Credit Risk Management

bgerf2111  2024-2025  Bruxelles Saint-Louis

Credit Risk Management
6.00 credits
30.0 h
Q2

  This learning unit is not open to incoming exchange students!

Teacher(s)
Language
French
Learning outcomes

At the end of this learning unit, the student is able to :

To enable students to understand best practices, challenges and trends in credit portfolio and balance-sheet management in various types of financial institutions within the European regulatory environment
 
Content
- Introduction to the course
- Default risk
- Estimating default probabilities
- Default prediction
- Commercial credit risk management
- Credit derivatives, CVA and DVA
- Credit risk regulation
Teaching methods
Physical and on-line teaching, multiple practical examples
Evaluation methods
Written examination (2h) in French or English, on the main concepts and practices presented during the courses; sessions in June and in September.
Bibliography
Pas de bibliographie recommandée
Faculty or entity


Programmes / formations proposant cette unité d'enseignement (UE)

Title of the programme
Sigle
Credits
Prerequisites
Learning outcomes
Advanced Master in Financial Risk Management (shift schedule)

Attestation de réussite : accession au niveau A pour les fonctionnaires fédéraux