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PRMIA 8010 Actual Tests : Operational Risk Manager (ORM) Exam

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PRMIA 8010 Exam Syllabus Topics:

SectionObjectives
Topic 1: Risk Identification and Assessment- Risk and control self-assessment (RCSA)
- Scenario analysis and risk mapping
Topic 2: Risk Governance and Frameworks- Three lines of defense model
- Risk governance structures and accountability
Topic 3: Operational Risk Fundamentals- Definition and scope of operational risk
- Risk taxonomy and loss event types
- Operational risk within enterprise risk management
Topic 4: Measurement and Quantification- Key risk indicators (KRIs)
- Loss distribution approaches
Topic 5: Mitigation and Control- Risk transfer mechanisms including insurance
- Internal controls and control testing
Topic 6: Regulatory and Industry Standards- Regulatory expectations for operational risk management
- Basel operational risk frameworks

PRMIA Operational Risk Manager (ORM) Sample Questions:

Question #1

A financial institution is considering shedding a business unit to reduce its economic capital requirements.
Which of the following is an appropriate measure of theresulting reduction in capital requirements?

  • A. Proportionate capital for the business unit in consideration
  • B. Marginal capital for the business unit in consideration
  • C. Incremental capital for the business unit in consideration
  • D. Percentage of total gross income contributed by the business unit in question
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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Question #2

A cumulative accuracy plot:

  • A. measures rating accuracy
  • B. is a measure of the correctness of VaR calculations
  • C. measures the accuracy of credit risk estimates
  • D. measures accuracy of default probabilities observed empirically
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

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Question #3

Which loss event type is the failure to timely deliver collateral classified as under the Basel II framework?

  • A. Information security
  • B. External fraud
  • C. Execution, Delivery & Process Management
  • D. Clients, products and business practices
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Correct Answer: C  🗳️

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Question #4

Which of the following is not true about the ISDA master agreement (ISDA MA):

  • A. The ISDA MA describes events of default, and termination events
  • B. The CSA (Credit Support Annex) is one of the parts of the ISDA MA
  • C. The ISDA MA describes the close out process
  • D. All transactions under the ISDA MA are considered separate obligations
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Correct Answer: D  🗳️

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Question #5

The VaR of a portfolio at the 99% confidence level is $250,000 when mean return is assumed to be zero. If the assumption of zero returns is changed to an assumption of returns of $10,000, what is the revised VaR?

  • A. 260000
  • B. 273260
  • C. 240000
  • D. 226740
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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