Chapter 8: Financial Management Exam Tests
Financial Management MCQs - Chapter 8
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MCQ 31: A model which regresses the return of stock against the return of market is classified as
MCQ 32: According to capital asset pricing model assumptions, the quantities of all the assets are
MCQ 33: According to Fama French Three-Factor model, the market value of company equity is used to calculate
MCQ 34: The negative minimum risk portfolio of any security shows that market security sold
MCQ 35: In capital asset pricing model, the covariance between stock and the market is divided by variance of market returns is used to calculate
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