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Certified Credit Research Analyst (Level I) (AIWMI)

Certified Credit Research Analyst (Level I) (AIWMI) - Mahavir Law House(MLH)
Certified Credit Research Analyst (Level I) (AIWMI..

[Not available]

₹345
ISBN
9789350713334
Edition
2013
Pages | Format
336 | Paperback
Approx. Product Size
0.53

Description

The Certified Credit Research Analyst (CCRACM) is a comprehensive global education program designed to give expert level understanding of credit markets to fresh graduates and experienced professionals. It integrates the fundamental of financial analysis, credit analysis, rating methodology and strategy. It offers the tools a candidate needs to occupy key positions in the world of finance, private banking, credit analysis and fixed income.

CCRACM certification is offered by the Association of International Wealth Management of India (AIWMI). The exam are conducted by National Stock Exchange.

About AIWMI

About Association of International Wealth Management of India (AIWMI):
AIWMI is a premier education institution in advanced Wealth Management domain offering the following prestigious certification programs:

  • Certified International Wealth Manager (CIWM®)
  • Certified International Investment Analyst (CIIA®)
  • Certified Credit Research Analyst (CCRACM)

AIWMI is playing a key role in guiding the development of Wealth Management & Private Banking profession and the professionals working in the same. AIWMI works with key industry participants’ viz. the Government, the Regulators, the Industries/Associations, the Corporate, the Media and the General Public to achieve its objectives.

AIWMI primarily focuses on broader and strategic role of developing a more robust and forward looking training infrastructure for private banking and wealth management sector and to promote more active industry involvement and collaboration in training and continuing education matters.

Besides enhancing technical competencies and professionalism in the industry, AIWMI organizes events and facilitates discussions to promote best practices in leadership and talent development in the financial sector with an aim to become Asia’s premier centre of excellence for financial education.

Chapter No Chapter name
MODULE: 1 FINANCIAL STATEMENTS ANALYSIS
Chapter: 1 INTRODUCTION : ROLE OF FINANCIAL STATEMENTS
Chapter: 2 RELEVANCE OF NOTES TO ACCOUNTS AND SCHEDULES TO FINANCIAL STATEMENTS
Chapter: 3 NUANCES OF ACCOUNTING: INVENTORIES, DEPRECIATION, EPS, INTANGIBLE ASSETS
Chapter: 4 RATIO ANALYSIS
Chapter: 5 FINANCIAL MODELLING AND COVENANT TESTING
Chapter: 6 NUANCES OF LEASES, HIRE PURCHASE, PENSION LIABILITIES AND CLASSIFICATION OF INVESTMENTS IN FINANCIAL ASSETS
Chapter: 7 RED FLAGS
Chapter: 8 INDIAN GAAP & IFRS – SIMILARITIES & DIFFERENCES
MODULE: 2 CREDIT SPECIFIC ANALYSIS
Chapter: 9 LIQUIDITY ANALYSIS
Chapter: 10 STRESS TESTING
Chapter: 11 COMPARISON : SECTOR VERSUS GLOBAL
Chapter: 12 LIQUIDATION SCENARIO
Chapter: 13 EVENT, M&A/ LBO
MODULE: 3 UNDERSTANDING ON BONDS
Chapter: 14 COVENANTS
Chapter: 15 PRICING, SPREADS AND CURVES
Chapter: 16 CREDIT DEFAULT SWAP (CDS)
Chapter: 17 SENIORITY RANKING
Chapter: 18 RICH CHEAP ANALYSIS
Chapter: 19 BOND VALUATION MEASURES INCLUDING SWAPS, OAS, YTW, YTM