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PRMIA 8008 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Operational Risk | - Operational Risk Identification and Assessment - Operational Risk Measurement and Controls |
| Counterparty Risk | - Pre-Settlement and Settlement Risk - Counterparty Exposure and Collateral Management |
| Credit Risk | - Credit Risk Analysis and Measurement - Credit Risk Mitigation and Management |
| Risk Management Frameworks | - Governance and Risk Culture - Enterprise Risk Management Principles |
| Asset-Liability Management (ALM) | - Liquidity and Funding Risk Management - Interest Rate Risk in the Banking Book |
| Funds Transfer Pricing (FTP) | - FTP Implementation and Governance - FTP Framework and Methodologies |
| Market Risk | - Market Risk Measurement Techniques - Market Risk Models and VAR |
PRMIA PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition Sample Questions:
1. Which of the following are considered asset based credit enhancements?
I. Collateral
II. Credit default swaps
III. Close out netting arrangements
IV. Cash reserves
A) I and IV
B) I, II and IV
C) I and III
D) II and IV
2. Which of the following is not a measure of risk sensitivity of some kind?
A) Convexity
B) PL01
C) Delta
D) CR01
3. Which of the following best describes economic capital?
A) Economic capital is the amount of regulatory capital that minimizes the cost of capital for firm
B) Economic capital is the amount of regulatory capital mandated for financial institutions in the OECD countries
C) Economic capital is a form of provision for market risk losses should adverse conditions arise
D) Economic capital reflects the amount of capital required to maintain a firm's target credit rating
4. Which of the following statements are true ?
I. Risk governance structures distribute rights and responsibilities among stakeholders in the corporation II. Cybernetics is the multidisciplinary study of cyber risk and control systems underlying information systems in an organization III. Corporate governance is a subset of the larger subject of risk governance IV. The Cadbury report was issued in the early 90s and was one of the early frameworks for corporate governance
A) I and IV
B) I, II and IV
C) All of the above
D) II and III
5. The backtesting of VaR estimates under the Basel accord requires comparing the ex-ante VaR to:
A) realized profit and loss for the period
B) ex-ante VaR calculated for the subsequent periods
C) hypothetical profit and loss keeping the positions constant
D) the Basel accord does not require banks to backtest VaR estimates
Solutions:
| Question # 1 Answer: C | Question # 2 Answer: B | Question # 3 Answer: D | Question # 4 Answer: A | Question # 5 Answer: A |
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