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This course is based on the belief that analytical methods are best understood by implementing them. It does not only introduce students to the major concepts and instruments for the management of credit risk in both capital markets and banking institutions theoretically but also shows how to implement them employing Excel. Although not always the first choice for some problems, it is the major application used in financial institutions and accessible from almost everywhere. Nonetheless, students are not required to have an excessive prior knowledge in Excel! All applications will be demonstrated and described in class. Furthermore, it will be shown that other statistical packages (e.g. Stata) will provide helpful for an analysis of markets related to credit risk.