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Learn essential concepts of credit risk governance in this FRM Part 2 video lesson covering Chapter 2 of Book 2. Master the fundamentals of credit risk, including its definition, origins, and real-world examples. Differentiate between key terms like insolvency, default, and bankruptcy while exploring various transactions that generate credit risk exposure. Examine different entities susceptible to credit risk and understand the circumstances leading to such exposure. Gain insights into the strategic reasons behind managing or assuming credit risk positions. Delivered by a GARP-Approved Exam Preparation Provider, develop a comprehensive understanding of credit risk measurement and management principles crucial for the FRM certification.
Syllabus
Governance (FRM Part 2 – Book 2 – Credit Risk Measurement and Management – Ch 2)
Taught by
AnalystPrep