8010 test braindumps: Operational Risk Manager (ORM) Exam & 8010 exam dumps materials

PRMIA Operational Risk Manager (ORM) - 8010

Exam Code: 8010

Exam Name: Operational Risk Manager (ORM) Exam

Updated: Aug 27, 2026

Q & A: 242 Questions and Answers

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PRMIA 8010 Exam Syllabus Topics:

SectionObjectives
Topic 1: Risk Governance and Frameworks- Three lines of defense model
- Risk governance structures and accountability
Topic 2: Operational Risk Fundamentals- Operational risk within enterprise risk management
- Definition and scope of operational risk
- Risk taxonomy and loss event types
Topic 3: Measurement and Quantification- Loss distribution approaches
- Key risk indicators (KRIs)
Topic 4: Risk Identification and Assessment- Risk and control self-assessment (RCSA)
- Scenario analysis and risk mapping
Topic 5: Regulatory and Industry Standards- Regulatory expectations for operational risk management
- Basel operational risk frameworks
Topic 6: Mitigation and Control- Risk transfer mechanisms including insurance
- Internal controls and control testing

PRMIA Operational Risk Manager (ORM) Sample Questions:

1. Which of the following belong in a credit risk report?

A) Exposures by industry
B) Exposures by country
C) All of the above
D) Largest exposures by counterparty


2. Which of the following losses can be attributed to credit risk:
I. Losses in a bond's value from a credit downgrade
II. Losses in a bond's value from an increase in bond yields
III. Losses arising from a bond issuer'sdefault
IV. Losses from an increase in corporate bond spreads

A) II and IV
B) I, III and IV
C) I and III
D) I and II


3. According to the implied capital model, operational risk capital is estimated as:

A) Operational risk capital held by similar firms, appropriately scaled
B) Total capital less market risk capital less credit risk capital
C) Total capital based on the capital asset pricing model
D) Capitalimplied from known risk premiums and the firm's earnings


4. For a hypotherical UoM, the number of losses in two non-overlapping datasets is 24 and 32 respectively. The Pareto tail parameters for the two datasets calculated using the maximum likelihood estimation method are 2 and 3. What is an estimate of the tail parameter of the combined dataset?

A) 2.23
B) 3
C) 2.57
D) Cannot be determined


5. The probability of default of a security over a 1 year period is 3%. What is the probability that it would have defaulted within 6 months?

A) 17.32%
B) 3.00%
C) 1.51%
D) 98.49%


Solutions:

Question # 1
Answer: C
Question # 2
Answer: C
Question # 3
Answer: B
Question # 4
Answer: C
Question # 5
Answer: C

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