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5512. Fixed Income Instruments and Markets
3.00 credits
Prerequisites: FNCE 5101 or FNCE 5182; open to MBA students, others with consent.
Grading Basis: Graded
Examines contemporary portfolio management of fixed income institutional investors, issuers, and broker-dealers. Assesses current practice and presents a theoretical framework for anticipating change. Coverage includes pricing, assessment of return and risk, and the development of overall strategies, for these markets: government, corporate, municipal, and international bonds; mortgage-related and other asset-backed securities; and derivative securities including futures, options, swaps, and other interest rate contracts.
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