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PRMIA 8003 Exam Syllabus Topics:
| Section | Weight | Objectives |
| Topic 1: Counterparty Credit Risk | 8% | - Credit Valuation Adjustment (CVA)
- Mitigation techniques
- Counterparty exposure measurement
|
| Topic 2: PRMIA Standards and Ethics | 5% | - Standards of Best Practice
- Professional conduct and ethics
|
| Topic 3: Credit Risk | 29% | - Credit risk fundamentals and lifecycle
- Credit derivatives and securitization
- Probability of Default (PD), LGD, EAD
- Credit portfolio management
|
| Topic 4: Operational Risk | 16% | - Risk measurement and modeling
- Basel requirements for operational risk
- Risk mitigation and control
- Operational risk identification and assessment
|
| Topic 5: ALM and Liquidity Risk | 8% | - Liquidity risk measurement and management
- Funds Transfer Pricing (FTP)
- Asset-Liability Management
|
| Topic 6: Risk Management Frameworks | 11% | - Risk governance and oversight
- Enterprise Risk Management (ERM)
- Capital adequacy and regulatory frameworks
- Economic capital and risk appetite
|
| Topic 7: Market Risk | 23% | - Trading book risk management
- Commodity and interest rate risk
- VaR and stress testing
- Market risk governance
|