Introduction to Finance, presented by the ERM Program
![introduction to finance](/sites/default/files/styles/column_hero_870x490_xsmall_1x/public/2022-04/spring-introduction_to_finance_banner_1740x980_v01.jpeg.webp?itok=_M4q9lo4)
Bond Market – Secondary Market & Analysis
This seminar will give an overview of the secondary bond market and how investors trade bonds. Entailed in the analysis includes a risk evaluation of the present factors including impacts of interest rate fluctuations, credit rating upgrades and downgrades, and refinancing risk. It will also cover various scenarios analyses to determine factors such as duration and convexity.
Options & Hedging Strategies
This Seminar will give an overview of the options market. It will describe strategies used by investors for hedging or speculating on significant increases or decreases in stock price using derivatives.