Credit Risk Management

Programme overview

Providing insight and applications essential to the informed practitioner

Combining technical depth with real-world relevance, the programme has been designed to provide participants with a balanced overview of the credit risk market, the instruments traded and the practical application of modelling techniques.

Credit Risk Management presents an in-depth understanding of credit risk and credit related instruments, and hands on experience in using data and models to assess credit risk to value the associated derivatives.

It aims to provide a balance between developing, on one hand, a sound conceptual framework and, on the other, market understanding and insight.

World-class faculty; real-world experience
Taught by world-class faculty, the programme reflects the increasing overlap in credit research carried out by academics and practitioners. The faculty members teaching Credit Risk Management have extensive real-world experience and are academic leaders in the field who have been extensively published in leading academic and practitioner publications.