BBA Finance Quiz, Notes & Technology Articles

Objective of Corporation Value Maximization Quiz Questions and Answers 127 PDF Download

Practice objective of corporation value maximization quiz online, BBA financial management test 127 for online courses, distance learning. Free finance MCQs questions and answers to learn objective of corporation value maximization MCQs with answers. Practice MCQs to test knowledge on objective of corporation value maximization, net present value, bond yield and bond risk premium, risk in portfolio context, risk and rates of return on investment worksheets.

Free objective of corporation value maximization course worksheet has multiple choice quiz question as low default-risk security issued by financially secure firms is classified as with options u.s treasury bills , commercial paper , certificate of deposit and mutual funds with problems solving answer key to test study skills for online e-learning, viva help and jobs' interview preparation tips, study overview of financial management and environment multiple choice questions based quiz question and answers.

Quiz on Objective of Corporation Value Maximization Quiz PDF Download Worksheet 127

Objective of Corporation Value Maximization Quiz

MCQ. The low default-risk security issued by financially secure firms is classified as

  1. U.S treasury bills
  2. commercial paper
  3. certificate of deposit
  4. mutual funds

B

Net Present Value Quiz

MCQ. In capital budgeting, a technique which is based upon discounted cash flow is classified as

  1. net present value method
  2. net future value method
  3. net capital budgeting method
  4. net equity budgeting method

A

Bond Yield and Bond Risk Premium Quiz

MCQ. The cost of common stock is 15% and the bond yield is 10.5% then the bond risk premium will be

  1. 1.43%
  2. $70
  3. 25.50%
  4. 4.50%

D

Risk in Portfolio Context Quiz

MCQ. The market risk and diversifiable risk are two components of

  1. stock's risk
  2. portfolio risk
  3. expected return
  4. stock return

A

Risk and Rates of Return on Investment Quiz

MCQ. The market risk premium is 8% and the risk free return is 7% then the market required return would be

  1. 15%
  2. 1%
  3. $56
  4. 1.14%

A