In this course, you'll gain a strategic introduction to credit analysis and fixed income investing, blending foundational principles with practical tools to assess financial health, creditworthiness, and investment potential. Designed for professionals in investment management, corporate finance, or credit evaluation, the course explores how credit decisions are made, how debt instruments function, and how financial and non-financial data inform risk assessment.

Advanced Financial Analysis and Credit Risk Modeling

Advanced Financial Analysis and Credit Risk Modeling
This course is part of Credit Analyst Academy Specialization


Instructors: Michael McDonald
Access provided by ExxonMobil
Recommended experience
What you'll learn
Execute comprehensive ratio analysis for credit evaluation using industry-standard metrics.
Perform advanced cash flow analysis to assess debt servicing capabilities.
Calculate probability of default and expected loss using quantitative models.
Apply structural and reduced-form credit risk models for investment decision-making.
Skills you'll gain
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There are 6 modules in this course
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