PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition: 8008 Exam
"PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition", also known as 8008 exam, is a PRMIA Certification. With the complete collection of questions and answers, PrepAwayPDF has assembled to take you through 359 Q&As to your 8008 Exam preparation. In the 8008 exam resources, you will cover every field and category in PRM Certification Certification helping to ready you for your successful PRMIA Certification.
- Exam Code: 8008
- Exam Name: PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition
- Certification Provider: PRMIA
- Corresponding Certification: PRM Certification
- Updated: Jul 20, 2026
- No. of Questions: 359 Questions & Answers with Testing Engine
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PRMIA 8008 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Risk Management Frameworks | - Enterprise Risk Management Principles - Governance and Risk Culture |
| Funds Transfer Pricing (FTP) | - FTP Framework and Methodologies - FTP Implementation and Governance |
| Asset-Liability Management (ALM) | - Liquidity and Funding Risk Management - Interest Rate Risk in the Banking Book |
| Counterparty Risk | - Pre-Settlement and Settlement Risk - Counterparty Exposure and Collateral Management |
| Operational Risk | - Operational Risk Identification and Assessment - Operational Risk Measurement and Controls |
| Credit Risk | - Credit Risk Analysis and Measurement - Credit Risk Mitigation and Management |
| 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 is the most important problem to solve for fitting a severity distribution for operational risk capital:
A) Determine plausible scenarios to fill the data gaps in the internal and external loss data
B) The risk functional's minimization should lead to a good estimate of the 0.999 quantile
C) The fit obtained should reduce the combination of the fitting and approximation errors to a minimum
D) Empirical loss data needs to be extended to the ranges below the reporting threshold and above large value losses
2. Which of the following represent the parameters that define a VaR estimate?
A) confidence level and the holding period
B) confidence level and the underlying stochastic process
C) confidence level, the holding period and expected volatility
D) trading position and distribution assumption
3. A stock that follows the Weiner process has its future price determined by:
A) its expected return and standard deviation
B) its expected return alone
C) its standard deviation and past technical movements
D) its current price, expected return and standard deviation
4. According to the Basel framework, reserves resulting from the upward revaluation of assets are considered a part of:
A) Tier 1 capital
B) Tier 2 capital
C) Tier 3 capital
D) All of the above
5. Which of the following carry greater counterparty risk: a forward contract on a 10 year note, or a commercial paper carrying a AA credit rating with identical maturity and notional?
A) The forward contract has greater credit risk as its future gains are unknown
B) The commercial paper has greater credit risk as the entire notional is outstanding
C) Credit risk can not be compared in these terms
D) They both carry the same credit risk
Solutions:
| Question # 1 Answer: B | Question # 2 Answer: A | Question # 3 Answer: D | Question # 4 Answer: B | Question # 5 Answer: B |
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