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Financial Options Quiz Questions and Answers 130 PDF Book Download

Financial options quiz questions, financial options MCQs with answers, financial management test prep 130 to learn finance courses for business administration degree online. Financial options and applications in corporate finance quiz questions and answers, financial options multiple choice questions (MCQs) to practice finance test with answers for online colleges and universities courses. Learn financial options MCQs, international financial institutions, types of financial markets, risk in portfolio context, financial options test prep for CPA certification.

Learn financial options test with multiple choice question (MCQs): type of options in which buyer of options has call on 200 shares in stock is classified as, with choices call option, stated option, unstated option, and contractual option for business degree online classes. Learn financial options and applications in corporate finance questions and answers for problem-solving, merit scholarships assessment test for accounting certifications.

Quiz on Financial Options Worksheet 130Quiz Book Download

Financial Options Quiz

MCQ: Type of options in which buyer of options has call on 200 shares in stock is classified as

  1. call option
  2. stated option
  3. unstated option
  4. contractual option


Risk in Portfolio Context Quiz

MCQ: In capital asset pricing model, an amount of risk that stock contributes to portfolio of market is classified as

  1. stand-alone coefficient
  2. relevant coefficient
  3. alpha coefficient
  4. beta coefficient


Types of Financial Markets Quiz

MCQ: Financial markets include

  1. primary markets
  2. capital markets
  3. physical asset markets
  4. all of the above


International Financial Institutions Quiz

MCQ: Funds which are used as an interest-bearing checking accounts are classified as

  1. money market funds
  2. capital market funds
  3. money mutual funds
  4. insurance money funds


Relationship between Risk and Rates of Return Quiz

MCQ: Case in which average investors risk aversion is greater then slope of line and risk premium respectively is

  1. steeper, greater
  2. steeper, smaller
  3. steeper, zero
  4. Both A and B