PRMIA 8013 Exam Details & Actual Exam Questions

  • Exam Code/Number: 8013
  • Exam Name/Title: PRM Exam 1: Finance Foundations
  • Certification Provider: PRMIA
  • Corresponding Certification: PRMIA Certification
  • Certification Level: Foundational

PRMIA PRM Exam 1: Finance Foundations Exam Questions

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PRMIA 8013 Exam Overview:

Certification Vendor:PRMIA
Exam Name:PRM Exam 1: Finance Foundations
Exam Number:8013
Passing Score:60%
Exam Duration:240 minutes
Real Exam Qty:60
Available Languages:English
Exam Format:Multiple-choice questions (single answer)
Related Certifications:PRM Exam 2: Risk Management Practices
PRM Designation
Certificate Validity Period:No fixed expiration; maintain via PRMIA standards
Exam Price:USD 295 - USD 325 (member/non-member rates; application fee USD 175)
Recommended Training:PRMIA Official Candidate Guidebook
PRMIA Study Materials & eCoach
Exam Registration:Pearson VUE Scheduling
PRMIA Official Registration
Exam Way:Computer-based testing at Pearson VUE centers or online proctored
Pre Condition:No formal prerequisites to take the exam; PRM designation requires education/experience verification after passing both exams
Official Syllabus URL:https://www.prmia.org/Public/PRM/PRM_Designation_Info.aspx

PRMIA 8013 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Finance Theory25%- Capital structure and corporate finance basics
- Portfolio theory and asset allocation
- Risk and return concepts
- Time value of money and valuation principles
- CAPM and multifactor pricing models
Topic 2: Financial Markets25%- Primary and secondary market structures
- Market participants and regulatory frameworks
- Money, bond, equity, and foreign exchange markets
- Derivatives exchanges and OTC markets
- Market efficiency and liquidity concepts
Topic 3: Mathematical Foundations of Risk Measurement25%- Introduction to volatility and correlation measures
- Basic statistics and probability theory
- Statistical inference and hypothesis testing
- Linear algebra and calculus applications
- Descriptive statistics and probability distributions
Topic 4: Financial Instruments25%- Fixed-income securities and valuation
- Equities and equity derivatives
- Credit derivatives and structured products
- Options and option pricing models
- Forwards, futures, and swaps


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