FRM Part 2 - Book 2 - Credit Risk (Part 2/2)




FRM Part 2 - Book 2 - Credit Risk (Part 2/2)

James Forjan has taught graduate and post-graduate finance classes for over 25 years and has also co-authored college-level investment books. His resume includes:

  • BS in Accounting

  • Master of Science in Finance

  • PhD in Finance (minor in Economics, two PhD level courses in Econometrics)

  • Completed the CFA Program in 2004 and earned the CFA charter later that year

  • College professor who taught at six institutions since classes such as Corporate Finance, Investments, Derivatives Securities, International Finance

In this course, Prof. 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.

This course includes the following chapters:

10. Netting, Compression, Resets, and Termination Features

11. Collateral

12. Credit Exposure and Funding

13. Counterparty Risk Intermediation

14. Credit and Debt Value Adjustment

15. Wrong-Way Risk

16. The Evolution of Stress Testing Counterparty Exposures

17. Credit Scoring and Retail Credit Risk Management

18. The Credit Transfer Markets – And Their Implications

19. An Introduction to Securitisation

20. Understanding the Securitization of Subprime Mortgage Credit

FRM Course by Prof. James Forjan, PhD

Url: View Details

What you will learn
  • FRM Part 2 - Book 2 - Credit Risk (Part 2/2)

Rating: 4.21429

Level: All Levels

Duration: 7 hours

Instructor: Analyst Prep


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