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πΆ Advanced
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4.8 (13 reviews)
Advanced Credit: Macro, ESG & Industry Trends Analysis
Analyze markets, industries, and high-yield debt with ESG and macroeconomic trends
π― What You Will Learn & Master
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Integrate ESG data into default probability models
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Assess industry-level macroeconomic shocks on credit spreads
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Structure high-yield debt with ESG covenants
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Map regulatory changes to sector-specific credit risk
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Quantify transition risk in legacy credit portfolios
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Develop scenario analysis for climateβrelated credit events
π Course Overview & Syllabus Review
This course delivers a practical framework for integrating macroeconomic shifts and ESG factors into credit analysis. Rather than abstract theory, the sessions walk through real-world cases of industry transformation and high-yield debt structuring, showing how to adjust credit metrics when environmental or regulatory pressures shift default probabilities. The instruction is grounded in current market dynamics, making it immediately applicable for professionals who need to update credit models for evolving sector risks.
π Structured Curriculum Breakdown
6 Core Modulesπ Prerequisites & Requirements
- None
πΌ Target Career & Job Roles
Credit Analyst
ESG Risk Manager
Fixed Income Trader
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Duration:
3 total hours
Credential:
Completion certificate
Language:
English
Instructor:
Starweaver Group, Michael McDonald, Paul Siegel, Globecon Experts