Credit Analysis: Portfolio Management & Regulations
Completed by Marcos Cantu IV
April 17, 2026
6 hours (approximately)
Marcos Cantu IV's account is verified. Coursera certifies their successful completion of Credit Analysis: Portfolio Management & Regulations
What you will learn
Evaluate bond pricing, yields, and credit spreads to support credit analysis and informed investment decisions.
Implement credit derivatives and structured products for effective credit risk management and risk mitigation strategies.
Apply Basel regulatory frameworks and stress testing methodologies to strengthen credit risk analysis and regulatory compliance.
Execute comprehensive credit portfolio management strategies across diverse market conditions.
Skills you will gain
- Category: Lending and Underwriting
- Category: Financial Services
- Category: Regulatory Compliance
- Category: Commercial Lending
- Category: Business Valuation
- Category: Financial Regulation
- Category: Investment Management
- Category: Risk Mitigation
- Category: Compliance Management
- Category: Financial Regulations
- Category: Capital Markets
- Category: Securities (Finance)

