credit risk manager

  • 1Credit risk analyst — Mit informellen Insolvenzprognoseverfahren werden Insolvenzprognoseverfahren bezeichnet, bei denen menschliche Kreditanalysten Insolvenzprognosen auf Basis ihrer Intuition und persönlichen Erfahrung erstellen. Dabei stehen ihnen gegebenenfalls… …

    Deutsch Wikipedia

  • 2Financial Risk Manager - FRM — A financial designation, obtained through the Global Association of Risk Professionals (GARP) by achieving a passing score on the Financial Risk Manager (FRM) examination, having an active membership in GARP and by having two years of experience… …

    Investment dictionary

  • 3Professional Risk Manager - PRM — A professional designation awarded by the Professional Risk Managers International Association to financial risk managers who pass four exams of one to two hours each. The four exams cover financial theory, financial instruments and markets,… …

    Investment dictionary

  • 4Risk — takers redirects here. For the Canadian television program, see Risk Takers. For other uses, see Risk (disambiguation). Risk is the potential that a chosen action or activity (including the choice of inaction) will lead to a loss (an undesirable… …

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  • 5Credit default swap — If the reference bond performs without default, the protection buyer pays quarterly payments to the seller until maturity …

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  • 6Credit derivative — In finance, a credit derivative is a securitized derivative whose value is derived from the credit risk on an underlying bond, loan or any other financial asset. In this way, the credit risk is on an entity other than the counterparties to the… …

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  • 7Risk management — For non business risks, see risk, and the disambiguation page risk analysis Example of risk management: A NASA model showing areas at high risk from impact for the International Space Station. Risk management is the identification, assessment,… …

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  • 8Credit card — Personal finance Credit and debt Pawnbroker Student loan Employment contract Salary Wage Empl …

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  • 9Credit (finance) — Domestic credit to private sector in 2005 …

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  • 10Risk Management — The process of identification, analysis and either acceptance or mitigation of uncertainty in investment decision making. Essentially, risk management occurs anytime an investor or fund manager analyzes and attempts to quantify the potential for… …

    Investment dictionary