PRMIA 8013 Valid Test : PRM Exam 1: Finance Foundations

  • Exam Code: 8013
  • Exam Name: PRM Exam 1: Finance Foundations
  • Updated: Jul 24, 2026
  • Q&As: 0 Questions and Answers

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PRMIA 8013 Exam covers a wide range of topics related to finance and risk management, including financial markets and instruments, quantitative analysis, risk management frameworks, ethical and professional standards, and more. 8013 exam is designed to test candidates' knowledge and understanding of these topics, as well as their ability to apply this knowledge to real-world scenarios. Successful completion of the PRMIA 8013 Exam is an important step towards earning the PRM Certification, and is required before moving on to the next exam in the series.

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PRMIA 8013 exam is an excellent way for aspiring risk management professionals to gain a solid foundation in finance and demonstrate their knowledge and skills to potential employers. It is recommended that candidates prepare for the exam by studying the PRMIA Exam 1 Study Guide and taking practice exams to assess their readiness.

PRMIA 8013 exam covers a wide range of topics related to finance and risk management, including financial markets and products, valuation and risk models, statistical analysis, and financial regulations. 8013 exam is designed to test the candidate's knowledge, comprehension, and application of these topics in real-world scenarios. It is a rigorous exam that requires significant preparation and study.

PRMIA 8013 exam is designed for individuals who want to build a career in risk management, particularly in the financial services industry. 8013 exam is suitable for recent graduates, entry-level professionals, and career changers who want to demonstrate their knowledge and skills in finance. It is also recommended for professionals who want to refresh their understanding of finance or pursue advanced risk management courses.

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PRMIA 8013 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Financial Markets25%- Market efficiency and liquidity concepts
- Money, bond, equity, and foreign exchange markets
- Derivatives exchanges and OTC markets
- Market participants and regulatory frameworks
- Primary and secondary market structures
Topic 2: Finance Theory25%- CAPM and multifactor pricing models
- Time value of money and valuation principles
- Risk and return concepts
- Portfolio theory and asset allocation
- Capital structure and corporate finance basics
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%- Options and option pricing models
- Equities and equity derivatives
- Fixed-income securities and valuation
- Forwards, futures, and swaps
- Credit derivatives and structured products

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