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Risk in Portfolio Context Quiz Questions and Answers 28 PDF Download

Learn risk in portfolio context quizzes, BBA financial management online test 28 for distance learning degrees, online BBA courses. College and university courses' MCQs on risk, return, and capital asset pricing model quiz, risk in portfolio context multiple choice questions and answers to learn finance quiz with answers. Practice risk in portfolio context MCQs career test assessment on portfolio risk management, fama french model, financial institutions and corporations, cash flow analysis, risk in portfolio context practice test for online BBA degree courses distance learning.

Study BBA degree and executive MBA degree in finance questions, risk in portfolio context course online has multiple choice question (MCQs): type of risk in which beta is equal to one is classified as with options multiple risk stock , varied risk stock , total risk stock and average risk stock for online business consultant interview questions and answers with BBA, MBA practice tests. Learn risk, return, and capital asset pricing model quiz questions with problem solving skills assessment test to prepare admission test for admission in 1 year MBA program.

Quiz on Risk in Portfolio Context Worksheet 28Quiz PDF Download

Risk in Portfolio Context Quiz

MCQ: Type of risk in which beta is equal to one is classified as

  1. multiple risk stock
  2. varied risk stock
  3. total risk stock
  4. average risk stock

D

Cash Flow Analysis Quiz

MCQ: In cash flow analysis, two projects are compared by using common life, is classified as

  1. transaction approach
  2. replacement chain approach
  3. common life approach
  4. Both B and C

D

Financial Institutions and Corporations Quiz

MCQ: Corporations that buy financial instruments with money accepted from savers are classified as

  1. debit funds
  2. credit funds
  3. mutual funds
  4. insurance funds

C

Fama French Model Quiz

MCQ: High portfolio return is 6.5% and low portfolio return is 3.0% then HML portfolio will be

  1. 2.16%
  2. 9.50%
  3. 3.50%
  4. 0.4615 times

C

Portfolio Risk Management Quiz

MCQ: A portfolio consists of all stocks in a market is classified as

  1. market portfolio
  2. return portfolio
  3. correlated portfolio
  4. diversified portfolio

A