MMPB-004 · June 2026 · English
IGNOU MMPB-004 June 2026 Previous Year Question Paper
RISK MANAGEMENT IN BANKS
Structured previous year question paper for MMPB-004, June 2026 session.
Max marks: 100 · Questions: 10
Verified: 11 Sept 2026
MASTER OF BUSINESS
ADMINISTRATION
(BANKING AND FINANCE)
(MBF)
Term-End Examination
June, 2026
MMPB-004 : RISK MANAGEMENT IN BANKS
Time : 3 Hours Maximum Marks : 100
Note :
(i) Attempt any five questions.
(ii) All questions carry equal marks.
Q1.What is the objective of Risk Management System in an organisation ? Explain the major types of risks that are relevant to the Banking Institutions.
Q2.Discuss the following incidents which have caused risk to the Banks and the lessons learned from each of these incidents to the Banking Industry :
(i) Barings Bank Failure (1995)
(ii) Latin American Debt Crisis (1982)
Q3.What is the role of Operational R isk Management Department in a Bank ?
Q4.Discuss the specific activities carried out by this Department.
Q5.What are ‘Credit Derivatives’ ? Discuss the different types of Credit Derivatives.
Q6.What is Liquidity Risk ? How does it arise ?
Q7.Explain the factor s contributing to the liquidity issues for Banks.
Q8.What are Currency Options ? Explain the different exotic Options popular in Currency Market.
Q9.Explain, in brief, the different approaches to measure Operational Risk, and describe the Basic Indicator Approach, bringing out the advantages and disadvantages of this approach.
Q10.What is the significance of Risk Report in Banks ? Discuss the principles for effective risk aggregation and risk reporting in banks.