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PRMIA 8008 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Operational Risk | - Operational Risk Identification and Assessment - Operational Risk Measurement and Controls |
| Market Risk | - Market Risk Measurement Techniques - Market Risk Models and VAR |
| Credit Risk | - Credit Risk Analysis and Measurement - Credit Risk Mitigation and Management |
| Funds Transfer Pricing (FTP) | - FTP Implementation and Governance - FTP Framework and Methodologies |
| Asset-Liability Management (ALM) | - Interest Rate Risk in the Banking Book - Liquidity and Funding Risk Management |
| Counterparty Risk | - Counterparty Exposure and Collateral Management - Pre-Settlement and Settlement Risk |
| Risk Management Frameworks | - Governance and Risk Culture - Enterprise Risk Management Principles |
PRMIA PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition Sample Questions:
1. For a US based investor, what is the 10-day value-at risk at the 95% confidence level of a long spot position of EUR 15m, where the volatility of the underlying exchange rate is 16% annually. The current spot rate for EUR is 1.5. (Assume 250 trading days in a year).
A) 2632000
B) 1184400
C) 526400
D) 5922000
2. Which of the following are elements of 'group risk':
I. Market risk
II. Intra-group exposures
III. Reputational contagion
IV. Complex group structures
A) I and II
B) II, III and IV
C) II and III
D) I and IV
3. Which of the following contributed to the systemic failure during the credit crisis that began in 2007?
A) Moral hazard from the strategy of 'originate and distribute'
B) All of the above
C) Inadequate attention paid to liquidity risk
D) Stress tests that did not stress enough
4. The estimate of historical VaR at 99% confidence based on a set of data with 100 observations will end up being:
A) the worst single observation in the data set
B) None of the above
C) the weighted average of the top 2.33 observations
D) the extrapolated returns of the last 1.64 observations
5. Which of the following is NOT an approach used to allocate economic capital to underlying business units:
A) Incremental economic capital contributions
B) Marginal economic capital contributions
C) Stand alone economic capital contributions
D) Fixed ratio economic capital contributions
Solutions:
| Question # 1 Answer: B | Question # 2 Answer: B | Question # 3 Answer: B | Question # 4 Answer: A | Question # 5 Answer: D |
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