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Udemy
📶 Intermediate
★ 4.8 (11 reviews)
The Professional’s Guide to Credit Portfolio Management
Master credit analysis, bond pricing, CDS, and Basel III compliance for professional portfolio management.
🎯 What You Will Learn & Master
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Analyze credit risk using industry-standard frameworks
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Price bonds and evaluate spread dynamics
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Structure and trade CDS protection
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Ensure Basel III regulatory compliance
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Construct diversified credit portfolios
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Assess default probabilities and recovery rates
📖 Course Overview & Syllabus Review
This course delivers a practical, no-nonsense walkthrough of credit portfolio management, moving from bond pricing fundamentals to advanced credit risk metrics. The instructors break down complex topics like CDS structures and Basel III compliance into digestible segments, emphasizing real-world application over theory. I particularly appreciated the sections on credit portfolio strategies, which bridge the gap between academic credit analysis and the operational demands of managing diversified fixed-income books.
📚 Structured Curriculum Breakdown
6 Core Modules📋 Prerequisites & Requirements
- None
💼 Target Career & Job Roles
Credit Analyst
Fixed Income Trader
Portfolio Manager
Frequently Asked Questions (FAQ)
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Duration:
2.5 total hours
Credential:
Completion certificate
Language:
English
Instructor:
Starweaver Group, Michael McDonald, Paul Siegel, Globecon Experts