Bond Trading and Fixed Income Portfolio Management
Unlock the secrets of bond trading and enhance your fixed-income portfolio management strategies with expert insights.
5.00 (1 reviews)

1,456
students
3.5 hours
content
Oct 2024
last update
$44.99
regular price
What you will learn
Fundamentals of Bond Trading: Understand the basics of bond markets, including types of bonds, their characteristics, and the mechanisms of bond trading.
Fixed Income Portfolio Management: Gain insights into the principles of managing fixed income portfolios, focusing on strategies for optimizing returns.
Role of Third-Party Fund Managers: Explore the functions and strategies employed by third-party fund managers in bond trading and portfolio management.
Portfolio Allocation Techniques: Learn how to effectively allocate assets within a bond portfolio, focusing on risk allocation and the selection of bonds.
Curve Trading Strategies: Delve into advanced trading techniques, including steeper and flatter curve trades, and understand the market conditions.
Understanding Repos: Acquire knowledge about repurchase agreements (repos), their role in bond trading, and how they can be used to enhance portfolio yields.
Practical Examples and Case Studies: Analyze real-world scenarios and case studies to apply theoretical knowledge to practical situations.
Short Sale Strategies: Learn about short selling in the context of bond trading, including how to execute short sales and assess their impact on portfolio.
6249067
udemy ID
10/22/2024
course created date
10/26/2024
course indexed date
Angelcrc Seven
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