UNDERSTAND MONEY MARKETS: calculations and products
Learn about Interest rate calculations, commercial paper, treasury bills and repurchase agreements

UNDERSTAND MONEY MARKETS: calculations and products free download
Learn about Interest rate calculations, commercial paper, treasury bills and repurchase agreements
Welcome!
Since 2005, we design education programs for professionals who do not have a background in finance. Our ambition is to take away the curtain of complexity to make finance understandable for you and to support your career in the world of finance.
The money market is a vital financial market that is essential to our economy as explained in my Udemy course Understand Banks and Financial Markets, in which more than 33.000 students already participated.
This course, Understand Money Markets will learn you about interest rate calculations and the main products traded on the money markets: deposits, money market securities and repurchase agreements. The course contains more than 1,5 hours of mp 4 video’s accompanied with downloadable pdf documents (total 20 pages) and quizzes to test your skills and understanding with multiple choice questions (total 34).
This course can also be used to prepare you for parts of the ACI certification exams.
Section 2 skills you to understand and make basic interest rate calculations covering several topics such as:
specific day count conventions
calculation of single interest coupons
present and future value calculations
compare yields with different coupon frequency or day count conventions
how to compare pure discount with true yield
the yield curve and implied forward rates
Section 3 is an introduction to traditional money markets benchmarks and products covering topics, such as:
how and why use money market products
the domestic- and Euromarkets
explain several deposit types
LIBOR and recently introduced overnight money market benchmarks
Section 4 covers Tradable Money market securities, such as:
characteristics of main securities:
treasury bills, certificates of deposit and commercial paperthe calculation of initial consideration at issue date
the maturity consideration and interest calculation for different products
Finally, section 5 provides in depth knowledge and understanding of repurchase agreements, repos.
The topic basket of this section include:
legal and economic ownership
collateral types
GMRA documentation and failure to deliver collateral
special trading
sell/buy back transactions
reprising versus margins
repo agents
the use of hold in custody repos (HIC) used by central banks
Please contact me if you have any questions regarding the course program.
Thank you for your interest!
Michiel van den Broek
We have more successful Udemy bank courses for you. Thousands have already completed our first course: Understand Banks and Financial Markets.
Our new eLearning Understand Financial Risk from Banking will grow your understanding of the business model of banks. Course completion can also benefit professionals that work in other financial institutions, such as pension funds, insurance companies and investment firms.