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PRMIA 8004 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| PRMIA Standards of Best Practice, Conduct and Ethics | 30% | - Compliance with laws and regulations - Ethical decision-making framework - Code of professional conduct - Professional integrity and accountability |
| PRMIA Case Studies | 50% | - Historical risk failure analysis - Root cause identification - Risk management lessons learned - Application of risk principles to scenarios |
| PRMIA Principles of Good Governance | 20% | - Risk governance frameworks - Transparency and disclosure - Board and senior management responsibilities - Risk appetite and accountability |
PRMIA PRM Certification - Exam IV: Case Studies; Standards: Governance, Best Practices and Ethics Sample Questions:
1. The early 2003 trading strategy of China Aviation oil was
A) to sell puts and buy calls
B) to sell calls and buy puts
C) to buy calls and sell puts
D) to buy puts and sell calls
2. The Basic Knowledge a PPRMIA member should comply with, as stipulated within the PRMIA Standards of Best Practice, Conduct & Ethics, is to
A) learn from a qualified risk management practitioner
B) only possess the required skills and/or certification to complete the risk assessment / management work at hand
C) maintains and improve their professional competence and strive to maintain and improve the competence of other risk professionals
D) only improve their PERSONAL professional competence
3. Boards of Directors, including Audit and Risk Committees must review thoroughly compensation plans of potentially "highly compensated positions" for:
I competitive market conditions
II ensuring compliance with their corporate risk appetite and fiduciary responsibility to shareholders III ensuring any discretionary bonus plans are geared towards keeping high income / revenue generators IV reporting all such personnel to the local regulator
A) I and II only
B) All of the above
C) I, II and IV only
D) II, III and IV only
4. Which of the following is FALSE?
A) SIMEX made inquiries to Barings Bank about large margin calls on its positions
B) Nick Leeson claimed to be running an arbitrage book
C) Nick Leeson dealt in complex derivatives lacking transparency of pricing
D) Nick Leeson also ran the back office for his trading area
5. Which of the following was a key problem in the Barings Bank case?
A) Difference in the contract sizes in the OSE and SIMEX
B) Having the back office and front office operations under the same person
C) Leeson was executing an arbitrage strategy even though he was not authorized to do so
D) The different time zones that the office was trading in
Solutions:
| Question # 1 Answer: C | Question # 2 Answer: C | Question # 3 Answer: A | Question # 4 Answer: C | Question # 5 Answer: B |


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