Credit Risk Fundamentals

Description

Learn the fundamentals of market and credit risk management, including how to identify, quantify, monitor and control risks at the transaction and portfolio levels. You'll develop skills and tools to manage these risks and avoid the consequences of a credit crunch, liquidity crisis or credit default. Looking at recent market events and their impact on global organizations, you'll see how markets extend credit and calculate and manage credit risk for various transactions.

Note: Check with the institution regarding start/ end dates, prices, and delivery method. These may vary according to program, section, and/or semester.  
 
 

Overview

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  • Institution: University of Toronto
  • Level: University
  • Language: English
  • Course Code: 2392
  • Delivery Method: Fully Online/Distance

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Disclaimer:
Check with the institution regarding start/end dates, prices, and delivery method. These may vary according to program, section, and/or semester.