Overview
This course covers distressed debt analysis and investing, focusing primarily on corporates but also including financial institutions and sovereign debt as special topics.
The programme begins with the foundations of the distressed debt market, causes of and early warning signals, possible outcomes and how to evaluate the probability of outcomes in different scenarios.
Restructuring is reviewed in detail, as well as estimation of sustainable debt levels, business valuation and the importance of capital and group structure.
Differences between active control and passive non-control investments are highlighted, including stakeholder tactics and due diligence.
Case studies cover a variety of companies across sectors and geographies, challenging delegates to make investment decisions on real distressed debt situations.
Who the course is for
Distressed debt investors, Loan portfolio managers and Private equity investors
Hedge fund managers
High yield credit analysts and Equity analysts
High yield asset managers and Mergers and acquisitions bankers
Debt capital markets/leveraged finance bankers
Business turnaround/restructuring accountants/corporate finance professionals
Lawyers
Strategy consultants
Course Content
To learn more about the day by day course content please request a brochure
To learn more about schedule, pricing & delivery options, book a meeting with a course specialist now