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Fixed Income Portfolio Management

Learn how to construct and manage fixed income portfolios using the latest tools and techniques.

Fixed Income Portfolio Management

There is one session available:

After a course session ends, it will be archivedOpens in a new tab.
Starts Jan 27
Estimated 4 weeks
1–2 hours per week
Progress at your own speed
Optional upgrade available

About this course

Skip About this course

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.

At a glance

  • Institution: NYIF
  • Subject: Economics & Finance
  • Level: Advanced
  • Prerequisites:
    • Intermediate MS Excel skills
    • Basic probability and statistics
    • Familiarity with fixed income instruments and concepts (e.g. forward rates, duration, convexity, etc.)
  • Language: English
  • Video Transcript: English
  • Associated programs:

What you'll learn

Skip What you'll learn
  • Review of Fixed Income Concepts
  • Passive Fixed Income Portfolio Management
  • Active Fixed Income Portfolio Management

● Mod 1: Review of Fixed Income Concepts

● Mod 2: Passive Fixed Income Portfolio Management

● Mod 3: Active Fixed Income Portfolio Management

About the instructors

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