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PRMIA 8004 Exam Syllabus Topics:

SectionObjectives
Topic 1: Case Studies- Silicon Valley Bank
- Northern Rock
- Metallgesellschaft
- Barings
- FTX
- Lehman Brothers
- Orange County
- Washington Mutual (Wamu)
- National Australia Bank (NAB) - FX Options
- Bankers Trust
- Operational Resilience at TSB
- Long Term Capital Management (LTCM)
- Fannie Mae and Freddie Mac
- WorldCom
- American Insurance Group (AIG)
Topic 2: Standards & Practices- Principles of Good Governance Principles, PRMIA
- Group of Thirty Best Practices, Global Derivatives Study Group
- Bylaws of Professional Risk Managers' International Association, PRMIA
- Standards of Best Practice, Conduct and Ethics, PRMIA Ethics Committee

PRMIA PRM Certification - Exam IV: Case Studies; Standards: Governance, Best Practices and Ethics Sample Questions:

1. A risk manager is asked to analyze the credit risk of a convertible bond. The risk manager has never analyzed convertible bonds, but does have significant expertise in credit risk. The risk manager accepts the assignment, finds a paper on the subject through the PRMIA web site and copies the method used there. The risk manager completes the assignment and delivers a report to his or her direct supervisor and the supervisor is quite pleased.
According to the PRMIA Standards of Best Practice, Conduct and Ethics (Code of Conduct), this was acceptable behavior if the following conditions were met:
I The risk manager disclosed the lack of knowledge about convertible bonds II The methodology employed is disclosed and explained III The report was just to be used for analysis and not in practice IV The risk manager was sure of his/her understanding of the paper found on the web

A) I, II and III
B) I only
C) I and II
D) I, II and IV


2. When supervising others, a PRMIA member must comply with

A) local regulatory authority standards which may be less onerous than PRMIA standards
B) PRMIA Standards
C) the standards of the organization where the work is being performed
D) his / her established personal standards of work approved in previous work situations


3. When describing the reasons for the collapse of China Aviation Oil, which of the following was not cited?

A) Time value was not taken into account during the contract valuation process
B) No properly defined risk management policies in place and general lack of oversight by senior management
C) Loss generating positions were rolled over by selling options on larger positions to generate cash premiums' to settle existing position losses
D) Senior management in China were aware of the positions but did not understand the complexities of risk managing them


4. The steps which the US Treasury Department and the Federal Reserve took in July 2008 to boost confidence in both Fannie Mae and Freddie Mac did not include which one of the following:

A) Restricting the sale of new Fannie Mae and Freddie Mac securities only to US citizens
B) Reiterating their belief that both companies played a central role in the US housing finance system
C) Access to the Federal Reserve discount window
D) Removing the prohibition on the Treasury Department to buy both companies stock


5. According to the Group of 30 Report, important risks associated with dynamic hedging are:

A) Sudden gaps in market prices
B) Both A and B
C) Greater volatility than expected over the life of an option
D) Neither A nor B


Solutions:

Question # 1
Answer: C
Question # 2
Answer: B
Question # 3
Answer: D
Question # 4
Answer: B
Question # 5
Answer: B

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