Fixed Income Repo Trading and Risk Analysis
Master the fundamentals of repurchase agreements, explore how they drive global market liquidity, and learn to analyze trading risks using modern financial frameworks.
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AI instructor
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Start anytime
No schedules or deadlines โ learn at your own pace, whenever suits you. -
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In English
Lessons, tasks and certificate โ all fully in your language.
About this course
The repurchase agreement (repo) market is the plumbing of the global financial system, facilitating trillions of dollars in daily liquidity. Understanding how repo transactions are structured, traded, and managed is essential for anyone entering the world of fixed income. This text-based course provides a clear pathway to understanding these vital financial instruments.
In this course, you will transition from a beginner to a confident analyst capable of evaluating repo structures and managing their associated risks. You will gain a deep understanding of collateral management, pricing mechanics, and the regulatory environment that shapes modern trading desks.
What you'll learn:
- Understand the fundamental mechanics of classic repos, reverse repos, and buy/sell-back structures.
- Analyze the role of collateral, haircuts, and margin calls in mitigating counterparty credit risk.
- Calculate repo rates, interest payments, and the impact of accrued interest on pricing.
- Explore modern risk-free reference rates such as SOFR and their integration into repo valuation.
- Evaluate the regulatory landscape, including Basel III requirements and central clearing models.
- Identify key risk factors such as liquidity risk, operational risk, and market risk in repo portfolios.
This course begins with foundational definitions and key terminology before guiding you through structured lessons on pricing, collateral management, and risk mitigation strategies. Through clear written explanations and practical scenario-based exercises, you will build a solid working knowledge of modern repo markets.
This program is designed for aspiring financial analysts, students, and professionals new to fixed income. No prior trading experience is required to begin.
Start reading today to build a strong foundation in fixed income repo trading and risk analysis.
What you'll get
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Certificate of completion
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Personal AI tutor
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Audio version included
Learn on the go โ no screen needed -
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Lifetime access
Come back anytime, no expiry -
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Phone or computer
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14-day refund
No questions asked -
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Short & focused
2h 30m of practical content
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Frequently asked
What do I need to take this course? +
Just a phone or computer with internet. No installs, no special hardware.
How do I pay? +
By card via Stripe. We donโt store card details โ Stripe handles them securely.
Can I get a refund? +
Yes โ full refund within 14 days, no questions asked.
How long will I have access? +
Forever. Once you purchase, the course is yours to revisit anytime.
Will I get a certificate? +
Yes. On completion you'll receive a certificate you can add to your LinkedIn profile.
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