Master the fundamentals of bond and equity markets, including capital structure, market mechanics, and regulatory frameworks.
Master the fundamentals of bond and equity markets, including capital structure, market mechanics, and regulatory frameworks.
This comprehensive course explores the intricate relationship between debt and equity in corporate capital structures. Students learn about various bond types, issuers, and pricing mechanisms for both domestic and international markets. The curriculum covers yield curve analysis, market mechanics, and trading conventions in primary and secondary markets. Special attention is given to rating agency methodologies, FX market operations, and financial market regulations. As part of NYIF's Capital Markets Professional Certificate program, this course provides essential knowledge for understanding modern financial markets.
Instructors:
English
English
What you'll learn
Understand the role of debt and equity in capital structure
Master bond market fundamentals and pricing mechanisms
Analyze yield curves and their economic implications
Explore equity market structure and trading mechanics
Comprehend financial market regulations and oversight
Skills you'll gain
This course includes:
PreRecorded video
Graded assignments, exams
Access on Mobile, Tablet, Desktop
Limited Access access
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There are 5 modules in this course
This comprehensive course from NYIF covers essential aspects of bond and equity markets and their regulation. Students learn about capital structure decisions, bond types and issuance, domestic and international markets, and pricing mechanisms. The curriculum examines yield curves, market mechanics, rating methodologies, and trading conventions. Special focus is placed on understanding financial market regulations and their implications for market participants.
Bond Markets
Module 1
Bond Issuance and Risk
Module 2
Equity Securities
Module 3
Equity Markets and Trading
Module 4
Regulation of Financial Markets
Module 5
Fee Structure
Instructor
NYIF Instructor Specializing in Portfolio Risk Management and Derivatives
Jack Farmer is an instructor at the New York Institute of Finance (NYIF), where he specializes in training and consulting solutions for portfolio risk management, foreign exchange (FX) and interest rate derivatives, equity index and volatility trading, as well as financial statement analysis and hedge accounting. He holds a BS in Engineering and an MBA in Finance and Accounting from Tulane University, and is currently pursuing a PhD in Finance from the University of Texas at Austin. Jack's extensive expertise enables him to effectively educate students on complex financial concepts and risk management strategies.
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Frequently asked questions
Below are some of the most commonly asked questions about this course. We aim to provide clear and concise answers to help you better understand the course content, structure, and any other relevant information. If you have any additional questions or if your question is not listed here, please don't hesitate to reach out to our support team for further assistance.