8010 dumps materials - exam dumps for 8010: Operational Risk Manager (ORM) Exam

PRMIA Operational Risk Manager (ORM) - 8010 certification

Exam Code: 8010

Exam Name: Operational Risk Manager (ORM) Exam

Updated: Sep 04, 2026

Q & A: 242 Questions and Answers

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PRMIA 8010 Exam Syllabus Topics:

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

PRMIA Operational Risk Manager (ORM) Sample Questions:

Question 1

If the marginal probabilities of default for a corporate bond for years 1, 2 and 3 are 2%, 3% and 4% respectively, what is the cumulative probability of default at the end of year 3?

A. 9.58%
B. 8.74%
C. 91.26%
D. 9.00%


Question 2

As opposed to traditional accounting based measures, risk adjusted performance measures use which of the following approaches to measure performance:

A. adjust both return and the capital employed to account for the risk undertaken
B. adjust returns based on the level of risk undertaken to earn that return
C. Any or all of the above
D. adjust capital employed to reflect the risk undertaken


Question 3

If a borrower has a default probability of 12% over one year, what is the probability of default over a month?

A. 2.00%
B. 1.00%
C. 12.00%
D. 1.06%


Question 4

If the annual default hazard rate for a borrower is 10%, what is the probability that there is no default at the end of 5 years?

A. 50.00%
B. 59.05%
C. 60.65%
D. 39.35%


Question 5

Under the CreditPortfolio View approach to credit risk modeling, which of the following best describes the conditional transition matrix:

A. The conditional transition matrix is the transition matrix adjusted for the risk horizon being different from that of the transition matrix
B. The conditional transition matrix is the unconditional transition matrix adjusted for probabilities of defaults
C. The conditional transition matrix is the unconditional transition matrix adjusted for the state of the economy and other macro economic factors being modeled
D. The conditional transition matrix is the transition matrix adjusted for the distribution of the firms' asset returns


Solutions:

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

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