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Fama French Three Factor Model Quiz Questions and Answers 83 PDF Download

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Study fama french three factor model online courses with multiple choice question (MCQs), stock portfolio with lowest book for market ratios is considered as, for BBA degree and executive MBA in finance degree questions with choices s portfolio, b to m portfolio, h portfolio , l portfolio with business administration course questions and answers for online formative assessment of students. Learn portfolio theory and asset pricing models questions and answers with problem-solving skills assessment test for colleges and universities' financial aid competitive exam preparation.

Quiz on Fama French Three Factor Model Worksheet 83Quiz PDF Download

Fama French Three Factor Model Quiz

MCQ: Stock portfolio with lowest book for market ratios is considered as

  1. S portfolio
  2. B to M portfolio
  3. H portfolio
  4. L portfolio

D

Fama French Three Factor Model Quiz

MCQ: A measure which is not included in Fama French Three-Factor model is

  1. realized risk free rate
  2. rate of return on market
  3. random error
  4. risk premium

D

Beta Coefficient in Finance Quiz

MCQ: An average return of portfolio divided by its standard deviation is classified as

  1. Jensen's alpha
  2. Treynor's variance to volatility ratio
  3. Sharpe's reward to variability ratio
  4. Treynor's reward to volatility ratio

C

Objective of Corporation Value Maximization Quiz

MCQ: Capital gain expected by stockholders and dividends are included in

  1. debt rate
  2. investment return
  3. interest rate
  4. cost of equity

D

Estimating Cash Flows Quiz

MCQ: Net investment in operating capital is subtracted from net operating profit after taxes to calculate

  1. relevant inflows
  2. free cash flow
  3. relevant outflows
  4. cash outlay

B