This course's objective is to provide participants with a structured approach to analyzing the credit risk of developed market, commercial and universal banks and the skills to make an independent assessment of the strengths and weaknesses of a bank.
Evaluate strategy and risk management capabilities within the context of the current and future economic climate and changing competitive, political and regulatory conditions, including Basel III capital and liquidity requirements.
Commitment: 5 to 6 hours per week
Subtitles: Italian, German, French, Hebrew
Pass all graded assignments to complete the course.
Once you graduate this course you will be able to identify financial, qualitative and market early warning signals of credit risk and migration.
CHRISTINA SCOTT - Interesting
The instructor was great and I hope to participate on other courses. The course and the materials will be very helpful for me.
WALTER Z. - Important course
I really enjoyed the course and the instructors and the material was easy enough to understand. Not a course for begginners though.
DONALD WILLIAMS - Not Easy
This course is not for beginners. Not recommended for people who don't have any background in risk management.