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Last Updated: Jul 21, 2026
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| Section | Objectives |
|---|---|
| Ethics and Professional Conduct | - Ethical Principles
|
| Standards and Professional Practices | - Benchmarking and Industry Guidelines
|
| Governance and Regulatory Standards | - Corporate Governance
|
| Risk Management Best Practices | - Enterprise Risk Management
|
1. The problems at WorldCom can best be characterized as related to:
A) All of the Above
B) Credit Risk
C) Market Risk
D) Operational and Regulatory Compliance Risk
2. The Financial Accounting and Reporting Infrastructure of any organization must:
I. Accurately represent the corporation's current and known financial condition in a timely manner II. Only use off-balance sheet transactions which have a legitimate economic, tax, risk transfer or risk mitigating purpose III. Provide a detailed description of the Risk Management Infrastructure in the organization's Annual Report to Shareholders IV. Provide an auditable Annual Statement of Compliance with the Board's publicly stated Standards of Corporate Governance to the Board and Audit Committee
A) I, II and III only
B) I and III only
C) I, III and IV only
D) All of these are expected of the Financial Accounting and Reporting Infrastructure
3. According to LTCM managers:
A) Stress Testing looked at the 12 biggest deals with each of their top 20 counterparties
B) Stress Testing was not necessary because their trades were hedged
C) Stress Testing was not conducted
D) Stress Testing was elaborate, complex and conducted on their entire portfolio. It included the assumptions of a major breakdown in historical correlations
4. The Basic Knowledge a PPRMIA member should comply with, as stipulated within the PRMIA Standards of Best Practice, Conduct & Ethics, is to
A) only possess the required skills and/or certification to complete the risk assessment / management work at hand
B) only improve their PERSONAL professional competence
C) maintains and improve their professional competence and strive to maintain and improve the competence of other risk professionals
D) learn from a qualified risk management practitioner
5. When Fannie Mae and Freddie Mac were taken under US government conservatorship, which of the following was not included within their operating mandate?
A) Fannie Mae and Freddie Mac will continue to buy home loans from banks to repackage them as mortgage-backed securities
B) The US government will provide capital as needed in return for preferred shares in the companies
C) There was a 2 year limit to the conservatorship
D) The US government will buy mortgage-backed securities in the open market as needed
Solutions:
| Question # 1 Answer: D | Question # 2 Answer: D | Question # 3 Answer: A | Question # 4 Answer: C | Question # 5 Answer: C |
Shirley
Xaviera
Armstrong
Borg
Corey
Ernest
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