Securitisation concepts and CRISIL's framework for assessing securitisation issuances

 

Summary

 

Objective

 

  • Understand concepts in securitisation and their practical application through case studies 
  • Develop a framework for analysing securitisation transactions backed by retail assets and credit enhancement computations 
  • Get an overview of the key legal, accounting, tax, regulatory and other issues pertaining to securitisation market 
  • Performance of pools in the post Covid-19 environment 

Target participants 

 

  • Issuers of securitised papers - Officers from retail credit, accounts, management information system and legal departments
  • Investors in securitised papers - Officers from credit, treasury and investment departments
  • Investment bankers - As advisors in securitised transactions

 

Course Structure

 

Day 1

 

Session 1:

Introduction to Securitisation, key concepts and terminology

Structuring concepts

 

Session 2:

Rating and analysis of securitisation issuances

 

Day 2

 

Session 3:

Investing in securitisation issuances

 

Session 4:

Key legal and regulatory issues in securitization

 

Trainer Profile

 

The trainer is from CRISIL ratings team with a vast industry experience in handling securitization transactions backed by loan pools across asset classes.

 

 

Training dates - April 22-23,2024

Training fees - ₹ 38,000 + applicable taxes

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