- Derivatives
- Balance Sheet
- Financial Analysis
- Market Trend
- Risk Analysis
- Risk Management
- Risk Mitigation
- Financial Market
- Financial Statement Analysis
- Portfolio Risk
- Credit Risk
- Portfolio Management
Credit Risk Management: Frameworks and Strategies
Completed by Fernando Nathael Ramones Fernandez
August 15, 2024
8 hours (approximately)
Fernando Nathael Ramones Fernandez's account is verified. Coursera certifies their successful completion of Credit Risk Management: Frameworks and Strategies
What you will 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 will gain

