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Bond Trading and Portfolio Management (29.11.2018)
Bond Trading and Portfolio Management
MP4 | Video: 1280x720, 30 fps(r) | Audio: AAC, 44100 Hz, 2ch | 1.48 GB
Duration: 3.5 hours | Genre: eLearning | Language: English

Learn to manage Interest Rate Risk in Bond Trading and Bond Portfolio Management





What you'll learn

Through this course we are going to be learning about curve trading, managing interest rate risk and bond portfolio management.
Getting to Grips With Repos and Reverses
The use of Benchmarks in Bond Pricing
Learn in details Bond Portfolio Management

Requirements

Basic Knowledge of Foreign Exchange Market
Passion to Learn and apply fixed income trading concepts
Passion to learn about Insurance concepts

Description

Fixed Income (Bond) valuation and analysis is a strategy or process which is often used by the government or companies to determine the correct market value of the instrument.through this course we are going to be learning about curve trading, managing interest rate risk and bond portfolio management.

The training will include the getting to Grips With Repos and Reverses ,Term Structure of Interest Rates,Yield Curves,The Use of Benchmarks in Bond Pricing,Managing Interest Rate Risk,Curve Trading,Bond Portfolio Management,Investment Skills,Interest Rate Derivatives.

Who is the target audience?

Finance Students
Professionals involved in fixed income trading
Anyone interested in learning about Fixed income trading



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Bond Trading and Portfolio Management (29.11.2018)


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Tags: Trading, Portfolio, Management

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