Fixed Income: Valuation | Instruments | Market Strategies

Master the art of fixed income valuation, pricing, and market strategies to excel in finance and investment analysis.
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Description

Fixed income securities form a cornerstone of financial markets, offering stability and reliable returns for investors. This comprehensive course takes you deep into the world of fixed income instruments, valuation methods, and market dynamics. Whether you're a budding financial analyst, a student of finance, or a seasoned investor, this course equips you with the knowledge and skills to navigate and thrive in the fixed income landscape. With real-world examples, hands-on tutorials, and expert insights, you’ll gain a thorough understanding of bonds, yields, credit analysis, risk management, and fixed income portfolio strategies

What you'll learn

  • Fundamentals of fixed income valuation and pricing.
  • Key concepts like bond yields, duration, convexity, and credit analysis.
  • Market dynamics of global fixed income securities.
  • Advanced pricing techniques, including bootstrapping and swap rate calculations.
  • Portfolio management strategies and risk-return trade-offs.
  • Practical financial modeling for fixed income instruments.

Who this course is for:

  • Finance students and professionals aiming to specialize in fixed income.
  • Investment analysts seeking to enhance their valuation skills.
  • Portfolio managers and financial planners looking to diversify expertise.
  • Anyone interested in understanding fixed income markets and strategies.

Requirements

  • Basic understanding of finance and investment concepts.
  • Familiarity with Excel or similar tools for calculations and modeling.
  • Interest in fixed income markets and a willingness to learn advanced concepts.

Course content

7 sections | 190 lessons