Exam I: Finance Theory Financial Instruments Financial Markets - 2015 Edition: 8006 Exam


"Exam I: Finance Theory Financial Instruments Financial Markets - 2015 Edition", also known as 8006 exam, is a PRMIA Certification. With the complete collection of questions and answers, PrepAwayPDF has assembled to take you through 290 Q&As to your 8006 Exam preparation. In the 8006 exam resources, you will cover every field and category in PRM Certification helping to ready you for your successful PRMIA Certification.

  • Exam Code: 8006
  • Exam Name: Exam I: Finance Theory Financial Instruments Financial Markets - 2015 Edition
  • Total Questions: 290
  • Certification Provider: PRMIA
  • Corresponding Certification: PRM
  • Updated on: Aug 31, 2026

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PRMIA 8006 Exam Syllabus Topics:

TopicDetails
Topic 1
  • Define and describe the characteristics of bond markets
  • Understand probability theory including Bayesian theory
Topic 2
  • Describe the lifecycle of a trade and distinguish between dealing and settlement
  • Mean-Variance Portfolio Theory
Topic 3
  • Participants in and the Structure of Financial Markets
  • Discuss the rationale for futures markets and describe the settlement and clearing processes
Topic 4
  • Describe how arbitrage pricing theory can be used for decision-making
  • The Term Structure of Interest Rates
Topic 5
  • Define and describe the various participants within financial markets
  • Calculate the bond equivalent yield of money market securities
Topic 6
  • Describe the axioms and assumptions of utility theory with respect to expected return and risk
  • The CAPM and Multifactor Models
Topic 7
  • Identify and describe risk adjusted performance measures
  • Outline the components of the Capital Asset Pricing Model (CAPM)
Topic 8
  • Identify and understand the components of option valuation
  • Relate mean-variance portfolio theory to asset allocation decisions

Reference: https://prmia.org/Public/PRM/Students.aspx

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