Master the principles of fixed income markets, bond valuation, credit analysis, and portfolio management used in modern investment and banking environments. Learn how professional investors evaluate bonds, measure risk, and manage fixed income portfolios.
This course provides a comprehensive introduction to fixed income investing and the global bond market ecosystem. You’ll begin by exploring how fixed income securities function, how bonds are issued and traded, and how repayment structures and coupon payments influence investment returns. The course also examines the roles of issuers, investors, and market participants across primary and secondary bond markets.
As the course progresses, you’ll learn bond valuation techniques and understand the relationship between bond prices and yields. You’ll analyze money market instruments, floating-rate securities, and key concepts such as duration, convexity, and interest rate sensitivity used to measure fixed income risk and return.
Advanced modules introduce credit analysis, structured finance instruments, mortgage-backed securities, collateralized debt obligations, and arbitrage-free pricing frameworks. You’ll also explore advanced bond pricing models including binomial trees and embedded option analysis used in professional fixed income valuation.
The course concludes with practical portfolio management strategies such as liability-driven investing, term structure analysis, and global fixed income allocation approaches used by institutional asset managers. By the end of the course, you’ll be able to confidently interpret fixed income markets, evaluate bond investments, and apply professional portfolio management techniques in real-world finance scenarios.
This module introduces the fundamental concepts of the fixed income market, including the structure of fixed income securities, repayment mechanisms, and the participants involved in global bond markets. Learners explore how bonds function as debt instruments, understand principal and coupon repayment structures, and examine the roles of issuers and investors in primary and secondary markets.
涵盖的内容
7个视频4个作业
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7个视频•总计67分钟
Introduction to Fixed Income Market•9分钟
Principal Repayment Structure•9分钟
Coupon Repayment Structure•11分钟
Global Fixed Income Market•8分钟
Primary and Secondary Bond Market•8分钟
Types of Issuer of Fixed Income Market•11分钟
Types of Issuer of Fixed Income Market Continues•11分钟
4个作业•总计60分钟
Foundations of the Fixed Income Market•30分钟
Understanding the Fixed Income Ecosystem•10分钟
Global Structure of Bond Markets•10分钟
Key Participants in the Fixed Income Market•10分钟
Bond Valuation Fundamentals
第 2 单元•小时 后完成
单元详情
This module focuses on the valuation of fixed income securities and the relationship between bond prices and yields. Learners explore how future cash flows are discounted to determine bond values and examine the role of money market instruments such as certificates of deposit and floating rate notes in short-term financing.
涵盖的内容
8个视频4个作业
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8个视频•总计72分钟
Fixed Income Valuation•9分钟
Example of Fixed Income Valuation•9分钟
Example of Fixed Income Valuation Continues•4分钟
Prices and Yields•8分钟
Prices and Yields Continue•9分钟
Certificate of Deposite•10分钟
Floating Rate Note•11分钟
Mony Market•13分钟
4个作业•总计60分钟
Bond Valuation Fundamentals•30分钟
Understanding Bond Valuation Concepts•10分钟
Bond Prices and Yield Relationships•10分钟
Money Market Instruments and Short-Term Securities•10分钟
Risk and Return in Fixed Income
第 3 单元•小时 后完成
单元详情
This module examines the relationship between risk and return in fixed income investments. Learners explore sources of bond returns, analyze interest rate risk, and understand how duration and convexity are used to measure bond price sensitivity to changes in interest rates.
涵盖的内容
7个视频4个作业
显示有关单元内容的信息
7个视频•总计64分钟
Understanding Fixed Income Risk and Return•10分钟
Souces of Rturn•8分钟
Interest Rate Risk on Fixed Rate Bonds•10分钟
Approximate Modified Duration•10分钟
Computation of Fixed Income•8分钟
Mony Duration•8分钟
Approximate Convexity•11分钟
4个作业•总计60分钟
Risk and Return in Fixed Income•30分钟
Understanding Risk and Return in Bonds•10分钟
Interest Rate Sensitivity in Bonds•10分钟
Measuring Duration and Convexity•10分钟
Credit Analysis and Risk Assessment
第 4 单元•小时 后完成
单元详情
This module introduces credit analysis as a key component of fixed income investment decision-making. Learners examine how analysts evaluate the financial strength of issuers, apply credit analysis models, and understand the role of asset-backed securities in structured finance.
涵盖的内容
7个视频4个作业
显示有关单元内容的信息
7个视频•总计59分钟
Fundamentals of Credit Analysis•10分钟
Fundamentals of Credit Analysis Continue•8分钟
More on Fundamentals of Credit Analysis•9分钟
Credit Analysis Model•7分钟
Credit Analysis Model Continue•7分钟
Moe on Credit Analysis Model•8分钟
Backed Securities•10分钟
4个作业•总计60分钟
Credit Analysis and Risk Assessment•30分钟
Foundations of Credit Analysis•10分钟
Credit Analysis Models and Evaluation•10分钟
Advanced Credit Modeling Techniques•10分钟
Structured Finance and Mortgage Securities
第 5 单元•小时 后完成
单元详情
This module explores structured finance instruments and mortgage-backed securities used in fixed income markets. Learners examine residential and commercial mortgage loans, understand collateralized debt obligations, and study the arbitrage-free framework used in pricing structured financial instruments.
涵盖的内容
5个视频4个作业
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5个视频•总计39分钟
Residentioal Mortagage Loans•9分钟
Commercial Mortgage•7分钟
Collateralized Debt Obligations•7分钟
The Arbitration-Free Framework•10分钟
Example of The Arbitration-Free Framework•7分钟
4个作业•总计60分钟
Structured Finance and Mortgage Securities•30分钟
Mortgage-Based Securities•10分钟
Structured Credit Instruments•10分钟
No-Arbitrage Pricing Framework•10分钟
Advanced Bond Pricing and Interest Rate Models
第 6 单元•小时 后完成
单元详情
This module introduces advanced techniques used in bond pricing and interest rate modeling. Learners explore binomial tree models for bond valuation, analyze bonds with embedded options, and understand the impact of interest rate volatility on floating-rate securities.
涵盖的内容
6个视频4个作业
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6个视频•总计56分钟
Pricing Bonds using a Binomial Tree•11分钟
Calibrating Binomial Tree•9分钟
Bond with Embedded Options•11分钟
Example of Embedded Options•7分钟
Bond with Interest Rate Volatility•11分钟
Valuation of a Floored Floater•6分钟
4个作业•总计60分钟
Interest Rate Models and Embedded Options•30分钟
Interest Rate Trees and Bond Pricing•10分钟
Bonds with Embedded Options•10分钟
Interest Rate Volatility and Floater Valuation•10分钟
Fixed Income Portfolio Management and Strategies
第 7 单元•小时 后完成
单元详情
This module focuses on strategies used in managing fixed income portfolios. Learners explore the term structure of interest rates, portfolio management techniques, liability-driven investing, and global bond investment strategies used by professional asset managers.
涵盖的内容
13个视频4个作业
显示有关单元内容的信息
13个视频•总计124分钟
The Term Structure and Interest Rate Dynamics•12分钟
The Term Structure and Interest Rate Dynamics Continues•11分钟
More on Term Structure and Interest Rate Dynamics•12分钟
Framework for Fixed Income Portfolio Management•8分钟
Managing Funds Against Bond Markets•9分钟
Managing Funds Against Liabilities•7分钟
More on Managing Funds Against Liabilities•9分钟
Fixed Income Strategies•12分钟
Fixed Income Strategies Continues•11分钟
International Bond Investment•9分钟
Selecting Fixed Income Manager•7分钟
Relative-Value Methodologies for Global Portfolio Management•10分钟
Relative-Value Methodologies for Global Portfolio Management Continues•7分钟
4个作业•总计60分钟
Fixed Income Portfolio Management and Global Strategies•30分钟
Interest Rate Term Structure and Market Dynamics•10分钟
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