Tarun Satsangi has been an active Financial Market participant as Head Research, Trader, Financial Planner, Research Analyst, Fund Manager, and Trainer. He worked with so many renowned organizations such as Mansukh Security & Finance Ltd, Bonanza Portfolio Ltd, GFM and Globe Capital Market Ltd in last 15 years. In this capacity he had been handling team of Financial Planners & Analysts and engaged with senior policymakers and top-level management in companies and the business community on the Research, Fund Management & Business Development policy framing keeping in view the domestic and international business environment.
Mr Satsangi is seasoned Commodity and Forex Research professional with rich and diverse experience in precious & base metals, energy, agri commodities, forex, future trading and hedging. Expert in identifying mispriced assets and sentiment & scenario analysis.
He has been very prominent face and frequent speaker in business media as Commodity Expert on many renowned channels like Zee Business, ET Now and CNBC Awaaz. He has done more than 2000 shows with various channels and also conducted various client seminars, training & development program.
Mr Satsangi has been felicitated with reputed "India's Best Market Analyst Award" in commodities organised by Zee Media for 3 consecutive years, awarded by then Hon’ble Finance Minister, Mr Pranab Mujherjee in 2012, awarded by then Hon’ble Chief Minister of Gujarat, Mr Narendra Modi in 2013” and awarded by Hon'ble Railway Minister, Mr Suresh Prabhu in 2014. He had also received "Ishan Award 2012" for exemplary performance in corporate sector, awarded by Freddy Svane, Ambassador of Denmark to India. AIAC also awarded Mr Satsangi "Gems of India" award in 2014 for his contribution in Commodities and Currency Research.
He has been awarded Post Graduate Diploma in Finance from IIMT, Greater Noida and M.Com from Dr Bhim Rao Amedkar University, Agra. He has certifications from NSE BSE & MCX as well.
During his 15 years association with Financial Market and Media houses, he has worked extensively on Commodities, Equities, currencies, Derivative Markets and other financial instrument, such as Precious Metal Movement, Equity Market Movement, Derivative Strategy, debt restructuring, Corporate Tax Planning, foreign direct investment in transition economies, capital account liberalization, growth, and the role of good governance in the development processes & emerging industry scenario.
He strongly holds the philosophy of Minimizing risk with Maximum Return on the basis of Quantitative & Qualitative Research.