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Fixed Income Securities: Analysis and Strategy

This comprehensive course explores the analysis and strategic management of fixed income securities, providing deep insights into bond markets, valuation techniques, and portfolio management strategies. Participants will learn to analyze various fixed income instruments, understand yield curve dynamics, and develop effective investment strategies for different market conditions. The curriculum covers government bonds, corporate debt, mortgage-backed securities, and emerging market debt, along with risk management techniques and regulatory considerations. Through practical exercises and market simulations, learners will develop the expertise to make informed fixed income investment decisions and construct optimized bond portfolios.

Apr 13, 2026 Apr 17, 2026
5 days program
Abuja Abuja
£3,000.00 + VAT per participant
Flexible payment options available
15 maximum participants
Certificate Provided Refreshments Included Free Wi-Fi
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