PRMIA Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition : 8009

8009 pass collection

Exam Code: 8009

Exam Name: Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition

Updated: Sep 09, 2026

Q & A: 112 Questions and Answers

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PRMIA 8009 Exam Syllabus Topics:

SectionObjectives
Topic 1: Risk Management Standards- Regulatory and industry standards
- Global risk management frameworks
Topic 2: Ethics in Risk Management- Ethical decision-making in financial risk scenarios
- Conflict of interest management
- Professional ethics and conduct standards
Topic 3: Governance- Corporate governance structures
- Board responsibilities and oversight
- Internal controls and compliance systems
Topic 4: Best Practices in Risk Management- Risk identification and assessment processes
- Risk monitoring and reporting
- Enterprise risk management implementation

PRMIA Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition Sample Questions:

Question #1

Select the one correct statement relative to Barings Bank.

  • A. Proprietary and agency trading were combined and therefore did not increase risk.
  • B. Proprietary and agency trading were separate and therefore did not increase risk.
  • C. Proprietary and agency trading were combined and therefore did increase risk.
  • D. Proprietary and agency trading were separate and did increase risk.
Answer: C
Question #2

Which of the following was NOT a factor in the Long Term Capital Management case?

  • A. Model risk
  • B. Inadequate separation of front and back offices
  • C. Changes/breakdowns in historical correlations
  • D. Unwinding of liquid positions at the beginning of major losses
Answer: B
Question #3

Which items below were at the core of the problems at Bankgesellschaft Berlin?

  • A. Over exposure to the property market
  • B. Rash guarantees given to investors in property linked funds
  • C. Political corruption and poor management
  • D. All of the above
Answer: D
Question #4

The problems at WorldCom can best be characterized as related to:

  • A. Operational and Regulatory Compliance Risk
  • B. All of the Above
  • C. Credit Risk
  • D. Market Risk
Answer: A
Question #5

How much of Washington Mutual's assets were funded by customer deposits for the decade ending in 2006?

  • A. 40%
  • B. 50%
  • C. 30%
  • D. 60%
Answer: D

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