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PRMIA 8008 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Operational Risk | - Operational risk types and sources - Operational risk management techniques
|
| Topic 2: Counterparty Risk | - Derivatives credit risk considerations - Netting and collateral management - Counterparty credit exposure |
| Topic 3: Funds Transfer Pricing (FTP) | - Internal pricing of funds and liquidity allocation - FTP methodologies |
| Topic 4: Risk Management Frameworks | - Risk measurement and reporting frameworks - Enterprise risk management principles
|
| Topic 5: Asset-Liability Management (ALM) | - Liquidity risk management - Interest rate risk in the banking book (IRRBB) |
| Topic 6: Market Risk | - Interest rate, equity, FX, and commodity risk - Market risk measurement techniques
|
| Topic 7: Credit Risk | - Credit portfolio risk - Credit risk measurement and modeling
|
PRMIA PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition Sample Questions:
Question 1
For an option position with a delta of 0.3, calculate VaR if the VaR of the underlying is $100.
A. 30
B. 100
C. 130
D. 33.33
Question 2
A bank expects the error rate in transaction data entry for a particular business process to be 0.005%. What is the range of expected errors in a day within +/- 2 standard deviations if there are 2,000,000 such transactions each day?
A. 90 to 110 errors in a day
B. 60 to 80 errors in a day
C. 80 to 120 errors in a day
D. 0 to 200 errors in a day
Question 3
The sum of the stand alone economic capital of all the business units of a bank is:
A. unrelated to the economic capital for the firm as a whole
B. more than the economic capital for the firm as a whole
C. equal to the economic capital for the firm as a whole
D. less than the economic capital for the firm as a whole
Question 4
There are three bonds in a diversified bond portfolio, whose default probabilities are independent of each other and equal to 1%, 2% and 3% respectively over a 1 year time horizon. Calculate the probability that exactly 1 of the three bonds will default.
A. 2%
B. 5.8%
C. 0%
D. .011%
Question 5
Which of the following statements are true in relation to Historical Simulation VaR?
I. Historical Simulation VaR assumes returns are normally distributed but have fat tails II. It uses full revaluation, as opposed to delta or delta-gamma approximations III. A correlation matrix is constructed using historical scenarios IV. It particularly suits new products that may not have a long time series of historical data available
A. All of the above
B. II and III
C. A
D. II
E. I and IV
Solutions:
| Question 1 Answer: A | Question 2 Answer: C | Question 3 Answer: B | Question 4 Answer: B | Question 5 Answer: C |
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