Explore the importance of credit quality in fixed-income investing, learn about credit rating scales, and discover strategies for managing credit risk within a portfolio.
Explore the role of interest rate anticipation in fixed-income portfolio management, strategies for duration switching, and how these techniques can enhance portfolio performance.
Explore the role and functionalities of fixed-income electronic trading systems like CanDeal, CBID, MarketAxess, and CanPX in Canadian bond and money markets.
Explore the diverse world of financial instruments, their types, roles, and applications in capital markets, with a focus on Canadian regulations and practices.
Explore fixed-income arbitrage strategies, focusing on exploiting inefficiencies in fixed-income markets, leveraging returns, and understanding associated risks within the Canadian financial landscape.
Explore relative value strategies in Canadian finance, focusing on equity market-neutral, convertible arbitrage, and fixed-income arbitrage strategies to exploit pricing inefficiencies.
Explore the revenue models of fixed-income trading desks, focusing on trading, sales, and origination revenue streams, and the impact of market movements and strategies.
Explore the Canadian fixed-income marketplace, its participants, and its role in government and corporate financing. Compare its size to the equity market and learn about market dynamics for informed investment decisions.
Explore the features, credit quality, and unique characteristics of provincial and municipal government securities in Canada, including provincial bonds, savings bonds, and municipal debentures.
Dive into the world of other fixed-income securities, including Bankers' Acceptances, Commercial Paper, Term Deposits, and Guaranteed Investment Certificates, and understand their role in the Canadian financial landscape.
Explore the reasons behind the issuance of fixed-income securities by governments and corporations, including financing deficits, funding projects, and leveraging operations.
Explore the Market Segmentation Theory and its impact on yield curve shapes, focusing on Canadian financial markets and institutional investor preferences.
Explore essential terms and concepts related to fixed-income securities, including bond yield, interest rate, secondary market, and more. This glossary provides a comprehensive understanding of pricing and trading in the fixed-income market.
Explore essential terms and concepts related to fixed-income securities, including bonds, interest rates, and investment strategies, with a focus on the Canadian financial landscape.