Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions Test 1 pdf Download

Practice BBA financial management test 1 with MCQ on risk management in finance online for learning. Practice risk, return, and capital asset pricing model multiple choice questions (MCQ) on risk management in finance, investment returns calculations, risk and return: is something missing, risk and rates of return on investment, stand alone risk and return,. Free study guide has answering options coefficient of deviation, coefficient of variation, coefficient of standard and coefficient of return of multiple choice questions (MCQ) as two alternative expected returns are compared with help of to test learning skills. Study to learn risk management in finance quiz questions to practice MCQ based online exam preparation test.

MCQ on Risk, Return, and Capital Asset Pricing Model - Test 1

MCQ. Two alternative expected returns are compared with help of

  1. coefficient of variation.
  2. coefficient of deviation.
  3. coefficient of standard.
  4. coefficient of return.

A

MCQ. Dollar return is divided by invested amount which is used for calculating the

  1. rate of return.
  2. return amount.
  3. investment rate.
  4. received amount.

A

MCQ. An analysis of decision making of investors and managers is classified as

  1. riskier finance.
  2. behavioral finance.
  3. premium finance.
  4. buying finance.

B

MCQ. Yield on bond is 7% and market required return is 14% then market risk premium would be

  1. 2%.
  2. 21%.
  3. 0.50%.
  4. 7%.

D

MCQ. An expected rate of return is denoted by

  1. e-bar.
  2. r-bar.
  3. r-hat.
  4. e-hat.

C

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