
edXFixed income markets power global finance, yet the instruments and risk measures remain opaque to many. This course demystifies the field with real-world tools used daily by traders and quants. You'll compute yield, duration, convexity, and credit risk across government bonds, corporate debt, and mortgage securities—then apply these concepts using Bloomberg, the industry standard. Part 2 of a professional certificate, this course bridges theory and practice for anyone serious about fixed income careers.
This course is a comprehensive survey of fixed income instruments and the markets in which the instruments are traded. Participants will learn how to compute yield- and risk measures for government bonds, corporate bonds and mortgage securities. The emphasis is on the development of a 'real-world' toolkit that is directly applicable to everyday tasks performed by fixed income traders, quants and support personnel. The Bloomberg Professional terminal is used extensively in this course.
This course is part 2 of the New York Institute of Finance’s Fixed Income Professional Certificate.
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Tracking since 1 Aug— not enough history yet to tell you whether today's price is any good. Watch the course and we'll tell you when it drops.
This is what we recorded in US pricing — not every price this course has ever had, and prices differ by country.