CFA Level 1 Fixed Income and Bond Market Fundamentals
Master bond valuation, yield measures, and risk analysis to confidently tackle the fixed income portion of the CFA Level 1 exam.
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Tungkol sa kursong ito
Fixed income represents one of the most critical and heavily tested areas of financial analysis. Understanding how debt instruments are structured, valued, and analyzed is essential for anyone aspiring to a career in investment management or preparing for professional financial examinations. This text-based course guides you from foundational debt concepts to complex yield calculations and risk management strategies. You will develop the analytical skills required to evaluate bond portfolios, assess interest rate risk, and confidently interpret market data. What you'll learn: 1. Understand foundational fixed-income terminology, bond features, and regulatory structures. 2. Calculate bond prices, yields, and spot rates using standard industry formulas. 3. Analyze interest rate risk using duration, convexity, and yield curve strategies. 4. Evaluate credit risk, bond covenants, and credit rating methodologies. 5. Explore modern fixed-income trends, including ESG integration and green bond structures. The course begins with core definitions and the mechanics of debt markets before progressing to valuation models, risk metrics, and contemporary market practices. Through clear written explanations and step-by-step mathematical breakdowns, you will build a solid practical and theoretical foundation. This program is designed for finance students, aspiring analysts, and candidates preparing for professional exams, with no prior advanced financial modeling experience required. Start reading today to master the fundamentals of bond markets and fixed-income analysis.
Ang makukuha mo
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Certificate ng pagtatapos
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Telepono o computer
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14-day refund
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Maikli at focused
2 oras 30 min ng practical content
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