Starweaver
Advanced Financial Analysis and Credit Risk Modeling
Starweaver

Advanced Financial Analysis and Credit Risk Modeling

本课程是 Credit Analyst Academy 专项课程 的一部分

 Michael McDonald
Starweaver

位教师: Michael McDonald

包含在 Coursera Plus

深入了解一个主题并学习基础知识。
中级 等级

推荐体验

7 小时 完成
灵活的计划
自行安排学习进度
深入了解一个主题并学习基础知识。
中级 等级

推荐体验

7 小时 完成
灵活的计划
自行安排学习进度

您将学到什么

  • Execute comprehensive ratio analysis for credit evaluation using industry-standard metrics.

  • Perform advanced cash flow analysis to assess debt servicing capabilities.

  • Calculate probability of default and expected loss using quantitative models.

  • Apply structural and reduced-form credit risk models for investment decision-making.

要了解的详细信息

可分享的证书

添加到您的领英档案

最近已更新!

August 2025

授课语言:英语(English)

了解顶级公司的员工如何掌握热门技能

Petrobras, TATA, Danone, Capgemini, P&G 和 L'Oreal 的徽标

积累特定领域的专业知识

本课程是 Credit Analyst Academy 专项课程 专项课程的一部分
在注册此课程时,您还会同时注册此专项课程。
  • 向行业专家学习新概念
  • 获得对主题或工具的基础理解
  • 通过实践项目培养工作相关技能
  • 获得可共享的职业证书

该课程共有6个模块

In this course, you’ll learn how to conduct advanced financial analysis and build robust credit risk models used by professional analysts and institutional lenders. You’ll focus on techniques like ratio and cash flow analysis, probability of default estimation, expected loss modeling, and structural vs. reduced-form credit risk approaches. Through expert instruction and hands-on Excel labs, you’ll gain the skills to evaluate creditworthiness, forecast default scenarios, and support high-stakes lending and investment decisions with data-driven insights. This course will equip you to move from foundational analysis to enterprise-grade credit risk modeling that drives real-world financial performance.

涵盖的内容

1篇阅读材料

In this module, you’ll learn how to evaluate credit risk through comprehensive ratio analysis, using liquidity, leverage, and profitability metrics to assess financial health and debt servicing ability. You’ll examine the practical application of ratios in real-world credit assessments and explore common pitfalls to avoid misinterpretation. Through expert-led sessions, hands-on Excel exercises, and an applied case study, you’ll gain the skills to interpret financial statements with precision and make informed credit evaluation decisions.

涵盖的内容

6个视频1篇阅读材料1个作业1次同伴评审

In this module, you’ll learn how to assess a company’s debt servicing ability through advanced cash flow analysis techniques. You’ll explore the role of EBITDA, free cash flow, and liquidity metrics in evaluating creditworthiness, and apply stress testing and scenario analysis to gauge financial resilience under adverse conditions. Through expert instruction, Excel-based exercises, and case-driven applications, you’ll develop the skills to interpret and model cash flow data for robust credit risk analysis.

涵盖的内容

6个视频1篇阅读材料1个作业1次同伴评审1个讨论话题

In this module, you’ll explore the structure, methodologies, and real-world impact of credit ratings within financial markets. You’ll examine how major credit rating agencies assign ratings, how these ratings influence borrowing costs and capital access, and how they differ across sovereign and corporate entities. Through a detailed case study, hands-on analysis of an actual credit rating report, and critical evaluation of rating limitations, you’ll build the skills to interpret, apply, and question credit ratings in professional financial decision-making.

涵盖的内容

6个视频1篇阅读材料1个作业1次同伴评审1个讨论话题

In this module, you’ll examine the influence of macroeconomic factors on credit risk, focusing on how variables like inflation, interest rates, and economic cycles shape credit markets. You’ll explore sector-specific vulnerabilities, global risks, and the interplay between economic conditions and default probabilities. Through case studies and hands-on analysis using real data sources, you’ll learn to evaluate how shifting macroeconomic conditions impact credit quality and risk assessment strategies.

涵盖的内容

6个视频1篇阅读材料1个作业1次同伴评审

In this module, you’ll analyze the distinctions between corporate and sovereign bonds, focusing on their respective risk factors, credit assessment methods, and market behavior. You’ll investigate how yield spreads signal default risk and economic confidence, and how factors like country risk, debt structure, and market sentiment shape investment decisions. Using real-world data and comparative case studies, you’ll learn to assess the creditworthiness of governments and corporations, and apply bond performance metrics to inform credit risk strategy and portfolio decisions.

涵盖的内容

6个视频1篇阅读材料1个作业2次同伴评审

获得职业证书

将此证书添加到您的 LinkedIn 个人资料、简历或履历中。在社交媒体和绩效考核中分享。

位教师

 Michael McDonald
Starweaver
4 门课程410 名学生
Starweaver
Starweaver
446 门课程818,636 名学生

提供方

Starweaver

从 Finance 浏览更多内容

人们为什么选择 Coursera 来帮助自己实现职业发展

Felipe M.
自 2018开始学习的学生
''能够按照自己的速度和节奏学习课程是一次很棒的经历。只要符合自己的时间表和心情,我就可以学习。'
Jennifer J.
自 2020开始学习的学生
''我直接将从课程中学到的概念和技能应用到一个令人兴奋的新工作项目中。'
Larry W.
自 2021开始学习的学生
''如果我的大学不提供我需要的主题课程,Coursera 便是最好的去处之一。'
Chaitanya A.
''学习不仅仅是在工作中做的更好:它远不止于此。Coursera 让我无限制地学习。'
Coursera Plus

通过 Coursera Plus 开启新生涯

无限制访问 10,000+ 世界一流的课程、实践项目和就业就绪证书课程 - 所有这些都包含在您的订阅中

通过在线学位推动您的职业生涯

获取世界一流大学的学位 - 100% 在线

加入超过 3400 家选择 Coursera for Business 的全球公司

提升员工的技能,使其在数字经济中脱颖而出

常见问题

¹ 本课程的部分作业采用 AI 评分。对于这些作业,将根据 Coursera 隐私声明使用您的数据。