date_range Starts on June 8, 2018
event_note End date June 24, 2018
list 2 sequences
assignment Level : Introductive
chat_bubble_outline Language : English
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Key information

credit_card From 190€
verified_user Fee-based Certificate
timer 7 hours in total

About the content

The bond market has a central place in financial markets.  Most easily understood as the debt market, it is a place where government bodies and companies can finance their activities.

The financial crisis of 2008 and aftermath has demonstrated the importance of the markets and the inter-connectedness they play in the globalized world.

Given its current dynamics it is essential to have an understanding of the fixed income markets, not just for those who work in finance,  but for anyone looking to better understand global economics.

The Fixed Income MOOC aims to give you an comprehensive understanding of bonds: what are their uses? How are prices determined? What are the risks? The bond market is also the foundation of the interest rates market, so we will dive into the interest rates markets and key considerations.

This executive MOOC is recommended to those working in Finance and willing to understand the world economy, to junior traders and asset managers, junior staff in origination and syndication, salespeople, back and middle officers, IT, legal and compliance officers, internal auditors, internal controllers, senior bankers, financial divisions, corporate treasurers, corporate financing, financial divisions of local authorities.

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Semaine 1 :

  • Description du marché des changes
  • Politiques monétaires et cours de changes

Semaine 2 :

  • Cours croisés
  • NDF
  • Change à terme et swaps de change

Évaluation finale sous forme de quizz
Live session en Digital Lounge retransmis via le Web

Masterclass-Actualités :
2 heures optionnelles sur l’actualité du marché des changes dans le Digital
Lounge retransmis via le Web




Diplômé de l’École Centrale Paris, il a été trader pendant 10 ans et a travaillé à Paris et Londres, sur les marchés de taux et de crédit. Il a connu le développement du marché des obligations corporate, des produits dérivés de crédit et de la titrisation.

Il est désormais directeur de la pédagogie chez FIRST FINANCE.


Diplômé ESC Bordeaux, Éric Maina a consacré 13 ans à la gestion obligataire et monétaire au sein du groupe des MMA. En parallèle, il a enseigné auprès de Grandes Écoles et Universités.

Il est l’auteur du livre La Gestion Obligataire publié à la Revue Banque Editeur en 2005.

Il est aujourd’hui formateur chez FIRST FINANCE en charge plus particulièrement des séminaires consacrés aux marchés monétaires, obligataires et dérivés de taux.


Content designer

First Finance

First Finance Institute is a online platform offering certified training in basic or advanced level in finance. FFI has forged partnerships with financial institutions and prestigious universities around the world.

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