Debt & Money Markets: Concepts, Instruments, Risks and Derivatives
INTRODUCTION
This course explores the structure and functioning of money markets and debt markets. It also examines the manifestation and impact of interest rate risks in these markets as well as the means of managing and mitigating the same.
Along with covering the key concepts related to Debt and Money Markets such as time value of money, bond pricing and valuation, It also examines the macro-economic variables that impact global financial markets, particularly debt markets. Besides these, in this course, the learners will also learn tools and techniques to manage the heightened level of interest rate risks.
Target Group
For Executives, students pursuing post graduate and anyone who wants to upskill themselves in the field of Economics and Finance