К содержимому
learnspaceYOUR NEXT CHAPTER
ПРОСТРАНСТВО ОБУЧЕНИЯ
ГлавнаяКаталог курсовМоё обучениеCoursera

Знания без границ

Учитесь у лучших университетов и компаний мира.

Открыть Coursera
Интеграция
Пространство университета
Моё пространствоСтраница курса
↵
ЯЛичный кабинетСтудент
© 2026 LearnSpaceКаждый день — возможность узнать больше.Помощь
Fixed Income Analysis & Pricing Techniques · LearnSpace
Назад в каталог
courseraБизнес

Fixed Income Analysis & Pricing Techniques

Курс от EDUCBA
Уровень не указан≈ 4.5 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

Master fixed income pricing strategies to evaluate bonds, manage risk, and make informed investment decisions. Learn how to apply advanced valuation techniques used in real financial markets. This course provides a practical, step-by-step approach to bond pricing and fixed income analysis. You will learn how to analyze bond cash flows, calculate prices using discounted cash flow methods, and interpret yield measures and price–yield relationships. Through advanced modules, you will apply duration and convexity to measure interest rate sensitivity and reinvestment risk. The course also explores complex instruments such as callable, puttable, convertible, and mortgage-backed bonds, along with portfolio duration management strategies. You will further connect fixed income pricing with broader valuation techniques, including enterprise valuation and relative valuation methods like EV/EBITDA. By the end of the course, you will be able to evaluate fixed income securities, apply financial modeling concepts, and support strategic investment decisions in dynamic market environments. Ideal for finance professionals and aspiring analysts, this course builds advanced analytical skills for careers in investment management, treasury, and capital markets.

Навыки, которые вы освоите

Portfolio ManagementBusiness ValuationFinancial ModelingCredit RiskCash FlowsMortgage LoansSecurities (Finance)Capital MarketsFinanceFinancial MarketIncome StatementFinancial AnalysisInvestment ManagementRisk AnalysisMarket DynamicsPortfolio Risk

Программа курса

2 модулей · 20 учебных материалов

01Foundations of Bond Valuation & Risk11 материалов

Core Bond Pricing Mechanics

Bond Pricing FundamentalsВидеоEstimating Discount Rate & Credit SpreadВидеоClean Price vs Dirty PriceВидеоCore Bond Pricing MechanicsЗадание

Yield & Interest Rate Risk Measurement

Учитесь у экспертов

EDUCBA

Преподаватель курса

Fixed Income Analysis & Pricing Techniques
В каталоге вашей программы

Инвестируйте в себя

Новые знания — в удобное для вас время.

Начать на Coursera

Обучение откроется на Coursera
в новой вкладке

Обучение на Coursera

≈ 4.5 ч

2 модулей

Язык: Английский

Часть программы вашего университета
Bond Pricing: Premium, Par & DiscountВидео
Yield to Maturity & Yield MeasuresВидео
Bond Duration ConceptsВидео
Yield & Interest Rate Risk MeasurementЗадание
Pricing a Corporate Bond: Yield, Risk & Duration DecisionsDIALOGUE
Foundations of Bond Valuation & RiskЗадание
Determining Fair Value and Interest Rate Risk of a Corporate BondDIALOGUE
02Advanced Fixed Income Analytics & Valuation Applications9 материалов

Portfolio Risk & Modeling Applications

Portfolio Duration & Embedded OptionsВидеоBond Valuation Modeling (Excel-Based)ВидеоPortfolio Risk & Modeling ApplicationsЗадание

Valuation Beyond Pricing – Relative & Enterprise Approaches

Multi-Stage Dividend ValuationВидеоRelative Valuation & MultiplesВидеоEnterprise Value & Asset-Based ValuationВидеоValuation Beyond Pricing – Relative & Enterprise ApproachesЗаданиеAdvanced Fixed Income Analytics & Valuation ApplicationsЗаданиеEvaluating and Recommending a Fixed Income Investment StrategyDIALOGUE