Explain credit risk appetite. What are the factors to be considered while deciding credit on […]
Category: APRM01U – Credit Risk Management
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 […]
Country risk in credit portfolio
What do you mean by country risk in the context of a credit portfolio? According […]
Maturity risk & Liquidity risk.
What is maturity risk? Describe some of the ways in which this risk can be […]
Systematic risk vs unsystematic risk
What is the difference between systematic and unsystematic risks? Is it true that regulators are […]
Portfolio Standard deviation
Kadima Corporate and Investment Bank has a portfolio of two loans with a total value […]