derivatives PM..did i blow it???

Hi guys a very unusual thread. I left derivatives for the last and I was dying for time. Had no time to do the last 4 questions so I just picked the option C for all four. Wondering if anyone remembers that as being one of the choices. Also for the first two I had 4.6 and buy a fixed payer swaption I think. Did I get anything right? Please help…

Hey, I am on the same boat. For me, I put Cs for last 3 questions(portfolio M) in PM because I was running out of time. Are there anyone to confirm the answers?