If you are working with fixed income products, this certification programme will be relevant for you. The programme will provide you with a deep and broad knowledge of the fixed income market. You will get familiar with the various types of bonds on the Scandinavian bond markets, the risk measures used and techniques for estimating the zero coupon curve. Moreover you will learn about the relevant fixed income derivatives and how to optimize a fixed income portfolio.
The education consists of three 2-day modules. There will be reading material as well as small exercises in between the modules. At the end there will be an exam.
The education in Copenhagen takes place on the following dates:
Bond Analysis (April 18-19)
Fixed Income Derivatives (May 23-24)
Fixed Income Portfolio Management (June 16-17)