Dr Christian Julliard and Dr Cameron Peng 

Interest in the fixed income market is ever-growing. With increasing uncertainty in the global financial market, debt markets have been in the spotlight as investors seek income-generating investments.

In this environment, it is vital to have a thorough understanding of the functions and objectives of the major players in debt markets, of the various fixed income instruments and the risks associated with them, and of the models and methods used to value fixed income securities and their derivatives.

This course helps to develop the relevant knowledge and understanding of fixed income instruments and interest rate models. 

Providing you with an overview of the major institutions, organisations and investors, you will cover both the theoretical background of fixed income markets and its practical implementation. Gaining hands-on experience using real-world examples, you will develop the critical thinking and analytical skills to engage in fixed income markets globally.