Fixed Income For Beginners
Published 6/2025
MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
Language: English | Size: 4.99 GB | Duration: 3h 54m
Published 6/2025
MP4 | Video: h264, 1280x720 | Audio: AAC, 44.1 KHz
Language: English | Size: 4.99 GB | Duration: 3h 54m
Master Bonds & Debt Markets
What you'll learn
Understand what fixed income securities are and how they differ from stocks.
Identify various types of bonds and their unique features and risks.
Learn how interest rates, coupons, and maturity affect bond pricing.
Evaluate bond yields, including yield to maturity and yield to worst.
Gain insights into government, corporate, municipal, and high-yield bonds.
Master key bond terms like face value, coupon rate, and accrued interest.
Learn how to analyze bond risk, credit ratings, and interest rate impact.
Understand bond valuation using time value of money and present value.
Requirements
There are no prerequisites for taking this course. It is designed for complete beginners with no prior knowledge of finance or investing. All concepts are explained in simple terms with real-world examples.
Description
Are you curious about how bonds work or why fixed income plays a critical role in investment portfolios? Whether you're a complete beginner or someone looking to strengthen your understanding of debt markets, this course is designed to simplify the complex world of fixed income and make it accessible to everyone.In Fixed Income for Beginners: Master Bonds & Debt Markets, you’ll gain a solid foundation in fixed income investing through real-world examples, easy-to-follow explanations, and practical insights. We’ll break down key concepts such as what fixed income means, the different types of bonds, how interest rates affect bond prices, and how to evaluate returns using metrics like yield to maturity.You’ll explore government, municipal, corporate, high-yield, and inflation-protected bonds—understanding their purpose, risks, and benefits. You'll also get familiar with essential bond terminology, including principal, coupon, maturity, credit ratings, and more.This course is perfect for students, aspiring investors, finance professionals, and anyone planning for long-term financial stability. No prior experience in finance is required—just your curiosity and willingness to learn.By the end of this course, you'll feel more confident reading bond market news, making informed investment decisions, or simply having intelligent conversations about fixed income with peers and professionals.Enroll today and take the first step toward mastering one of the most essential pillars of the financial world.
Overview
Section 1: Introduction
Lecture 1 Introduction
Lecture 2 What is Fixed Income?
Lecture 3 Types of Fixed Income Securities
Lecture 4 Why Fixed Income Matters
Lecture 5 Key Features: Principal, Coupon, and Maturity
Section 2: Types of Bonds
Lecture 6 Government Bonds
Lecture 7 Treasury Bonds vs Treasury Bills
Lecture 8 Municipal Bonds
Lecture 9 Corporate Bonds
Lecture 10 High-Yield (Junk) Bonds
Lecture 11 Convertible Bonds
Lecture 12 Zero-Coupon Bonds
Lecture 13 Inflation-Protected Bonds (TIPS)
Section 3: Bond Features and Terminology
Lecture 14 Face Value & Par Value
Lecture 15 Maturity Date
Lecture 16 Coupon Rate & Yield
Lecture 17 Call and Put Provisions
Lecture 18 Accrued Interest
Lecture 19 Clean vs Dirty Price
Lecture 20 Amortization and Sinking Fund
Lecture 21 Bond Indentures and Covenants
Section 4: Bond Valuation & Pricing
Lecture 22 Time Value of Money Refresher
Lecture 23 Present Value of Bond Payments
Lecture 24 Price vs Yield Relationship
Lecture 25 Yield to Maturity (YTM) Explained
Lecture 26 Yield to Call & Yield to Worst
Lecture 27 Duration and Modified Duration
Lecture 28 Convexity
Lecture 29 Bond Pricing Example Walkthrough
Lecture 30 Market Price vs Intrinsic Value
Section 5: Understanding Risks in Fixed Income
Lecture 31 Interest Rate Risk
Lecture 32 Credit Risk and Ratings
Lecture 33 Inflation Risk
Lecture 34 Reinvestment Risk
Lecture 35 Call and Prepayment Risk
Lecture 36 Liquidity Risk
Lecture 37 Sovereign and Currency Risk
Lecture 38 Risk Mitigation Techniques
Section 6: Fixed Income Markets and Participants
Lecture 39 Primary vs Secondary Bond Markets
Lecture 40 Role of Investment Banks
Lecture 41 Institutional vs Retail Investors
Lecture 42 OTC vs Exchange-Traded Bonds
Lecture 43 Regulatory Bodies and Framework
Lecture 44 Credit Rating Agencies
Lecture 45 Role of Central Banks
Section 7: Real-World Applications and Case Studies
Lecture 46 How Governments Use Bonds
Lecture 47 Corporate Bond Issuance: A Case Study
Lecture 48 Investing in Bonds via ETFs
Lecture 49 Analyzing Bond Fund Performance
Lecture 50 How Interest Rates Impact Bond Prices
Lecture 51 Yield Curve Interpretation
Lecture 52 Inverted Yield Curve Explained
Lecture 53 Fixed Income in Retirement Planning
Section 8: Final Review and Next Steps
Lecture 54 Summary of Key Concepts
Lecture 55 Career Paths in Fixed Income
Lecture 56 How to Start Investing in Bonds
Lecture 57 Top Tools and Resources
Lecture 58 Practice Questions & Review
Lecture 59 Final Quiz
Lecture 60 Thank You and What’s Next
Beginner investors who want to understand how bonds work,Business and finance students seeking practical financial knowledge,Professionals in banking, insurance, or corporate finance exploring fixed income instruments,Aspiring portfolio managers and wealth advisors wanting to expand their knowledge of debt markets,Individuals planning for retirement or seeking stable investment options