This module builds upon the credit concepts and techniques presented in Financial Statement Analysis & Credit Metrics module. Emphasis is placed on the development of viable projections based on historical financial data, market information and management’s capabilities to navigate challenges for the business and industry. Based on the forecast, participants are required to structure a deal including pricing, covenants, collateral and risk mitigating products including interest rate swaps, currency swaps, credit default swaps and other pertinent products. Market deals are used to facilitate the learning experience.
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- Value Drivers & Financial Forecasting
- Structuring Fundamentals
- Valuation Techniques
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- Leveraged Transactions
- Group Presentations – Theme Company
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Evaluation
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One Examination Group Presentation
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Thank you for your interest in Kennedy Moran Associates. We want to be as responsive to your needs as possible. To register or ask questions about this course or any other course that we offer, you may:
Call Tom Kennedy at (516) 503-9393 or e-mail tomkennedy@kennedymoran.com
or complete registration form below to register for a course.
We will respond to you as soon as possible.
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