From Academic Research to Real-World Financial Decision-Making
Prof. Tzachi Tabor bridges the gap between economic theory and practical execution. Lectures and workshops that break down psychological barriers and provide employees and executives with clear, practical financial knowledge.
Prof. Tzachi Tabor is a researcher and lecturer specializing in finance, capital markets, and behavioral economics, with over 70 academic publications in leading international journals. Alongside his research, he has been an active capital market investor for over 15 years. From this combined experience, one central insight emerged: the difference between a successful investor and an unsuccessful one is not intelligence, but personal discipline and the ability to eliminate emotion. His lectures and workshops make complex financial concepts accessible, equipping participants with clear, practical, and systematic tools for more responsible decision-making.
In a world where financial information is everywhere, the real challenge isn't finding more data—it's knowing what matters, what to ignore, and how to make decisions under uncertainty. The lectures and workshops equip participants with a clear financial language, a deep understanding of capital market mechanisms, and practical tools to identify cognitive biases, manage risk, and make well-reasoned, grounded decisions.
Filtering out noise and focusing on key data
Identifying cognitive biases, market noise, and impulsive decisions
A clear framework for taking action under uncertainty.
A practical introductory lecture for company-wide employees and managers, requiring no prior financial background. The lecture debunks major capital market myths, introduces essential financial terminology and market mechanisms, and teaches the first calculated steps toward entering the world of investing.
Especially suited for companies, organizations, and employee committees.
The 10-15-30 Method A 60-minute deep-dive lecture based on Prof. Tzachi Tabor's new book, The 10-15-30 Portfolio, available internationally on Amazon. The lecture unveils the AGS Model—his proprietary systematic framework for managing risk in the capital market—combining academic research, practical experience, and a structured methodology.
Ideal for management teams, finance-minded employees, and audiences seeking a structured methodology.
An interactive, hands-on 3-hour deep-dive workshop dedicated entirely to implementing the 10–15–30 (AGS) method. Moving beyond theory, participants gain practical experience and build a personalized strategic foundation.
Ideal for executive forums, study groups, and investors seeking real-world, practical application.
Presents a systematic framework for portfolio management, grounded in quality, momentum, and risk discipline. The book bridges academic research, practical experience, and the AGS methodology, translating them into clear, structured, and actionable insights for investors, executives, and organizations. It serves as the foundation for 'The 10-15-30' keynote and the Masterclass workshop.
Now Available Internationally on Amazon
Prof. Tabor masterfully bridges deep professional expertise with practical, actionable tools, turning a complex and intimidating topic into something clear, accessible, and directly relevant to every participant. Attendees walked away with a clearer understanding of the investment world and the confidence to continue learning and applying these insights.
Moran Bar-Tal, Director of the Career Development & Training Center, Dean of Students Office, Max Stern Yezreel Valley College