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Il y a 4 modules dans ce cours
Master bond valuation and yield analysis to evaluate fixed income investments with confidence. Learn how to calculate bond prices, interpret yields, and measure interest rate risk in real-world scenarios.
This course provides a structured approach to fixed income analysis, starting with bond fundamentals and advancing to professional valuation techniques. You will learn how to apply discounted cash flow methods to determine intrinsic bond value and understand how interest rates impact pricing.
Through practical examples, you will calculate yield measures such as current yield and yield to maturity (YTM), and analyze premium and discount bond pricing. The course also covers advanced concepts including duration, convexity, credit spreads, and yield curve analysis to measure risk and price sensitivity.
By the end of the course, you will be able to evaluate bonds, interpret market data, and apply quantitative techniques for investment decision-making.
Ideal for finance professionals and aspiring analysts, this course builds strong analytical skills for careers in banking, investment, and capital markets.
This module introduces the foundational concepts of bond financing and fixed income securities. Learners explore the differences between bonds, bank loans, and equity financing, and examine key bond features such as par value, coupon rate, maturity, and indenture provisions. The module also analyzes various types of bonds including debentures, mortgage bonds, zero coupon bonds, and bonds with embedded features. Finally, it establishes the valuation framework by introducing the time value of money and the core determinants of intrinsic bond value.
Inclus
6 vidéos4 devoirs
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6 vidéos•Total 59 minutes
Advantages of Bank loan and Stock•5 minutes
Features of Bonds•8 minutes
Features of Bonds Continues•11 minutes
Types of Bonds•12 minutes
More on Types of Bonds•12 minutes
Process for Valuing Assets•12 minutes
4 devoirs•Total 60 minutes
Graded - Bond Fundamentals and Core Characteristics•30 minutes
Financing and Bond Features•10 minutes
Bond Features and Types•10 minutes
Types of Bonds and Valuation Basics•10 minutes
Interest Rate Risk and Bond Valuation Framework
Module 2•2 heures à terminer
Détails du module
This module focuses on bond valuation mechanics and interest rate risk. Learners construct bond timelines, calculate present value of future cash flows, and examine the inverse relationship between bond prices and required rates of return. The module also explains premium and discount pricing, clean versus dirty price concepts, and how maturity affects price sensitivity. By the end of this module, learners can systematically apply discounted cash flow techniques to determine bond value under changing market conditions.
Inclus
6 vidéos4 devoirs
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6 vidéos•Total 55 minutes
Intrest Rate Risk•11 minutes
Microsoft Bond Timeline•5 minutes
Microsoft Bond Timeline Example•8 minutes
Relationship Bond Valuation•11 minutes
Relationship Bond Valuation Example•12 minutes
Relationship Bond Valuation Example Continues•8 minutes
4 devoirs•Total 80 minutes
Graded - Interest Rate Risk and Bond Valuation Framework•30 minutes
Interest Rate Risk and Bond Timeline•30 minutes
Bond Timeline and Valuation Relationship•10 minutes
Bond Valuation Applications•10 minutes
Yield Measures and Pricing Concepts
Module 3•2 heures à terminer
Détails du module
This module explores yield-based performance measures used in fixed income analysis. Learners calculate and interpret current yield, yield to maturity (YTM), and adjusted current yield. The module emphasizes the assumptions underlying YTM, including reinvestment assumptions and capital gain or loss components. Through structured case studies, learners connect yield measures to bond pricing decisions and understand how market price, coupon rate, and required return interact to influence total return.
Inclus
6 vidéos4 devoirs
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6 vidéos•Total 45 minutes
Current Yeild in Bond Valuation•8 minutes
More on Current Yeild in Bond Valuation•8 minutes
Yelid Of Maturity Bond•9 minutes
Yelid Of Maturity Bond Continues•6 minutes
Adjusted Current Yeild Bond•7 minutes
Case Study of Bond Values•7 minutes
4 devoirs•Total 60 minutes
Graded - Yield Measures and Pricing Concepts•30 minutes
Current Yield Concepts•10 minutes
Yield to Maturity•10 minutes
Adjusted Yield and Bond Case Study•10 minutes
Advanced Bond Analytics and Risk Measurement
Module 4•3 heures à terminer
Détails du module
This module introduces advanced bond analytics and market-based valuation tools. Learners interpret Bloomberg bond data, analyze callable bonds and yield to call, and apply spot rate curves and credit spreads in valuation. The module also develops risk measurement concepts including Macaulay duration, modified duration, and convexity. By integrating duration and convexity, learners estimate bond price sensitivity under changing interest rate environments and perform advanced bond calculations for professional financial analysis.
Inclus
8 vidéos4 devoirs
Afficher les informations sur le contenu du module
8 vidéos•Total 75 minutes
Case Study of Bond Values Continues•9 minutes
Bloomberg Bond Values•12 minutes
Callable Bond Example•8 minutes
Spot Rate Curve and Credit Spread Bond•7 minutes
Duration and Types of Duration•10 minutes
Example of Calculating Bonds•6 minutes
Example of Calculating Bonds Continues•11 minutes
Calculating Effective Bond•12 minutes
4 devoirs•Total 60 minutes
Graded - Advanced Bond Analytics and Risk Measurement•30 minutes
Bond Case Study and Market Valuation•10 minutes
Callable Bonds and Credit Spread•10 minutes
Duration and Bond Calculations•10 minutes
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