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Finance
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New York Institute of Finance

Fixed Income Portfolio Management

  • up to 1 day

Learn how to construct and manage fixed income portfolios using the latest tools and techniques. This course offers practical insights into both active and passive management strategies, equipping you with the skills to excel in the financial industry.

  • Fixed income concepts
  • Portfolio management strategies
  • Yield curve analysis
  • Risk management techniques

Overview

This course provides a comprehensive understanding of fixed income portfolio management, covering both active and passive strategies. Participants will learn to implement yield curve strategies, manage risks, and apply tactical allocation techniques. The course is designed for professionals seeking to enhance their expertise in fixed income instruments and portfolio management.

  • Web Streamline Icon: https://streamlinehq.com
    Online
    course location
  • Layers 1 Streamline Icon: https://streamlinehq.com
    English
    course language
  • Professional Certification
    upon course completion
  • Self-paced
    course format
  • Live classes
    delivered online

Who is this course for?

Portfolio Managers

Professionals responsible for managing investment portfolios, seeking to enhance their fixed income management skills.

Wealth Managers

Financial advisors looking to expand their expertise in fixed income strategies for better client advisory.

Support Personnel

Individuals supporting portfolio management teams, aiming to deepen their understanding of fixed income instruments.

Enhance your portfolio management skills with cutting-edge fixed income strategies. Ideal for professionals aiming to excel in financial markets, this course covers essential concepts and techniques to advance your career.

Pre-Requisites

1 / 3

  • Intermediate MS Excel skills

  • Basic probability and statistics

  • Familiarity with fixed income instruments and concepts

What will you learn?

Review of Fixed Income Concepts
Covers fixed income arithmetic, instruments, term structures, bond trading, and risk management including duration and convexity.
Passive Fixed Income Portfolio Management
Focuses on fixed income indexes, index funds, replication techniques, tracking error minimization, cash flow matching, and immunization techniques.
Active Fixed Income Portfolio Management
Explores rate prediction strategies, yield curve strategies, interest rate scenario analysis, credit strategies, tactical allocation strategies, and relative value strategies.

Upcoming cohorts

  • Dates

    start now

$1,019