- Exam Code: 8009
- Exam Name: Exam IV: Case Studies: Standards: Governance, Best Practices and Ethics - 2015 Edition
- Updated: Aug 16, 2026
- Q & A: 112 Questions and Answers
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| Section | Objectives |
|---|---|
| Governance | - Internal controls and compliance systems - Corporate governance structures - Board responsibilities and oversight |
| Ethics in Risk Management | - Professional ethics and conduct standards - Conflict of interest management - Ethical decision-making in financial risk scenarios |
| Best Practices in Risk Management | - Enterprise risk management implementation - Risk monitoring and reporting - Risk identification and assessment processes |
| Risk Management Standards | - Global risk management frameworks - Regulatory and industry standards |
1. According to LTCM managers:
A) Stress Testing was not necessary because their trades were hedged
B) Stress Testing looked at the 12 biggest deals with each of their top 20 counterparties
C) Stress Testing was elaborate, complex and conducted on their entire portfolio. It included the assumptions of a major breakdown in historical correlations
D) Stress Testing was not conducted
2. What was the main type of risk that Metallgesellschaft was exposed to?
A) Inflation
B) Currency Settlement
C) Interest Rate
D) Basis Risk
3. A risk manager is asked to analyze the credit risk of a convertible bond. The risk manager has never analyzed convertible bonds, but does have significant expertise in credit risk. The risk manager accepts the assignment, finds a paper on the subject through the PRMIA web site and copies the method used there. The risk manager completes the assignment and delivers a report to his or her direct supervisor and the supervisor is quite pleased.
According to the PRMIA Standards of Best Practice, Conduct and Ethics (Code of Conduct), this was acceptable behavior if the following conditions were met:
I. The risk manager disclosed the lack of knowledge about convertible bonds II. The methodology employed is disclosed and explained III. The report was just to be used for analysis and not in practice IV. The risk manager was sure of his/her understanding of the paper found on the web
A) I and II
B) I, II and III
C) I only
D) I, II and IV
4. Which of the following was NOT a factor in the Long Term Capital Management case?
A) Changes/breakdowns in historical correlations
B) Model risk
C) Unwinding of liquid positions at the beginning of major losses
D) Inadequate separation of front and back offices
5. Unlike the case at Barings Bank, National Australia Bank:
A) Was not dealing in derivatives
B) Had a Board of Directors that was unaware of the true nature of trading activities
C) Had a risk management infrastructure that was credited with doing its' job well, despite the losses
D) Had a separation of duties between trading and back office
Solutions:
| Question # 1 Answer: B | Question # 2 Answer: D | Question # 3 Answer: A | Question # 4 Answer: D | Question # 5 Answer: D |
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