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An Introduction to Credit Risk Management

An Introduction to Credit Risk Management

What is credit risk? Why is it so important, in modern economies, to correctly deal with it? This course combines theory with practice to answer these questions.

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Credit and Credit Risk Analysis Professional Certificate Examination

Credit and Credit Risk Analysis Professional Certificate Examination

Complete the required exam to earn your professional certificate in Credit and Credit Risk Analysis from the New York Institute of Finance.

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Credit Risk Management: Frameworks and Strategies

Credit Risk Management: Frameworks and Strategies

In this course, you will use business and industry analysis to understand companies, projects, business models, and financing proposals. You will then prepare qualitative risk analysis for specific companies to use as the basis for financial analysis, project analysis, and risk decisions. Lastly, you will understand how to use financial ratios and financial metrics to evaluate a company or project’s profitability, balance sheet, capital structure, and cash flow to assess overall financial performance and risk profile.

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  • 9 ساعات
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Overview of Advanced Methods of Reinforcement Learning in Finance

Overview of Advanced Methods of Reinforcement Learning in Finance

In the last course of our specialization, Overview of Advanced Methods of Reinforcement Learning in Finance, we will take a deeper look into topics discussed in our third course, Reinforcement Learning in Finance. In particular, we will talk about links between Reinforcement Learning, option pricing and physics, implications of Inverse Reinforcement Learning for modeling market impact and price dynamics, and perception-action cycles in Reinforcement Learning.

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  • 13 ساعات
  • الإنجليزية
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Corporate Finance II: Financing Investments and Managing Risk

Corporate Finance II: Financing Investments and Managing Risk

In this course you will learn how companies decide on how much debt to take, and whether to raise capital from markets or from banks. You will also learn how to measure and manage credit risk and how to deal with financial distress. You will discuss the mechanics of dividends and share repurchases, and how to choose the best way to return cash to investors. You will also learn how to use derivatives and liquidity management to offset specific sources of financial risk, including currency risks.

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  • 19 ساعات
  • الإنجليزية
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