im电竞游戏入口官网(im电竞游戏选手2.5.7): Live Online
The overall goal of this intensive study based course is to give participants a structured approach to the credit analysis of different types of NBFI; finance and leasing companies, securities companies (brokers and broker dealers), and investment funds and asset managers (funds, hedge funds and investment managers). At the end of the course, participants will be given a secure link to the assessment page after completion of the programme. The assessment consists of a untimed multiple choice test where they will be called upon to demonstrate some of the knowledge and skills that they have learnt on the programme.
Key Learning Outcomes:
- Distinguish the key business risks, financial indicators and accounting issues by sector, business line, type of institution or fund structure
- Use market indicators, quantitative and qualitative analysis to identify strong and weak performers
- Appreciate how economic, structural, competitive and regulatory issues impact strategy and financial health
- Understand performance indicators and financial statements for each business model to uncover key credit issues and the impact of differing accounting policies
Who Should Attend
Bank trading and credit risk managers; portfolio and bank relationship managers; equity and fixed income analysts; investment managers, supervisors; lawyers.