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| Section | Objectives |
|---|---|
| Operational Risk | - Operational Risk Measurement and Controls - Operational Risk Identification and Assessment |
| Counterparty Risk | - Counterparty Exposure and Collateral Management - Pre-Settlement and Settlement Risk |
| Risk Management Frameworks | - Governance and Risk Culture - Enterprise Risk Management Principles |
| Asset-Liability Management (ALM) | - Liquidity and Funding Risk Management - Interest Rate Risk in the Banking Book |
| Funds Transfer Pricing (FTP) | - FTP Implementation and Governance - FTP Framework and Methodologies |
| Market Risk | - Market Risk Measurement Techniques - Market Risk Models and VAR |
| Credit Risk | - Credit Risk Analysis and Measurement - Credit Risk Mitigation and Management |
Question 1
Which of the following statements are true ?
I. Risk governance structures distribute rights and responsibilities among stakeholders in the corporation II. Cybernetics is the multidisciplinary study of cyber risk and control systems underlying information systems in an organization III. Corporate governance is a subset of the larger subject of risk governance IV. The Cadbury report was issued in the early 90s and was one of the early frameworks for corporate governance
A. I, II and IV
B. II and III
C. I and IV
D. All of the above
Question 2
The Altman credit risk score considers:
A. A historical database of the firms that have survived
B. A combination of accounting measures and market values
C. A quadratic approximation of the credit risk based on underlying risk factors
D. A historical database of the firms that have defaulted
Question 3
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. Decrease
B. Stay the same
C. Cannot be determined from the given information
D. Increase
Question 4
The backtesting of VaR estimates under the Basel accord requires comparing the ex-ante VaR to:
A. hypothetical profit and loss keeping the positions constant
B. the Basel accord does not require banks to backtest VaR estimates
C. ex-ante VaR calculated for the subsequent periods
D. realized profit and loss for the period
Question 5
Which of the following techniques is used to generate multivariate normal random numbers that are correlated?
A. Simulation
B. Cholesky decomposition of the correlation matrix
C. Pseudo random number generator
D. Markov process
Solutions:
| Question 1 Answer: C | Question 2 Answer: B | Question 3 Answer: D | Question 4 Answer: D | Question 5 Answer: B |
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Operational Risk Manager (ORM) Exam
ORM Certificate - 2023 Update
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