Credit Risk
Undergraduate (FINC-UB.82) and MBA (FINC-GB.3306.30) Spring 2025 course (Mo 6-9 pm, Feb 3 to May 12) - Credit Risk and Bankruptcy (3.0 credits)
Course Outline
Spring 2025 PhD Elective (Mon 1:30-4:30pm) FINC.GB.4309 - The Nexus Between Sovereign and Financial Sectors (3 credits)
Course Outline
Spring 2024 PhD Course (Mon 130-430pm, Feb 5, 12, 26, Mar 4, 11, 25) - Financial Theory II, Part 2 (1.5 credits)
Course Outline
Graduate (FINC-GB 2313 & FINC-GB 6013) Spring 2024 course (Mo 9-11:50 AM, Jan 29 to May 6) - Financial History of the US: From the Panic of 1907 to Silicon Valley Bank
Course Outline
Undergraduate (FINC-UB.82) and MBA (FINC-GB.3306.30) Spring 2024 course (Mo 6-9 pm, Feb 5 to May 6) - Credit Risk and Bankruptcy (3.0 credits)
Course Outline
Undergraduate (FINC-UB.82) and MBA (FINC-GB.3306.30) Spring 2023 course (Mo 6-9 pm, Feb 6 to May 8) - Credit Risk and Bankruptcy (3.0 credits)
Course outline
MBA (FINC-GB.3106.W1) Winter 2023 Intensive (Jan 17, 19, 22, 24, 26, 29, 31, Feb 2, 5) - Credit Risk and Bankruptcy (3.0 credits)
Course outline
NYU SHANGHAI (SHBI-GB.7732.B10) January Term 2023 (Jan 3, 4, 5, 6, 7, 8, 15, 16, 17, 19 - SH time) - Credit Risk (3.0 credits)
Course outline
Spring 2022 PhD Course (Mon 130-430pm, March 28 to May 9) - Financial Theory II, Part 2 (1.5 credits)
Course outline
Undergraduate (FINC-UB 82) and MBA (FINC-GB.3306) Spring 2022 course (Mo 6-9 pm) - Credit Risk and Bankruptcy (3 credits)
Course outline - Focus will be on using Credit Default Swaps market to understand the Corporate, Sovereign, Sub-sovereign (Municipal) and Financial Sector Credit Risks, and their nexus, including the post-COVID developments
Fall 2021 PhD Elective (Thu 10am to 1pm) FINC.GB.4309 - The Nexus Between Sovereign and Financial Sectors (3 credits)
Course outline
MBA and Undergraduate Spring 2021 course - Business, Economy and Policy in the midst of COVID-19 (with Richard Berner)
Course outline
MBA Spring 2021 Elective (M, W 930-1050am) FINC-GB 3306 - Credit Risk and Bankruptcy (3.0 credits)
Course outline - Focus will be on using Credit Default Swaps market to understand the Corporate, Sovereign, Sub-sovereign (Municipal) and Financial Sector Credit Risks, and their nexus, including the post-COVID developments
MBA Winter 2021 Intensive (Jan 17, 19, 21, 24) FINC-GB 3106.W1 - Topics in Credit Risk (1.5 credits)
Course outline - Focus will be on using Credit Default Swaps market to understand the Nexus Between Sovereign and Financial Sector Credit Risks, including the post-COVID developments.
MBA and Undergraduate Fall 2020 course - Business, Economy and Policy in the midst of COVID-19 (with Richard Berner)
Course outline
Fall 2020 PhD Course (Mon 12-315pm, Nov 2 to Dec 7) - Financial Theory II, Part 2 (1.5 credits)
Course outline
MBA Winter 2020 Intensive (Jan 27, 29, Feb 1, 3, 5) FINC-GB 3106.W1 - Topics in Credit Risk (1.5 credits)
Course outline
Spring 2020 PhD Elective (Thu 2-5pm) FINC.GB.4309 - The Nexus Between Sovereign and Financial Sectors (3 credits)
Course outline
Winter Intensive FINC.GB.3305.W1 2016S - Credit Risk
Course Outline
Fall15 PhD Elective FINC.GB.0323 - Sovereign and Financial Credit Risk
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Winter Intensive FINC.GB.3305.W1 2015 - Credit Risk
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Winter Intensive FINC.GB.3305.W1 2014 - Credit Risk
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Sp13 GB.3305 20 MW 10:30-11:50 Credit Risk (Graduate Day)
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Winter Intensive (Jan 17, 19, 22, 24, 26) 2012 - Topics in Credit Risk
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Sp11 B40.3305 20 TuTh 1:30-2:50 Credit Risk (Graduate Day)
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Sp11 B40.3305 30 Tu 6:00-9:00 Credit Risk (Langone)
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Sp10 B40.3305 20 TuTh 1:30-2:50 Credit Risk (Graduate Day)
Course Outline
Sp10 B40.3305 30 Tu 6:00-9:00 Credit Risk (Langone)
Course Outline
Sp10 B40.3306.89 FrSa 9:00-12:30 Credit Risk, Bankruptcy and Distressed Securities (Executive MBA)
Course Outline
Course material for registered students is available on BlackBoard.