It is essential for lenders, analysts and investors to perform a thorough due diligence when evaluating the creditworthiness of a borrower. Credit risk is by far the most significant risk faced by financial institutions and investors. The broad category of credit and credit analysis course covers many topics including analyzing the credit risk of corporations, sovereigns, municipalities and financial institutions, credit modeling, credit portfolio risk management, credit derivatives and detecting early warning signs.
GFMI offers a full suite of credit and credit analysis courses. Following are just a few examples from our credit and credit analysis course curriculum: