In this course, you will use business and industry analysis to understand companies, projects, business models, and financing proposals. You will then prepare qualitative risk analysis for specific companies to use as the basis for financial analysis, project analysis, and risk decisions. Lastly, you will understand how to use financial ratios and financial metrics to evaluate a company or project’s profitability, balance sheet, capital structure, and cash flow to assess overall financial performance and risk profile.
Credit Risk Management: Frameworks and Strategies
This course is part of Risk Management Specialization
Instructors: Tracy Williams
Sponsored by Mojatu Foundation
19,750 already enrolled
(325 reviews)
Recommended experience
What you'll learn
Use business and industry analysis to understand companies, projects, business models, and financing proposals
Prepare a qualitative risk analysis for specific companies to use as the basis for financial analysis, project analysis, and risk decisions
Understand the principles & concepts of credit risk including categories of risk, types of exposure, credit products, expected/unexpected credit loss
Skills you'll gain
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There are 5 modules in this course
This course will introduce you to the credit risk management principles and concepts. You will also learn about default trends, market indicators and Portfolio Management.
What's included
1 video4 readings1 discussion prompt1 plugin
In this module, we'll cover the principles and concepts of Credit Risk Management. We'll review the purpose, benefits and analytical approaches to credit analysis and explore the integrated financial story, conclusions, and risk decision-making. We'll also cover corporate balance sheets and analyze credit exposures. We'll look at credit risk outlook and strategy, expected loss, risks and rewards and finally wrap up with a look at debt investors and debt and funding products.
What's included
9 videos2 assignments3 discussion prompts
In this module, we'll cover credit markets – trends and recent activity. We'll look at credit spreads, default rates, default frequencies and default probabilities. We'll also look at market indicators, bond spreads cred-t-default-swap markets and credit models. We'll wrap up this module with a look at credit markets and analysis during the pandemic, defaults and bankruptcies.
What's included
5 videos2 assignments3 discussion prompts
In this module, we’ll cover principles, concentration risks, and correlation risks. We’ll cover credit deterioration vs. credit default and Credit-risk mitigation. We’ll wrap up this module with a look at credit derivatives and review the lessons learned from past crises.
What's included
5 videos2 assignments3 discussion prompts
You've come to the end of the course. Let's wrap up with a quick summary of the key takeaways of this course.
What's included
1 video1 reading1 plugin
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Reviewed on Aug 23, 2022
Such a great course. It provided me several concepts in credit risk and risk mitigation.
Reviewed on Dec 5, 2024
Very Good Course for understanding Credit Risk Management.
Reviewed on Aug 9, 2022
Sneak peek into Credit Risk Management, you will get an idea of usual terms that you see your colleagues are using.
Recommended if you're interested in Business
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