Ir al contenido principal

NYIF: Stress Testing and Risk Regulation – Part 2

4.9 stars
22 ratings

Learn how to define a reverse stress test and compare it to a conventional stress test.

Stress Testing and Risk Regulation – Part 2
4 semanas
1–2 horas por semana
A tu ritmo
Avanza a tu ritmo
Costo de inscripción
349 US$

Hay una sesión disponible:

Una vez finalizada la sesión del curso, será archivadoAbre en una pestaña nueva.
Comienza el 19 abr
Termina el 4 may

Sobre este curso

Omitir Sobre este curso

This economics and finance course will cover the practical aspects of conducting CCAR/DFAST tests in the US. We will also review the impact of the financial (subprime) crisis of 2007 and 2008 on regulatory reform and the consequences for financial intermediaries.

Upon completion of this course, participants will receive a certificate bearing the New York Institute of Finance (NYIF) name. A NYIF certificate is a valuable addition to your credentials, proving that you have acquired the work-ready skills that employer’s value.

For those who wish to go further, students can enroll in the other four modules to earn the complete Risk Management Professional Certificate, backed by the New York Institute of Finance’s 93-year history. As a final option, students may also opt to sit for the NYIF Certificate of Mastery Exam, resulting in the Risk Management Certificate of Mastery upon successful completion.

De un vistazo

  • Institution NYIF
  • Subject Economía y finanzas
  • Level Intermediate
  • Prerequisites
    • Basic MS Excel skills
    • Basic probability and statistics
  • Language English
  • Video Transcripts اَلْعَرَبِيَّةُ, Deutsch, English, Español, Français, हिन्दी, Bahasa Indonesia, Português, Kiswahili, తెలుగు, Türkçe, 中文
  • Associated programs
  • Associated skillsComprehensive Capital Analysis And Review (CCAR), Economics, Stress Testing, Risk Management, Finance

Lo que aprenderás

Omitir Lo que aprenderás
  • Describe common approaches to stress testing.
  • Explain challenges in designing stress test scenarios, including the problem of coherence in modeling risk factors.
  • Describe the practical problems associated with conducting comprehensive stress tests for large financial intermediaries.
  • Define reverse stress testing and compare it to conventional stress tests.
  • Understand the critiques of prudential risk regulation.

Plan de estudios

Omitir Plan de estudios

Module 1: Stress Testing

  • Lesson 1: Approaches to Stress Testing
  • Lesson 2: Common Historical Scenarios
  • Lesson 3: Credit Stress
  • Lesson 4: Stress Testing process
  • Lesson 5: Value at Risk

Module 2: Regulatory Stress Tests

  • Lesson 1: BIS Requirement and Stress Testing Guidelines
  • Lesson 2: Regulatory Stress Tests
  • Lesson 3: Regulatory Stress Test Scenarios
  • Lesson 4: PNPR Modeling
  • Lesson 5: Critiques and Benefits

Module 3: The Capital Debate

  • Lesson 1: Capital
  • Lesson 2: Bank Leverage Reduction

Este curso es parte del programa Risk Management Professional Certificate

Más información 
Instrucción por expertos
6 cursos de capacitación
A tu ritmo
Avanza a tu ritmo
5 meses
1 - 2 horas semanales

¿Te interesa este curso para tu negocio o equipo?

Capacita a tus empleados en los temas más solicitados con edX para Negocios.