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PRMIA PRM Certification - Exam III: Risk Management Frameworks, Operational Risk, Credit Risk, Counterparty Risk, Market Risk, ALM, FTP - 2015 Edition Sample Questions:
1. Under the contingent claims approach to measuring credit risk, which of the following factors does NOT affect credit risk:
A) Leverage in the capital structure
B) Maturity of the debt
C) Volatility of the firm's asset values
D) Cash flows of the firm
2. Between two options positions with the same delta and based upon the same underlying, which would have a smaller VaR?
A) the position with a higher gamma
B) both positions would have an identical VaR
C) the position with a higher theta
D) the position with a lower gamma
3. Which of the following distribution assumptions will produce the lowest probability of exceeding an extreme value, assuming identical means and variances?
A) a normal distribution
B) a normal mixture distribution
C) a distribution with kurtosis = 5
D) t-distribution
4. Which of the following techniques is used to generate multivariate normal random numbers that are correlated?
A) Simulation
B) Pseudo random number generator
C) Cholesky decomposition of the correlation matrix
D) Markov process
5. Which of the following need to be assumed to convert a transition probability matrix for a given time period to the transition probability matrix for another length of time:
I. Time invariance
II. Markov property
III. Normal distribution
IV. Zero skewness
A) II and III
B) III and IV
C) I and II
D) I, II and IV
Solutions:
| Question # 1 Answer: D | Question # 2 Answer: A | Question # 3 Answer: A | Question # 4 Answer: C | Question # 5 Answer: C |
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