African Bank has a credit portfolio of two loans for R20 000 000 each. One […]
Month: November 2021
2 Asset Portfolio Standard Deviation
Lynnwood Credit Union has a portfolio of two loans with a total value of R10 […]
Standard Deviation and Correlation of Assets.
Your bank has a portfolio of two assets to the value of R6 000 000 […]
Are external ratings reliable?
Are external ratings reliable? Describe the precautions to take when relying on external ratings. (5) […]
Explain credit risk appetite.
Explain credit risk appetite. What are the factors to be considered while deciding credit on […]
Benefits of a credit risk grade system
Explain the benefits of a credit risk grade system Introduction Grade or rating refers to […]
How credit bubbles manifest.
Explain how credit bubbles manifest in different ways in an economy. Introduction According to Joseph […]
Consequences of credit bubbles.
What are the consequences of credit bubbles? Introduction There are various consequences that arise from […]
Mitigating Over-trading
What are the mitigation measures available to a bank to prevent (i) over-trading and (ii) […]
Correlations & credit portfolio risk
What is the relevance of correlations from a credit portfolio risk management perspective? Correlation is […]