8006 exam dumps

PRMIA 8006 Value Package

(Include: PDF + Desktop Test Engine + Online Test Engine)

  • Exam Code: 8006
  • Exam Name: Exam I: Finance Theory Financial Instruments Financial Markets - 2015 Edition
  • No. of Questions: 290 Questions and Answers
  • Updated: Aug 28, 2026

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PRMIA 8006 Exam I is a rigorous and comprehensive exam that evaluates the candidate's knowledge and understanding of finance theory, financial instruments, and financial markets. Passing the exam signifies strong expertise in these critical areas, opening up new career opportunities in risk management and finance. The 2015 edition of the exam is the latest and most up-to-date version and is available at certified testing centers worldwide.

PRMIA 8006 Exam covers a broad range of topics that are essential for risk managers working in the finance industry. These topics include financial instruments such as bonds, equities, and derivatives, as well as financial markets such as stock markets, bond markets, and foreign exchange markets. Candidates will also need to demonstrate their knowledge of finance theory, including how risk is measured and managed, and the principles of portfolio management. Passing the PRMIA 8006 Exam is a significant achievement that demonstrates a candidate's understanding of key concepts in finance and risk management.

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The Professional Risk Managers' International Association (PRMIA) is a globally recognized non-profit organization that provides education, training and certification for risk management professionals. The PRMIA 8006 certification exam is an important part of their certification program, which focuses on finance theory, financial instruments and financial markets. 8006 exam is designed to test the knowledge of individuals who wish to demonstrate their understanding of financial markets and the instruments used in these markets.

Reference: https://prmia.org/Public/PRM/Students.aspx

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PRMIA 8006 Exam Syllabus Topics:

SectionObjectives
Finance Theory- Risk and Risk Aversion
- Capital Asset Pricing Model and Multifactor Models
- Capital Structure and Term Structure of Interest Rates
- Portfolio Mathematics & Asset Allocation
Financial Markets- Trade Lifecycle, Clearing and Settlement
- Structure and Participants in Global Markets
- Market Efficiency and Funding Rates
Financial Instruments- Equities, Bonds, and Money Market Instruments
- Derivatives: Futures, Forwards, Options, Swaps
- Valuation Principles and Yields

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