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PRMIA 8010 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Risk Assessment | 20% | - Top-down scenario analysis - Bottom-up process modeling - Risk and Control Self-Assessment (RCSA) - Residual risk and issue management |
| Topic 2: Compliance & Regulatory Risk | 10% | - Enterprise compliance frameworks - Basel Accords and global regulations - Compliance risk types and controls |
| Topic 3: Operational Risk Capital & Modeling | 10% | - Basel III and recent developments - Basic and advanced measurement methods - Capital requirements and approaches |
| Topic 4: Risk Information & Monitoring | 15% | - Key Risk Indicators (KRIs) - Risk reporting and communication - Loss data collection and analysis |
| Topic 5: Risk Governance | 15% | - Risk culture and ethical conduct - Roles of first, second, and third lines of defense - Governance structures and responsibilities |
| Topic 6: Introduction to Operational Risk Management | 10% | - Risk management frameworks and principles - ESG and climate risk considerations - Embedding risk management practices |
| Topic 7: Operational Resilience | 5% | - DORA and resilience regulations - Business continuity and recovery - Third-party/vendor risk management |
| Topic 8: Risk Management Framework | 15% | - Risk policies, limits, and pricing - Strategy and framework implementation - Risk capacity and risk appetite |
PRMIA Operational Risk Manager (ORM) Sample Questions:
The probability of default of a security during the first year after issuance is 3%, that during the second and third years is 4%, and during the fourth year is 5%. What is the probability that it would not have defaulted at the end of four years from now?
- A. 12.00%
- B. 88.53%
- C. 84.93%
- D. 88.00%
Correct Answer: C 🗳️
Explanation: Only visible for TestkingPDF members. You can sign-up / login (it's free).
Which of the following belong to the family of generalized extreme value distributions:
I. Frechet
II. Gumbel
III. Weibull
IV. Exponential
- A. All of the above
- B. I, II and III
- C. II and III
- D. IV
Correct Answer: B 🗳️
Explanation: Only visible for TestkingPDF members. You can sign-up / login (it's free).
The unexpected loss for a credit portfolio at a given VaR estimate is definedas:
- A. VaR - Expected Loss
- B. Actual Loss - Expected Loss
- C. max(Actual Loss - Expected Loss, 0)
- D. Actual Loss - VaR
Correct Answer: A 🗳️
Explanation: Only visible for TestkingPDF members. You can sign-up / login (it's free).
If the odds of default are 1:5, what is the probability of default?
- A. 12.00%
- B. 16.67%
- C. 50.00%
- D. 20.00%
Correct Answer: B 🗳️
Explanation: Only visible for TestkingPDF members. You can sign-up / login (it's free).
There are two bonds in a portfolio, each with a market value of $50m. The probability of default of the two bonds are 0.03 and 0.08 respectively, over a one year horizon. If the probability of the two bonds defaulting simultaneously is 1.4%, what is the default correlation between the two?
- A. 25%
- B. 100%
- C. 40%
- D. 0%
Correct Answer: A 🗳️
Explanation: Only visible for TestkingPDF members. You can sign-up / login (it's free).

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Virgil -
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