Bank Industry Analysis by S&P – Chapter 2

Bank Industry Analysis by S&P - Chapter 2

The set includes: the full unrestricted, ad-free video access, the course outline, the course summary. USD 29.00 / year

Outline
Summary

Bank Industry Analysis by S&P – All chapters

Part 1, Chapter 2 describes the methodology behind S&P’s determination of the economic risk component of its so-called BICRA, or Banking Industry Country Risk Assessment.

Target audience: Corporate bankers, relationship managers, research analysts, credit risk managers

Prerequisite required:
– None

Prerequisite recommended:
– Basel I and Basel II: Quantitative Rules