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Valuation and Credit Risk Management

Get your brand in front of the Finance buyers at Valuation and Credit Risk Management with geofenced ads.

Date

Oct 19, 2026 — Oct 21, 2026

Venue

New York Institute of Finance, New York, NY, USA

Official Site

About

Finance

Valuation and Credit Risk Management

The Valuation and Credit Risk Management course, hosted by the New York Institute of Finance, is an extensive program designed for professionals in the finance sector, including credit analysts, credit risk managers, risk controllers, credit traders, and portfolio managers. This course offers a comprehensive survey of credit risk modeling, valuation, and credit risk management techniques, making it a vital component of the Advanced Credit Risk Professional Certificate. Participants will delve into critical concepts such as defaults, recoveries, spreads, and cycles within credit risk modeling, gaining insights into both actuarial (objective) models and risk-neutral valuation models.The curriculum is structured into multiple modules that address various aspects of single issuer credit risk, including credit transition models, structural models, and reduced form models. Participants will explore commercial implementations, including tools from Moody's Analytics, and learn about the probability of default (PD) and loss given default (LGD) metrics. The course also covers advanced topics in portfolio credit risk and capital allocation for credit risk, providing attendees with a strong foundation in value at risk (VaR) for credit portfolios and the mechanics of credit derivatives. By the end of the program, attendees will be equipped with the skills necessary to derive default probabilities from bond and equity prices, understand the dynamics of credit spreads, and utilize trader arithmetic for effective decision-making in credit risk contexts. This rigorous training is aimed at professionals from diverse regions, including Armenia, the USA, and Zimbabwe, ensuring a global reach and relevance.

Oct 19, 2026 – Oct 21, 2026
New York Institute of Finance, New York, NY, USA
Official website

Expected Attendees

4,000

Industry

Finance

Event Details

Industry

Finance

Venue

New York Institute of Finance

Location

New York Institute of Finance, New York, NY

New York, NY, USA

Topics

credit riskrisk managementfinancial valuationcredit modelingportfolio managementfinancial trainingbanking finance

How it works

Advertise at Valuation and Credit Risk Management in 3 steps

1

Pick your event

You're already here — Valuation and Credit Risk Management is ready to target.

2

Draw your geofence

Outline the venue, or use our suggested zones, to define exactly where your ads run.

3

Launch your campaign

Go live in minutes and start reaching attendees throughout the event.

Geofences

No zones configured

Got questions?

Frequently Asked Questions

Valuation and Credit Risk Management in New York concentrates around 4,000 Finance professionals in one place, so your ads reach people already interested in your category instead of a broad, untargeted crowd.

Draw a geofence around New York Institute of Finance in New York and serve display, video, or CTV ads to the phones inside it — the same audience an exhibitor pays for, without the booth, travel, or staff.

Geofenced event campaigns tend to outperform standard display because the audience is already primed for your category. Run ads during the event, then retarget the same attendees afterward.

Valuation and Credit Risk Management draws roughly 4,000 Finance professionals, a focused audience for well-targeted advertising.

Pick Valuation and Credit Risk Management, outline the venue with a geofence, set your budget, and launch — most campaigns go live in minutes, with full performance reporting throughout.

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