysis Program. I am a candidate for Level 3 of this program. My focus is on Finance, Statistics and Investments. My technique of teaching is to make the student understand the subject deeply in a practical way.

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Sushil’s subjects

Corporate Training:
Test Preparation:


Do you need to learn:

Financial Statement Mechanics
Financial Reporting Standards
Understanding Income Statement
Understanding Balance Sheet
Understanding Cash Flow Statement
Inventories (FIFO, LIFO, Average)
Long Lived Assets
Income Tax (Deferred Tax Liability, Deferred Tax Asset)
Long Term Liabilities
Operating Versus Capital Leases
Pension Benefits on Balance sheet
Inter-Corporate investments
Multinational Corporate Investments

There is a simple and smarter way to do it.


Do you need to understand:

1. Price Elasticity(Price elasticity of demand & supply, cross elasticity, income elasticity & factors affecting elasticity)
2. Efficiency & Equity(Allocation by market prices, consumer surplus, producer surplus, relationship between CS & PS, optimal resource utilization by market efficiency, deadweight loss, effects of taxes, price control, monopoly & external costs)
3. Markets in action( Market equilibrium, Price ceiling, black market, inefficiencies of minimum wage above the equilibrium, effects of taxes and subsidies on supply, demand and equilibrium)
4. Organizing Production(opportunity cost, explicit cost & implicit cost, Technological & economic efficiency, type of business organization, classification of four types of markets, HHI)
5. Output & Costs(Total, marginal & average product, Total fixed & variable costs, Total, marginal & average costs, decreasing marginal returns, Short & long run costs)
6. Perfect Competition( Price taker demand, profit maximizing output, long run equilibrium output, short run supply curves & external economies & diseconomies of scale)
7. Monopoly & Oligopoly(Legal & natural barriers, price setting strategies, average & marginal cost pricing, importance of product innovation & development & branding, oligopoly games
8. Aggregate Supply & Demand, markets for factors of production and monitoring jobs & the price level)
9. Money & Price Levels ( M1,M2,policy tools of FED Reserve, monetary base, short & long run effects of money supply on real GDP)
10. Inflation( quantitative theory of money supply)
11. Unemployment & Business Cycles(demand pull versus cost push inflation, anticipated & unanticipated inflation, natural rate of un employment, mainstream and real business cycle theory)
12. Fiscal & Monetary Policy
13. Monitoring Jobs & Price Level
14. Economic Growth & its Trends and Accounting( Basics of economic growth, economic growth trends, sources of economic growth, growth accounting, & growth theories)
15. Regulations & Antitrust Policy( regulating natural monopolies, rationales for consumer protection, incentives & cost of regulation, antitrust policy & enforcement)
16. Trading with the world(Patterns & trends in international trade, gains from International Trade, international trade restrictions, case against protection)
17. Currency Exchange rates( Foreign exchange rates quotations, calculations, cross rates, forward rates, & bid-ask spreads)
18. International Parity relations( foreign exchange fundamentals, BOP, monetary & Fiscal policy, international parity relations -interest rate parity, ppp, international fisher relations, foreign exchange expectations,& exchange rate determination)
19. Measuring Economic Activity(GDP, GNP, NNP, output, income & expenditure & Prices)

This can be done in a smarter way.


I am a candidate for Level 3 of Chartered Financial Analysis Program. I will be able to resolve your issues on such a wide variety of finance topics as the following:

Time Value of money
Other investment products
Financial statistics & quantitative finance
Financial statements reporting & analysis (US GAAP Versus IFRS)
Income statements reporting & analysis (US GAAP Versus IFRS)
Cash Flow statements reporting & analysis
Financial Ratios and analysis
Corporate Finance (valuation & planning, determining cost of capital, value based management, project analysis, capital budgeting criteria, estimating ash flows and risk analysis, real options, capital structure decisions & dividends versus share repurchase)
Financing (Debt versus preferred shares versus equity)
Working capital management
Equity Analysis (dividend versus cash flow versus residual income)
Fixed Income Products Analysis (sovereign, municipal, corporate, MBS & ABS)
Derivatives (Forward, futures, swaps & credit default swaps)
Options (types, pricing, valuation)
Asset Allocation
Portfolio Construction & Management and Trading securities

Series 63

Series 63, 65 or 66 is required by FINRA (the regulatory authority in USA) and various states to be eligible to get registered as an investment advisor.
I have had this license since early 2009 and I am a registered investor adviser with Park Avenues Securities since then.
In addition to this I have series 7 with me to get registered as an investment adviser.

Series 7

Series 7 is the one required for getting the license for selling General Securities in USA by FINRA, the regulatory authority of broker dealers.
I have had this license since early 2009 and I am a registered investor adviser with Park Avenues Securities since then.
In addition to this I have series 66 with me to get registered as an investment adviser.


I am sure I will be able to resolve your issues on statistics topics as wide as the following -

Measures of Central tendency
Other measures such as Quintiles, Deciles, Percentiles
Measures of Dispersion such as Range, MAD, Variance Standard Deviation, Semi-variance, Semi-deviation, Coefficient of Variation
Symmetry, skewness & Kurtosis
Arithmetic, Geometric & Harmonic Mean
Covariance & Correlation
Discrete & Continuous Random Variables
Monte Carlo Simulation
Sampling & Estimation-Point and Interval estimates, Confidence Interval
Data Mining & Bias
Hypothesis Testing, t-test, z-test & p value
Advanced Statistics such as-
Correlation Analysis
Linear Regression with one independent Variable
Assumptions of Linear Regression
Coefficient of Determination
Hypothesis Testing
Prediction Interval
Limitations of Linear Regression
Multiple Regression
Predicting Dependent Variable,
Hypothesis Testing,
Adjusted R2
Violations of Multiple regression
Model Specification
Time Series Analysis
Trend models
Autoregressive Time Series
Random Walk & Unit Roots
Moving Averages Time Series Models
ARCH Models
Regression with more than one Time Series

Read all subject qualifications »

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University Of Delhi,New Delhi,India (Medicine)

University of Delhi, New Delhi, India (MD)

CFA Institute, CFA Level 3 (Graduate Coursework)

Great tutor!! Sushil is very professional, extremely patient and a terrific teacher. He is encouraging and takes the time to explain subject matter clearly. I recommend him highly! ...

— Linda from Newark, DE on 12/1/12);

Hourly fee

Standard Hourly Fee: $50.00

Travel policy

Sushil will travel within 40 miles of Newark, DE 19711.

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