• 欢迎访问 纽约金融学院 中国官网

Capital Markets: Products, Risks and Strategies

New York Institute of Finance

ITEM CRPF0102052

Register your interest below


Questions? We're here to help you

Please complete this form and a NYIF Career Advisor will assist you.



Please fill in the field.

Next

Please complete this form and a NYIF Career Advisor will assist you.



Please fill in the field.

Prev
Next

Please complete this form and a NYIF Career Advisor will assist you.


Please fill in the field.

Prev
Next

Select preferred contact method

Schedule call

call center image

or

Please fill in the field.

Send us your questions

email image
Prev

Where Wall Street Goes to SchoolTM!

Please select a time and date from the calendar to book a 15-minute call with a NYIF Career Advisor.

You can also reach us on +1 347 842 2501 or marketing@nyif.com

Something went wrong, please try again later!

17

Capital Markets: Products, Risks and Strategies

This course surveys the major financial instruments traded in capital markets around the world. Understand how stocks are valued. Learn how stocks and bonds are brought to market. Understand the basic mechanics and risks characteristics of derivatives.

CPE Credits: 21

This course is the second component of the Capital Markets Professional Certificate.

Prerequisite knowledge:

  • Basic MS Excel skills
  • Basic knowledge of capital market structure and participants

 

Recommended Courses:

Learn now pay later with

To make it even easier to learn, you can finance your program through Affirm.

Loans offered through Affirm are available in the U.S. and Canada.

  • Easy monthly payments

    Learn more

  • Flexible payments

    Pay your monthly bill using a bank transfer, check, or debit card.

Module 1: Equity Indexes

  • Market Segmentation
  • Index Construction and Weighting
  • Bias, Tracking Error and Rebalancing
  • Trading and Hedging Strategies using Index Products

Module 2: Equity Valuation

  • Uses and Limitations of Valuation
  • Valuation Models
  • Model Inputs
  • Ratio Analysis
  • Intrinsic Valuation
  • Relative Valuation
  • Equity Risk Premium
  • Dividend Discount Models
  • Method of Comparables
  • Enterprise Value and Economic Value Added (EVA)
  • Oracle Valuation Case

Module 3: Equity Investment Vehicles

  • Mutual Funds
  • Hedge Funds
  • Private Equity
  • Venture Capital

Module 4: Introduction to Derivatives

  • Characteristics of Derivatives
  • Hedging and Speculative Uses
  • ISDA Framework and Regulation

Module 5: Futures and Forwards

  • Futures and Forwards Markets
  • Exchanges, Clearinghouses and OTC
  • Hedging and speculating with Futures
  • Trade Execution
  • Settlement and Margining
  • Bond Futures
  • Index Futures

Module 6: Swaps

  • History and Evolution of Swaps
  • Characteristics & Features of Swaps
  • Fundamentals of Pricing Interest Rate Swaps
  • Application of Interest Rate Swaps to Hedging Situations
  • FX Swaps

Module 7: Options

  • History and Evolution of Options Market.
  • Options Terminology
  • Evaluate Risk/Reward - Payoff Profiles & Break-Evens
  • Identify Basic Characteristics of options, caps & floors and swaptions
  • Identify Factors of Options Pricing

Module 8: Credit Derivatives

  • Define and Identify Credit Derivatives
  • Total Return Swaps and Credit Default Swaps
  • Identify Mechanics of Basket and Portfolio Credit Default Swaps

Module 9: Equity and Bond IPO Participants

  • Company Management
  • Board of Directors
  • Counsel
  • Independent Accountants
  • Pre-IPO shareholders
  • Managing Underwriters
  • Underwriter’s Counsel
  • Research Analysts
  • SEC
  • Corporate Bond Issuance

Module 10: Timing and Major Steps in IPO Process

  • Pre-Organizational Meeting
  • Organizational Meeting
  • Post-Organizational Meeting
Customize Capital Markets: Products, Risks and Strategies

* Required Fields

Your Customization
Capital Markets: Products, Risks and Strategies

In stock

$2,689.00

Summary