Fixed-Income Market: Trends and Risk Management in Times of Pandemic

Objective
This new age program has been specially created to address the post-Covid 19 fear psychosis amongst investors. Learners will gain deep insights and understanding of India's fixed income markets and the intricacies of portfolio management by asset managers.

What will you/your team member learn

  • Gain an understanding of Indian capital markets - Fixed income markets
  • Know about government securities, state development loans, corporate bonds
  • Numerous trends: Primary markets, Secondary markets, Interest rates, and investor segments
  • Key Regulations governing corporate bonds
  • Types of bonds (convertible, non-convertible, with options, step up/down, part redemptions) and investor/issuer perspective

Who should enrol

  • Corporate treasury teams
  • Risk management verticals in banks and non-banking financial institutions
  • Bank treasuries – mid- and front-office
  • Risk and research teams of asset management and insurance companies
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