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PRMIA 8011 Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: CVA and DVA | - Valuation adjustments - Measurement and interpretation |
| Topic 2: SA-CCR and Regulatory Frameworks | - Standardized Approach for Counterparty Credit Risk |
| Topic 3: Classic Credit Risk | - Credit risk methodology
|
| Topic 4: Credit Derivatives and Securitization | - Securitization structures and process - Credit derivatives instruments |
| Topic 5: Credit Portfolio Management | - Risk concentration and diversification - Portfolio credit risk measurement |
| Topic 6: Modern Credit Risk Modeling | - Credit VaR and loss distribution simulation - PD/LGD modeling frameworks |
| Topic 7: Counterparty Risk | - Definition and sources of counterparty risk - Mitigation techniques (netting, collateral) |
PRMIA Credit and Counterparty Manager (CCRM) Certificate Sample Questions:
The cumulative probability of default for a security for 4 years is 11.47%. The marginal probability of default for the security for year 5 is 5% during year 5. What is the cumulative probability of default for the security for 5 years?
- A. 16.47%
- B. None of the above
- C. 5.00%
- D. 15.90%
Correct Answer: D 🗳️
Explanation: Only visible for PassLeader members. You can sign-up / login (it's free).
Calculate the 1-year 99% credit VaR of a portfolio of two bonds, each with a value of $1m, and the probability of default of 1% each over the next year. Assume the recovery rate to be zero, and the defaults of the two bonds to be uncorrelated to each other.
- A. 20000
- B. 0
- C. 980000
- D. 1980000
Correct Answer: C 🗳️
Explanation: Only visible for PassLeader members. You can sign-up / login (it's free).
If A and B be two uncorrelated securities, VaR(A) and VaR(B) be their values-at-risk, then which of the following is true for a portfolio that includes A and B in any proportion. Assume the prices of A and B are log- normally distributed.
- A. VaR(A+B) > VaR(A) + VaR(B)
- B. VaR(A+B) = VaR(A) + VaR(B)
- C. The combined VaR cannot be predicted till the correlation is known
- D. VaR(A+B) < VaR(A) + VaR(B)
Correct Answer: D 🗳️
Explanation: Only visible for PassLeader members. You can sign-up / login (it's free).
A risk analyst uses the GARCH model to forecast volatility, and the parameters he uses are # = 0.001%, # =
0.05 and # = 0.93. Yesterday's daily volatility was calculated to be 1%. What is the long term annual volatility under the analyst's model?
- A. 7.94 %
- B. 3.54 %
- C. 0.25 %
- D. 0.22 %
Correct Answer: B 🗳️
Explanation: Only visible for PassLeader members. You can sign-up / login (it's free).
Which of the following is not an approach used for stress testing:
- A. Algorithmic approaches
- B. Monte Carlo simulation
- C. Historical scenarios
- D. Hypothetical scenarios
Correct Answer: B 🗳️
Explanation: Only visible for PassLeader members. You can sign-up / login (it's free).
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