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Helping Hand Questions for 2016-FRR

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Question 48

Bank G has a 1-year VaR of USD 20 million at 99% confidence level while bank H has a 1-year VaR of USD 10 million at 95% confidence level. Which bank is in a more risky position as measured by VaR?

Options:

A.

Bank G is taking twice the risk of bank H as measured by VaR.

B.

Bank H is taking twice the risk of bank G as measured by VaR.

C.

Since the confidence levels are not the same we cannot make any conclusions.

D.

Both banks are equally risky since the measurements are with the same confidence level.

Question 49

A trader for EtaBank wants to take a leveraged position in Collateralized Debt Obligations. If these CDOs can be used in a repo transaction at a 20% haircut, what is the maximum leverage factor for a transaction with the CDOs?

Options:

A.

0.8

B.

1.5

C.

3

D.

5

Question 50

Which one of the four following statements about Basis point values is correct?

Basis point value:

Options:

A.

Is a widely used statistical tool used to measure market risk.

B.

Refers to the change in the value of a fixed income position for a very small change yields.

C.

Is a risk sensitivity measure used to measure the point spread risk in the banking book.

D.

Provides a quick estimate of the sensitivity of the bank's banking book, to increasing volatility in interest rates.

Question 51

Which one of the following four alternatives correctly identifies the purpose of a clearinghouse in trading activities?

Options:

A.

Reduction of counterparty risk and liquidity risk

B.

Reduction of basis risk and mark-to-market risk

C.

Reduction of operational risk and credit risk

D.

Reduction of market risk and credit risk

Page: 12 / 25
Exam Code: 2016-FRR
Exam Name: Financial Risk and Regulation (FRR) Series
Last Update: Nov 24, 2024
Questions: 342
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