Search result for Credit risk management Online Courses & Certifications
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Credit Risk Analysis and Modeling
by Institute of Investment Banking- 3.5
2.5 hours on-demand video
Learn all about Credit Risk Analysis, Credit Rating, Credit Scoring, Structural Models, Term Structure in details Credit Risk and Rating plays a major role in any of the organization’s lifespan. So one of the steps in this process is Credit Risk and Rating Modeling. 1) Different measures of credit risk 7) Term structure of credit spreads ...
$14.99
FRM Part 2 - Book 2 - Credit Risk (Part 2/2)
by Analyst Prep- 0.0
7 hours on-demand video
James Forgan, PhD, summarizes the first 9 chapters from the Credit Risk book so you can learn or review all of the important concepts for your FRM part 2 exam. Credit Exposure and Funding Counterparty Risk Intermediation Credit and Debt Value Adjustment Wrong-Way Risk Credit Scoring and Retail Credit Risk Management...
$12.99
Risk Management in Banks
by Poonam Tewari , Vijai Kumar Singh , Vivek Gangwar , Pawan Kumar- 0.0
4 Weeks
The emphasis will be on management of Credit Risk, Market Risk, Operational Risk and Enterprise Risk. The course covers major domains of Credit, Market & Operational Risk and concludes with understanding Risk Management at Enterprise Level. Role of Basel in Bank Risk Management & ongoing enhancements brought about in Basel III. Risk Management at Enterprise level....
$149
Enterprise Risk Management (ERM) 101
by Illumeo Learning- 4
1.5 hours on-demand video
This course covers the basic concepts of Enterprise Risk Management (ERM). This course covers the basic concepts of Enterprise Risk Management and important elements that finance executives and personnel need to be aware of when implementing ERM across their company. Managing risk includes all levels of financial, operational and compliance risk. If you would like Continuing Education Credit (e....
$13.99
FRM Part 1 (2020) - Book 1 - Foundations of Risk Management
by Analyst Prep- 4.3
6.5 hours on-demand video
James Forjan, PhD summarizes each chapter from the Foundations of Risk Management book so you can learn or review all of the important concepts for your FRM part 1 exam. The Building Blocks of Risk Management The Governance of Risk Management Credit Risk Transfer Mechanisms Enterprise Risk Management and Future Trends...
$34.99
Corporate Finance II: Financing Investments and Managing Risk
by Heitor Almeida- 4.8
Approx. 20 hours to complete
You will also learn how to measure and manage credit risk and how to deal with financial distress. • Understand how companies make financing, payout and risk management decisions that create value • Manage credit risk and financial distress using appropriate financial tools Module 3: Risk Management Risk Management for R&D Projects...
Financial Risk Manager (FRM) Certification: Level II
by EduPristine Inc- 3.8
47 hours on-demand video
There are in total 5 topics in FRM - II, the first one is Market Risk Measurement and Management which has weightage of 25%, Credit Risk Measurement and Management has 25%, Operational and Integrated Risk Management has 25%, Risk Management and Investment Management has 15%, Current Issues in Financial Markets has 10% weightage....
$49.99
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The Fundamentals of Risk-Based Auditing
by Illumeo Learning- 3.9
1.5 hours on-demand video
The Institute of Internal Auditors defines risk based internal auditing (RBIA) as a methodology that links internal auditing to an organization's overall risk management framework. RBIA allows internal audit to provide assurance to the board that risk management processes are managing risks effectively in relation to the risk appetite. If you would like Continuing Education Credit (e....
$9.99
Establishing a Methodology for Risk Based Auditing
by Illumeo Learning- 4
1.5 hours on-demand video
The Institute of Internal Auditors defines risk based internal auditing (RBIA) as a methodology that links internal auditing to an organization's overall risk management framework. RBIA allows internal audit to provide assurance to the board that risk management processes are managing risks effectively, in relation to the risk appetite. If you would like Continuing Education Credit (e....
$12.99
Financial Engineering and Risk Management Part II
by Martin Haugh , Garud Iyengar- 4.7
Approx. 17 hours to complete
The emphasis of FE & RM Part II will be on the use of simple stochastic models to (i) solve portfolio optimization problems (ii) price derivative securities in various asset classes including equities and credit and (iii) consider some advanced applications of financial engineering including algorithmic trading and the pricing of real options. Pricing and Risk Management of CDO Portfolios...