Friends, Updating here the recollected questions from December 2018 Exams. Wish you all the very best for your exam.
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01. Embeded option risk
02. Who paid CIF value
03. Objective of ALM
04. Forex market is....
05. Borrowing..1mn usd or 50% tier 1capital...
06. Case study... on fedai rule.. related working hr service in foreign trade
07. Case study on RWA
08. One more qus related to tier1 and tier2capital
09. One qus from 1996 amendment in BASEL1
10. Liquidity risk *3 qus... mitigation
11. Bond volatility
12. 99 %VAR means
13. Letter of credit related case study
14. Establishment of ecge
15. Objective of exim bank
16. Pre shipment finance
17. Pre settlement risk
18. Profit or loss in trading book is accounted as???
19. Component of integrated risk management policy???
20. Characteristics of off balance sheet exposure
21. SNRR AC
22. Settlement risk in arising out of time zone difference
23. Residual risk of securitisation can be part of???
24. Cash mgmt bills maturity???
25. Can be accessed through FDPMS on daily basis??
26. Trade credit period for import of capital goods can be???
27. When a foriegn currency option contract is "at the money"
28. Functions of exim bank??
29. The model that combines 5 financial ratios using reported accounting information and equity values to produce an objective measure of borrower's financial health is???
30. Long term crop loan period
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