John Mihaljevic

    John Mihaljevic

    Trading & Investing · English

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    Who Is John Mihaljevic?

    John Mihaljevic is a respected investment educator, author, and the founder of MOI Global, an international research community for value investors. Best known as the author of The Manual of Ideas: The Proven Framework for Finding the Best Value Investments, John has spent over two decades dissecting the mental models and analytical techniques used by the world's most successful asset managers. As a facilitator of high-level financial education, John's teaching style is deeply collaborative and analytical. He demystifies the complex world of fundamental analysis by breaking down institutional-grade investment frameworks into structured, practical steps. In his course, Value Investing, Taught by Six Superinvestors, John acts as an expert guide, helping students decode the core philosophies of investing legends. His pedagogical approach combines historical case studies with real-world financial statement analysis, ensuring that learners do not just memorize formulas but develop the psychological resilience and critical thinking necessary to identify mispriced securities in any market environment.

    Overview of John Mihaljevic

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    John Mihaljevic's Programs

    Value Investing, Taught by Six Superinvestors bannerHighest rated
    Value Investing, Taught by Six SuperinvestorsStock Market

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    Unlock the secrets of wealth generation with Value Investing, Taught by Six Superinvestors, an exceptional masterclass curated by John Mihaljevic. Designed for aspiring analysts, individual investors, and financial enthusiasts, this course bridges the gap between theoretical market mechanics and practical, real-world wealth accumulation. By studying the distinct frameworks of six prominent stock market icons, students gain a comprehensive understanding of the value investing philosophy pioneered by legends like Benjamin Graham and Warren Buffett. Throughout the lessons, you will learn how to transition from emotional trading to a disciplined, analytical mindset. The curriculum dives deep into identifying intrinsic value, calculating margin of safety, and systematically assessing whether a company is undervalued or dangerously overpriced. Rather than relying on speculative trends, this course teaches you how to conduct fundamental research, utilize professional valuation tools, and confidently manage market volatility. By the end of this journey, you will possess the specialized knowledge required to evaluate investment pitches critically, minimize downside risk, and make self-assured financial decisions that protect and grow your capital over the long term.

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    FAQ

    Answers to what buyers usually ask before enrolling in John Mihaljevic’s courses, pricing, reputation, refunds, and how AllPros scores verified reviews.
    What is John Mihaljevic's professional background in finance?

    John Mihaljevic is the managing director of MOI Global and the publisher of The Manual of Ideas. He has spent years interviewing and collaborating with top-tier global value investors, organizing prestigious investment conferences, and writing acclaimed literature on systematic value investing frameworks.

    What can students expect from his teaching style?

    John utilizes a highly structured, case-study-driven approach. Instead of focusing solely on dry financial mathematics, he emphasizes the qualitative and behavioral elements of investing, teaching students how to think like business owners and evaluate competitive advantages.

    Who are the ideal students for his value investing course?

    This course is designed for aspiring portfolio managers, individual retail investors, and finance professionals who want to move beyond speculative trading. It benefits those seeking to build a rigorous, long-term wealth preservation and growth strategy based on fundamental analysis.

    How does John integrate the philosophies of the Six Superinvestors into the curriculum?

    John distills the distinct strategies of legendary investors, ranging from deep-value models to compounding-focused philosophies. He guides students through comparing these approaches, helping them find the style that best aligns with their own risk tolerance and investment objectives.

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