Explore treasuries and agencies, municipals, mortgage pass-throughs and their derivatives, asset-backed securities, and corporate and convertible bonds in this introduction to domestic and international debt markets. Review the basics of pricing, the risk/return characteristics of fixed income and embedded option analysis, bond duration measures, convexity, credit and rating factors, basic portfolio applications, foreign bonds, emerging market debt, Brady bonds and rate swaps, tax and regulatory consequences, and historical returns. Examine the basics of bonds and their evaluation, as well as the market players. Establish a foundation and context for managing fixed-income portfolios. Continuing Education Units (CEU) : 2
You'll walk away with
A foundation and context for managing fixed-income portfolios
An understanding of the bond markets
Ideal for
Professionals with some knowledge of asset management
Students interested in a career in asset management
Upcoming courses
Registration is recommended at least three weeks before the course start date.
Prerequisites
Registration for this course is closed.
Upcoming courses
Registration for this course is closed.
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