FRM Part 2 - Book 2 - Credit Risk (Part 2/2)
About this course
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 AccountingMaster of Science in FinancePhD in Finance (minor in Economics, two PhD level courses in Econometrics)Completed the CFA Program in 2004 and earned the CFA charter later that yearCollege professor who taught at six institutions since classes such as Corporate Finance, Investments, Derivatives Securities, International FinanceIn 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 Features11. Collateral12. Credit Exposure and Funding13. Counterparty Risk Intermediation14. Credit and Debt Value Adjustment15. Wrong-Way Risk16. The Evolution of Stress Testing Counterparty Exposures17. Credit Scoring and Retail Credit Risk Management18. The Credit Transfer Markets – And Their Implications19. An Introduction to Securitisation20. Understanding the Securitization of Subprime Mortgage Credit
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What you'll learn
- understand netting, compression, and termination features
- analyze collateral and credit exposure
- evaluate counterparty risk intermediation
- assess credit and debt value adjustments
- recognize wrong-way risk and stress testing implications
- explore credit scoring methodologies
- understand securitization and its impact on subprime mortgage credit
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