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PRM Exam 1: Finance Foundations: 8013 Exam
"PRM Exam 1: Finance Foundations", also known as 8013 exam, is a PRMIA Certification. With the complete collection of questions and answers, PrepAwayTest has assembled to take you through 0 Q&As to your 8013 Exam preparation. In the 8013 exam resources, you will cover every field and category in PRMIA Certification Certification helping to ready you for your successful PRMIA Certification.
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PRMIA 8013 Exam is a challenging assessment that requires diligent preparation and focused study. Candidates can prepare for the exam by reviewing the PRMIA Study Guide, which provides a comprehensive overview of the exam content and format. Additionally, PRMIA offers a range of training and education resources, including online courses, webinars, and study groups, to help candidates prepare for the exam.
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PRMIA 8013 is an entry-level certification exam that covers the fundamental concepts and principles of finance. 8013 exam is designed to test candidates' understanding of financial instruments, markets, and institutions. Additionally, the exam assesses the candidates' ability to apply financial theory to practical situations. PRMIA 8013 is an essential first step towards obtaining more advanced PRMIA certifications, such as the PRM Exam 2: Mathematical Foundations of Risk Measurement.
PRMIA 8013 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|---|---|
| Topic 1: Mathematical Foundations of Risk Measurement | 25% | - Basic statistics and probability theory - Linear algebra and calculus applications - Introduction to volatility and correlation measures - Statistical inference and hypothesis testing - Descriptive statistics and probability distributions |
| Topic 2: Financial Markets | 25% | - Primary and secondary market structures - Market efficiency and liquidity concepts - Money, bond, equity, and foreign exchange markets - Derivatives exchanges and OTC markets - Market participants and regulatory frameworks |
| Topic 3: Finance Theory | 25% | - Portfolio theory and asset allocation - Risk and return concepts - Time value of money and valuation principles - Capital structure and corporate finance basics - CAPM and multifactor pricing models |
| Topic 4: Financial Instruments | 25% | - Credit derivatives and structured products - Forwards, futures, and swaps - Fixed-income securities and valuation - Equities and equity derivatives - Options and option pricing models |
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