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Fixed Income Portfolio Management Analysis · LearnSpace
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Fixed Income Portfolio Management Analysis

Курс от EDUCBA
Уровень не указан≈ 16.5 чАнглийский
О курсеНавыкиПрограммаПреподаватели

О курсе

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.

Навыки, которые вы освоите

Portfolio ManagementRisk AnalysisCapital MarketsFinancial ModelingMortgage LoansCredit RiskInvestment ManagementSecurities (Finance)Asset ManagementSecurities TradingInvestment BankingFinancial AnalysisLending and UnderwritingFinancial MarketDerivativesInvestmentsReturn On InvestmentLoansRisk ModelingPortfolio Risk

Программа курса

7 модулей · 84 учебных материалов

01Foundations of the Fixed Income Market13 материалов

Understanding the Fixed Income Ecosystem

Introduction to Fixed Income MarketВидеоPrincipal Repayment StructureВидеоCoupon Repayment StructureВидеоUnderstanding the Fixed Income EcosystemЗадание

Global Structure of Bond Markets

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EDUCBA

Преподаватель курса

Fixed Income Portfolio Management Analysis
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Обучение на Coursera

≈ 16.5 ч

7 модулей

Язык: Английский

Часть программы вашего университета
Global Fixed Income MarketВидео
Primary and Secondary Bond MarketВидео
Global Structure of Bond MarketsЗадание

Key Participants in the Fixed Income Market

Types of Issuer of Fixed Income MarketВидеоTypes of Issuer of Fixed Income Market ContinuesВидеоKey Participants in the Fixed Income MarketЗадание Explaining Fixed Income Securities and Bond Market StructureDIALOGUEFoundations of the Fixed Income MarketЗаданиеAnalyzing Fixed Income Securities and Bond Market ParticipantsDIALOGUE
02Bond Valuation Fundamentals12 материалов

Understanding Bond Valuation Concepts

Fixed Income ValuationВидеоExample of Fixed Income ValuationВидеоExample of Fixed Income Valuation ContinuesВидеоUnderstanding Bond Valuation ConceptsЗадание

Bond Prices and Yield Relationships

Prices and YieldsВидеоPrices and Yields ContinueВидеоBond Prices and Yield RelationshipsЗадание

Money Market Instruments and Short-Term Securities

Certificate of DepositeВидеоFloating Rate NoteВидеоMony MarketВидеоMoney Market Instruments and Short-Term SecuritiesЗаданиеBond Valuation FundamentalsЗадание
03Risk and Return in Fixed Income11 материалов

Understanding Risk and Return in Bonds

Understanding Fixed Income Risk and ReturnВидеоSouces of RturnВидеоUnderstanding Risk and Return in BondsЗадание

Interest Rate Sensitivity in Bonds

Interest Rate Risk on Fixed Rate BondsВидеоApproximate Modified DurationВидеоInterest Rate Sensitivity in BondsЗадание

Measuring Duration and Convexity

Computation of Fixed IncomeВидеоMony DurationВидеоApproximate ConvexityВидеоMeasuring Duration and ConvexityЗаданиеRisk and Return in Fixed IncomeЗадание
04Credit Analysis and Risk Assessment11 материалов

Foundations of Credit Analysis

Fundamentals of Credit AnalysisВидеоFundamentals of Credit Analysis ContinueВидеоMore on Fundamentals of Credit AnalysisВидеоFoundations of Credit AnalysisЗадание

Credit Analysis Models and Evaluation

Credit Analysis ModelВидеоCredit Analysis Model ContinueВидеоCredit Analysis Models and EvaluationЗадание

Advanced Credit Modeling Techniques

Moe on Credit Analysis ModelВидеоBacked SecuritiesВидеоAdvanced Credit Modeling TechniquesЗаданиеCredit Analysis and Risk AssessmentЗадание
05Structured Finance and Mortgage Securities9 материалов

Mortgage-Based Securities

Residentioal Mortagage LoansВидеоCommercial MortgageВидеоMortgage-Based SecuritiesЗадание

Structured Credit Instruments

Collateralized Debt ObligationsВидеоStructured Credit InstrumentsЗадание

No-Arbitrage Pricing Framework

The Arbitration-Free FrameworkВидеоExample of The Arbitration-Free FrameworkВидеоNo-Arbitrage Pricing FrameworkЗаданиеStructured Finance and Mortgage SecuritiesЗадание
06Advanced Bond Pricing and Interest Rate Models10 материалов

Interest Rate Trees and Bond Pricing

Pricing Bonds using a Binomial TreeВидеоCalibrating Binomial TreeВидеоInterest Rate Trees and Bond PricingЗадание

Bonds with Embedded Options

Bond with Embedded OptionsВидеоExample of Embedded OptionsВидеоBonds with Embedded OptionsЗадание

Interest Rate Volatility and Floater Valuation

Bond with Interest Rate VolatilityВидеоValuation of a Floored FloaterВидеоInterest Rate Volatility and Floater ValuationЗаданиеInterest Rate Models and Embedded OptionsЗадание
07Fixed Income Portfolio Management and Strategies18 материалов

Interest Rate Term Structure and Market Dynamics

The Term Structure and Interest Rate DynamicsВидеоThe Term Structure and Interest Rate Dynamics ContinuesВидеоMore on Term Structure and Interest Rate DynamicsВидеоInterest Rate Term Structure and Market DynamicsЗадание

Portfolio Management for Fixed Income

Framework for Fixed Income Portfolio ManagementВидеоManaging Funds Against Bond MarketsВидеоManaging Funds Against LiabilitiesВидеоMore on Managing Funds Against LiabilitiesВидеоPortfolio Management for Fixed IncomeЗадание

Global Investment Strategies in Fixed Income

Fixed Income StrategiesВидеоFixed Income Strategies ContinuesВидеоInternational Bond InvestmentВидеоSelecting Fixed Income ManagerВидеоRelative-Value Methodologies for Global Portfolio ManagementВидеоRelative-Value Methodologies for Global Portfolio Management ContinuesВидео
Global Investment Strategies in Fixed IncomeЗадание
Fixed Income Portfolio Management and Global StrategiesЗадание
Evaluating and Managing Fixed Income Investments in Global Bond MarketsDIALOGUE