UNDERSTAND MONEY MARKETS: calculations and products

Learn about Interest rate calculations, commercial paper, treasury bills and repurchase agreements
4.41 (95 reviews)
Udemy
platform
English
language
Finance Cert & Exam Prep
category
UNDERSTAND MONEY MARKETS: calculations and products
5,058
students
1.5 hours
content
Apr 2025
last update
$13.99
regular price

What you will learn

Understand money market products: deposits, money market securities and repurchase agreements

Understand pricing money market products and make interest rate calculations: day conventions, zero coupon, bootstrapping, true yields and pure discount

Calculate coupons for broken periods and convert yields

Get essential knowledge to trade money market securities such as commercial paper, T-bills and certificates of deposit

Understand forward rates and how an yield curve shifts

Manage liquidity using repurchase agreements and security lending transactions

Understand interbank and overnight market benchmarks such as LIBOR, SOFR and €ster

What is the difference between the Domestic and Euro money market

Understand the basics of Global Master Repo Agreements (GMRA): legal and economic ownership, reprising, manufactured dividend and failure to deliver collateral

The characteristics of Classic Repo and (un) documented Sell buy Back

How Central Banks use repos for money market liquidity

Repo Custody of Collateral Arrangements: Delivery repo, Hold in Custody (HIC)

Screenshots

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Related Topics
1868468
udemy ID
8/21/2018
course created date
8/3/2020
course indexed date
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