Friends, Updating here the recollected questions from December 2018 Exams. Wish you all the very best for your exam.
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01. Embedded option Risk??
02. Stock ratio % marks case study
03. TT Selling 5 marks case study
04. Risk Waiting Assets- Investment rating & Yield 5 marks case study
05. Loans RWO RWA Management 5 marks questions
06. Exchanges beyond Asiatic country??
07. Settlement risk??
08. Crop Period of Long duration crop. NPA purpose
09. Volatile Ratio problems
10. Exchange physically which will be the transaction date??
11. ECGC Establishment??
12. Commercial paper. Which of the following is not true??
13. Treasury Mid office responsibilities??
14. A & B Different offices A Treasury B Monitoring Case study. 5 marks
15. VaR is not depends on??
16. Put Options detail question?
17. Supplementary Tier 2 capital, Detailed question?
18. Credit Risk Standardised approach Details??
19. Which is a not part of derivatives?? A Forward B Future C Swap D ALM
20. ALM functions??
21. CRAR monitored by A ALM B Director C Chief Finance Officer D Risk Office E CMD
22. Operation risk depends upon?? Probability of impact B Potential C Profitability.
23. If Interest spread increases then NIM??
24. Direct questions on CRR SLR MSF Bank rate & Money Monitoring
25. London Money Transfer preferred?? SWIFT, CHAPS.
26. A NRI married to B, B stays @ USA, C is B’s father Stays at UK. D is Bs Daughter stays at PAK. 5 marks case study regarding NRO/ NRE & Nomination of accounts
27. FCNR Interest & Income Tax Dept??
28. Use of MIS in treasury?? Which of the following is false??
29. Rediscounting of bills & advance lengthy questions??
30. Interest rate risk & SWAP ??
31. Case study on overnight limit stop loss limit
32. Case study from EPC Export packing credit
33. Case Study on ICAAP policies
34. Case study (5 questions) from yield and RWA, RSA AND RSL
35. NUMERICAL EPC- post shipment finance
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