EDUCBA

Credit Risk Measurement and Management

EDUCBA

Credit Risk Measurement and Management

EDUCBA

Instructor: EDUCBA

Access provided by Interbank

Gain insight into a topic and learn the fundamentals.
2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace
Gain insight into a topic and learn the fundamentals.
2 weeks to complete
at 10 hours a week
Flexible schedule
Learn at your own pace

What you'll learn

  • Analyze credit risk, default probability, and counterparty exposure using industry risk models.

  • Evaluate CVA, securitization structures, credit derivatives, and collateral management frameworks.

  • Apply portfolio credit risk, stress testing, and credit risk measurement techniques in banking.

Details to know

Shareable certificate

Add to your LinkedIn profile

Assessments

10 assignments

Taught in English
Recently updated!

June 2026

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Build your subject-matter expertise

This course is part of the Credit, Market & Liquidity Risk Specialization
When you enroll in this course, you'll also be enrolled in this Specialization.
  • Learn new concepts from industry experts
  • Gain a foundational understanding of a subject or tool
  • Develop job-relevant skills with hands-on projects
  • Earn a shareable career certificate

There are 10 modules in this course

Learn the core principles of credit risk, borrower evaluation, expected loss, and banking credit analysis frameworks used in financial institutions.

What's included

12 videos1 assignment

Develop practical skills for analyzing counterparty exposure, collateral agreements, and risk mitigation techniques in financial transactions.

What's included

12 videos1 assignment

Explore netting structures, collateral agreements, CCP frameworks, margin systems, and wrong-way risk in derivatives markets.

What's included

14 videos1 assignment

Understand rating systems, default probability models, statistical credit models, and advanced risk measurement techniques.

What's included

14 videos1 assignment

Analyze credit valuation adjustments, exposure modeling, expected loss frameworks, and risk-adjusted performance measurement.

What's included

11 videos1 assignment

Examine securitization structures, mortgage metrics, subprime risk, and structured credit market frameworks.

What's included

11 videos1 assignment

Learn Merton Models, credit spread dynamics, credit derivatives, and risk transfer mechanisms used in modern finance.

What's included

12 videos1 assignment

Study default probability estimation, hazard rates, CDS spreads, recovery rates, and credit spread applications.

What's included

14 videos1 assignment

Evaluate portfolio credit risk models, copulas, credit transfer markets, and exposure management techniques.

What's included

13 videos1 assignment

Understand credit exposure modeling, stress testing frameworks, retail banking risk, and risk-based pricing systems.

What's included

13 videos1 assignment

Earn a career certificate

Add this credential to your LinkedIn profile, resume, or CV. Share it on social media and in your performance review.

Instructor

EDUCBA
EDUCBA
1,533 Courses318,998 learners

Offered by

EDUCBA

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