
edXFixed income investing looks simple on the surface: buy a bond, collect coupons, get your principal back. Reality is complex. This course is a comprehensive survey of how professional portfolio managers navigate that complexity.
You'll explore the full landscape of fixed income products—government and corporate bonds, mortgage-backed securities, and more—and the strategies managers use to optimize return within risk constraints. The interactive, hands-on approach gives you practice applying these concepts, not just learning them.
Whether you're building a bond portfolio or entering the fixed income industry, this is the rigorous grounding that institutions demand.
Fixed Income Portfolio Management is a comprehensive survey of the key drivers and features of managing a portfolio of fixed income assets. This thorough and interactive course offers students like you, a detailed grounding in the full range of fixed income product categories and portfolio management techniques. You will leave this online class with a clear understanding of key products and investment management strategies used by portfolio managers, enhancing the opportunity for success in this increasingly complex area.
T his course is part 1 of the New York Institute of Finance’s Portfolio Management Professional Certificate program.
Free Preview! Access Module 1 for free. For full course access, upgrade to a verified certificate.
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