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PRMIA Credit and Counterparty Manager (CCRM) Certificate - 8011 dump torrent

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8011 Guide Torrent
  • Exam Code: 8011
  • Exam Name: Credit and Counterparty Manager (CCRM) Certificate Exam

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PRMIA 8011 Exam Syllabus Topics:

SectionObjectives
SA-CCR and Regulatory Frameworks- Standardized Approach for Counterparty Credit Risk
CVA and DVA- Valuation adjustments
- Measurement and interpretation
Credit Derivatives and Securitization- Credit derivatives instruments
- Securitization structures and process
Credit Portfolio Management- Portfolio credit risk measurement
- Risk concentration and diversification
Classic Credit Risk- Credit products and lifecycle
  • 1. Loan origination, servicing, and repayment lifecycle
    • 2. Credit instruments and structures
      - Credit risk methodology
      • 1. Credit analysis frameworks
        • 2. Traditional credit risk assessment approaches
          Modern Credit Risk Modeling- PD/LGD modeling frameworks
          - Credit VaR and loss distribution simulation
          Counterparty Risk- Definition and sources of counterparty risk
          - Mitigation techniques (netting, collateral)

          PRMIA Credit and Counterparty Manager (CCRM) Certificate Sample Questions:

          Question 1

          All else remaining the same, an increase in the joint probability of default between two obligors causes the default correlation between the two to:

          A. Increase
          B. Cannot be determined from the given information
          C. Stay the same
          D. Decrease


          Question 2

          If the marginal probabilities of default for a corporate bond for years 1, 2 and 3 are 2%, 3% and 4% respectively, what is the cumulative probability of default at the end of year 3?

          A. 9.00%
          B. 91.26%
          C. 9.58%
          D. 8.74%


          Question 3

          A bank expects the error rate in transaction data entry for a particular business process to be 0.005%. What is the range of expected errors in a day within +/- 2 standard deviations if there are 2,000,000 such transactions each day?

          A. 0 to 200 errors in a day
          B. 90 to 110 errors in a day
          C. 80 to 120 errors in a day
          D. 60 to 80 errors in a day


          Question 4

          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. III and IV
          B. II and III
          C. I and II
          D. I, II and IV


          Question 5

          There are three bonds in a diversified bond portfolio, whose default probabilities are independent of each other and equal to 1%, 2% and 3% respectively over a 1 year time horizon. Calculate the probability that exactly 1 of the three bonds will default.

          A. .011%
          B. 5.8%
          C. 2%
          D. 0%


          Solutions:

          Question 1
          Answer: A
          Question 2
          Answer: D
          Question 3
          Answer: C
          Question 4
          Answer: C
          Question 5
          Answer: B

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