PRMIA 8010 Q&A - in .pdf

  • 8010 pdf
  • Exam Code: 8010
  • Exam Name: Operational Risk Manager (ORM) Exam
  • Updated: Sep 29, 2026
  • Q & A: 242 Questions and Answers
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  • Updated: Sep 29, 2026
  • Q & A: 242 Questions and Answers
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PRMIA 8010 Q&A - Testing Engine

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  • Exam Code: 8010
  • Exam Name: Operational Risk Manager (ORM) Exam
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  • Q & A: 242 Questions and Answers
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PRMIA 8010 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Introduction2%- Overview of Operational Risk Management
Topic 2: Risk Information10%- Loss Data, KRIs and Reporting
Topic 3: Risk Assessment10%- Risk Identification and Assessment Techniques
Topic 4: Case Studies6%- Applied Operational Risk Scenarios
Topic 5: Operational Resilience4%- Resilience Concepts and Practices
Topic 6: Risk Governance6%- Governance Principles and Risk Roles
Topic 7: Compliance Risk6%- Compliance Risk Framework
Topic 8: Operational Risk Capital6%- Capital Concepts & Basel III Context
Topic 9: Risk Management Framework10%- Risk Appetite, Policies, Culture

PRMIA Operational Risk Manager (ORM) Sample Questions:

Question #1

A bullet bond and an amortizing loan are issued at the same time with the same maturity and with the same principal. Which of these would have a greater credit exposure halfway through their life?

  • A. The bullet bond
  • B. The amortizing loan
  • C. Indeterminate with the given information
  • D. They would have identical exposure half way through their lives
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

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Question #2

A risk analyst peforming PCA wishes to explain80% of the variance. The first orthogonal factor has a volatility of 100, and the second 40, and the third 30. Assume there are no other factors. Which of the factors will be included in the final analysis?

  • A. First
  • B. Insufficient information to answer the question
  • C. First, Second and Third
  • D. First and Second
Reveal Solution  Discussion  0

Correct Answer: A  🗳️

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Question #3

Loss from a lawsuit from an employee due to physical harm caused while at work is categorized per Basel II as:

  • A. Unsafe working environment
  • B. Damage to physical assets
  • C. Employment practices and workplace safety
  • D. Execution delivery and process management
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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Question #4

Which of the following steps are required for computing the aggregate distribution for a UoM for operational risk once loss frequency and severity curves have been estimated:
I. Simulate number of losses based on the frequency distribution
II. Simulate the dollar value of the losses from the severity distribution III. Simulate random number from the copula used to model dependence between the UoMs IV. Compute dependent losses from aggregate distribution curves

  • A. None of the above
  • B. All of the above
  • C. I and II
  • D. III and IV
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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Question #5

When modeling severity of operational risk losses using extreme value theory (EVT), practitioners often use which of the following distributions to model loss severity:
I. The 'Peaks-over-threshold' (POT) model
II. Generalized Pareto distributions
III. Lognormal mixtures
IV. Generalized hyperbolic distributions

  • A. I, II and III
  • B. II and III
  • C. I and II
  • D. I, II, III and IV
Reveal Solution  Discussion  0

Correct Answer: C  🗳️

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