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IBM Algo One Fundamentals Sample Questions:
1. CORRECT TEXT
A client has a portfolio of 200 instruments. Their scenario set contains 10,000scenarios. The simulation is configured with five simulatable attributes across 10time steps. The cube does not contain any currencies or risk factors.What is the approximate size of the cube?
A) 800 MB
B) 100 MB
C) 1 GB
D) 400 MB
2. You are dealing with a model with portfolio date 3 1/12/2010 that has a data layer, a top projection layer (Realistic_Layer), and a stochastic sub layer (Stochastic_Sublayer). A colleague wants information from the 4th scenario in the sub layer on 31/12/2020.
What is the layer path string in the AFMOutput function you would need to achieve this?
A) Realistic_Layer.Stochastic_Sublayer4?31/1 2/2020
B) Realistic_Layer4?31/12/2020
C) Stochastic_Sublayer4?3 1/12/2020
D) Realistic_Layer?31/1 2/2010 .Stochastic_Sublayer:4
3. You have a model with a data layer, a top projection layer, and a sub layer. When the sub layer is called, what will be the portfolio date of that layer?
A) The inception date of the first data record
B) The step date of the top projection layer at which the sub layer is called
C) The start date of the projection process
D) The start date of the model
4. What are two principles upon which the Standard Code is based? (Choose two.)
A) The code does not require any checking to ensure that it gives the correct results.
B) The code focuses on calculation efficiency over clarity.
C) The code is not designed to be used as a black box, but always to be modified to suit specific circumstances.
D) Overtime, additional functionality will be included, building a growing library of content.
5. What are two specific reasons why Standard Code has been developed? (Choose two.)
A) To provide the user with fully formed models that can be adapted to their specific products and reduce the need for actuarial involvement
B) To enable rapid implementation of programs and lead to models that are easier to understand
C) To promote consistency between models and demonstrate appropriate use of the features within Algo Financial Modeler
D) To minimize the amount of testing required when building a new model within Algo Financial Modeler and provide a guarantee of the accuracy of results
Solutions:
Question # 1 Answer: A | Question # 2 Answer: A | Question # 3 Answer: B | Question # 4 Answer: C,D | Question # 5 Answer: B,C |