Learners will analyze foreign exchange markets, evaluate money market instruments, apply asset management principles, and assess derivative strategies used to manage financial risk. By the end of this course, learners will be able to interpret FX transactions, compare fixed income and money market instruments, explain mutual fund and hedge fund structures, and evaluate the use of swaps, futures, options, and credit derivatives in real-world financial contexts.

Analyze Fixed Income, FX Markets, and Asset Management

Analyze Fixed Income, FX Markets, and Asset Management
This course is part of Analyze Investment Banking Operations & Markets Specialization

Instructor: EDUCBA
Access provided by Kyiv National Economic University named after Vadim Hetman
12 reviews
Recommended experience
What you'll learn
Analyze FX markets, money market instruments, and fixed income products.
Explain asset management principles, including mutual funds and hedge funds.
Evaluate derivatives such as futures, options, swaps, and credit derivatives for risk management.
Skills you'll gain
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Showing 3 of 12
Reviewed on Sep 28, 2026
Asset management and hedge fund part was very insightful.
Reviewed on Sep 20, 2026
Super clear explanation of FX markets and transactions.
Reviewed on Sep 23, 2026
Asset management and hedge fund part was very insightful.




