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| Section | Objectives |
|---|---|
| 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 |
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?
Correct Answer: C 🗳️
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A cumulative accuracy plot:
Correct Answer: A 🗳️
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Which loss event type is the failure to timely deliver collateral classified as under the Basel II framework?
Correct Answer: C 🗳️
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Which of the following is not true about the ISDA master agreement (ISDA MA):
Correct Answer: D 🗳️
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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?
Correct Answer: C 🗳️
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