Fixed Income in Python

Learn how to model and price bonds in Python
3.88 (45 reviews)
Udemy
platform
English
language
Investing & Trading
category
instructor
Fixed Income in Python
5β€―166
students
1.5 hours
content
Jun 2020
last update
FREE
regular price

Why take this course?

🌟 Fixed Income in Python: Master the World of Bonds! 🌟

Are you ready to dive into the fascinating world of fixed income securities? Whether you're a finance enthusiast, an aspiring analyst, or a Python programmer looking to expand your skillset, this Comprehensive Fixed Income Modelling & Pricing in Python course is tailor-made for you!

πŸ“š Course Overview:

In this engaging and informative online course, led by the esteemed instructor Pawel Dudko, you'll embark on a journey through the complex landscape of fixed income instruments. From understanding their fundamentals to mastering Python libraries that facilitate bond pricing, this course will equip you with the tools and knowledge needed to navigate the financial markets confidently.

πŸ” What You Will Learn:

  • Fundamental Concepts: Get up to speed with loans, zero coupon bonds, fixed coupon bonds, and how they fit into the broader fixed income market.

  • Python Mastery: Discover how to leverage Python to model these financial instruments, manipulate their cash flows, and perform calculations with precision.

  • Pricing Mechanics: Learn the intricacies of calculating bond prices and yield to maturity using Python's most powerful libraries and techniques.

  • Yield Curve Analysis: Understand the shape of the yield curve and its implications for investors, economies, and financial institutions.

  • Newton-Rhapson Method: Master the use of this essential numerical method to accurately compute a bond's yield to maturity.

πŸ› οΈ Key Takeaways:

  • Real-World Applications: Apply your knowledge with hands-on projects that mimic real-life financial scenarios.

  • Advanced Techniques: Explore advanced Python libraries designed for financial computations, such as pandas, numpy, and scipy.

  • Strategic Insights: Gain insights into how bond pricing informs investment decisions and contributes to the overall understanding of fixed income markets.

πŸ“… Course Structure:

  1. Introduction to Fixed Income Securities: A primer on the different types of bonds, their features, and their role in the financial system.

  2. Python for Financial Modelling: Introduction to Python and its applications in finance, including data handling and manipulation.

  3. Bond Pricing Models: Deep dive into formulas, models, and Python scripts that enable accurate pricing of bonds.

  4. Yield Curve and Term Structure: Explore the concepts behind the yield curve and its significance in portfolio management and investment strategies.

  5. Numerical Methods for Financial Computations: Focus on the Newton-Rhapson method and other numerical techniques to solve financial problems.

  6. Practical Assignments & Real-World Problems: Apply what you've learned through a series of practical assignments and exercises designed to test your understanding and ability to apply Python for bond pricing tasks.

πŸš€ Why Enroll in This Course?

  • Expert Instruction: Learn from Pawel Dudko, an expert with real-world experience in fixed income modelling.

  • Interactive Learning: Engage with the material through video lectures, quizzes, and interactive coding exercises.

  • Community Support: Join a community of like-minded learners and collaborate to solve complex financial problems.

  • Flexible Learning: Access course materials at your own pace, from anywhere in the world, with 24/7 support.

Don't miss out on this opportunity to transform your understanding of fixed income securities and elevate your Python programming skills to new heights! Enroll now and take the first step towards becoming a financial wizard with Python. πŸš€βœ¨

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3261876
udemy ID
23/06/2020
course created date
01/07/2020
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