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最新的 PRMIA Certification 8011 免費考試真題:
1. Which of the following contributed to the systemic failure during the credit crisis that began in 2007?
A) Moral hazard from the strategy of 'originate and distribute'
B) Stress tests that did not stress enough
C) All of the above
D) Inadequate attention paid to liquidity risk
2. Which of the following distributions is generally not used for frequency modeling for operational risk
A) Poisson
B) Binomial
C) Gamma
D) Negative binomial
3. Random recovery rates in respect of credit risk can be modeled using:
A) the omega distribution
B) the beta distribution
C) the normal distribution
D) the binomial distribution
4. Which of the following statements are true in relation to Historical Simulation VaR?
I. Historical Simulation VaR assumes returns are normally distributed but have fat tails II. It uses full revaluation, as opposed to delta or delta-gamma approximations III. A correlation matrix is constructed using historical scenarios IV. It particularly suits new products that may not have a long time series of historical data available
A) I and IV
B) II
C) II and III
D) All of the above
5. When performing portfolio stress tests using hypothetical scenarios, which of the following is not generally a challenge for the risk manager?
A) Considering back office capacity to deal with increased transaction volumes
B) Evaluating interrelationships between counterparties when considering liquidity risks
C) Building a positive semi-definite covariance matrix
D) Building a consistent set of hypothetical shocks to individual risk factors
問題與答案:
問題 #1 答案: C | 問題 #2 答案: C | 問題 #3 答案: B | 問題 #4 答案: B | 問題 #5 答案: A |
119.130.87.* -
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