Catalog

MSFA 722 - Fixed Income Valuation I (2)

A thorough and in-depth study of the structural features of debt markets. Term structure analysis of interest rates and bond valuation. Assessing sources of risk for debt portfolios, including the role of duration and convexity in evaluating the effects of interest rate changes. Credit analysis for corporate bonds. - Prerequisites: ECON 716 or MSFA 716 or MBA 6102 Prerequisites: concurrent ECON 716 or concurrent MSFA 716 or concurrent MBA 6102. Restricted to Financial Analysis, Investor Relations, Business Administration, Business Administration, Business Administration, Business Administration, Financial Analysis, and Risk Management majors.