Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition: 8009 Exam
"Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition", also known as 8009 exam, is a PRMIA Certification. With the complete collection of questions and answers, PrepAwayPDF has assembled to take you through 112 Q&As to your 8009 Exam preparation. In the 8009 exam resources, you will cover every field and category in PRM Certification helping to ready you for your successful PRMIA Certification.
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PRMIA 8009 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Best Practices in Risk Management | - Risk monitoring and reporting - Risk identification and assessment processes - Enterprise risk management implementation |
| Risk Management Standards | - Regulatory and industry standards - Global risk management frameworks |
| Governance | - Internal controls and compliance systems - Board responsibilities and oversight - Corporate governance structures |
| Ethics in Risk Management | - Conflict of interest management - Professional ethics and conduct standards - Ethical decision-making in financial risk scenarios |
PRMIA Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition Sample Questions:
Question 1
Bankgesellschaft Berlin's failures can be best characterised as
A. none of the above
B. credit risk caused by overexposure to the property market
C. credit risk caused by a diversified portfolio of poor-quality loans
D. both A and B
Question 2
According to the G-30 Study, the risk management infrastructure's funding must be
A. determined at the Board level without influence by business unit leaders
B. determined by the regulators
C. determined at the Board level with inputs from business unit leaders
D. determined by business-unit leaders
Question 3
With a PRMIA member's need to reconcile their internal and external responsibility to perform their work in an independent and appropriate fiduciary manner, which of the following options must be taken into consideration when performing risk management duties?
A. Internal controls of the organization, and the local regulator
B. Internal controls, and the expectations of stakeholders, shareholders, and the general public
C. The local regulator, internal controls, and shareholders
D. Only the internal controls and compliance standards
Question 4
Which of the following are PRMIA Governance Principles?
I. Independence of Key Parties
II. Disclosure and Transparency
III. Internal Validation
IV. Solvency
A. I and II only
B. I, II and III only
C. I, II and IV only
D. All are PRMIA Governance Principles
Question 5
Which of the following was NOT a factor in the Long Term Capital Management case?
A. Unwinding of liquid positions at the beginning of major losses
B. Changes/breakdowns in historical correlations
C. Model risk
D. Inadequate separation of front and back offices
Solutions:
| Question 1 Answer: B | Question 2 Answer: A | Question 3 Answer: B | Question 4 Answer: A | Question 5 Answer: D |
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