Learners will evaluate option contracts, construct trading strategies, value bonds, interpret interest-rate relationships, and assess credit and mortgage risks. They will gain practical skills in analyzing payoffs, option sensitivities, fixed-income pricing, credit quality, and tools used to manage rate and currency exposure.

Evaluate Options, Bonds, and Credit Markets
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Gain insight into a topic and learn the fundamentals.
Beginner level
Recommended experience
9 hours to complete
Flexible schedule
Learn at your own pace
What you'll learn
Evaluate option contracts, sensitivities, and trading strategies to manage portfolio risk.
Value bonds and interpret interest-rate relationships, forward pricing, and currency exposure.
Assess corporate credit quality, mortgage risks, and mortgage-backed financial structures.
Details to know

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Recently updated!
September 2026
Assessments
15 assignments
Taught in English
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