Risk Management in Finance MCQs Quiz Online PDF Book Download

Risk management in finance multiple choice questions (MCQs), risk management in finance quiz answers to learn online finance degree courses. Risk, return, and capital asset pricing model MCQs with answers, risk management in finance quiz questions and answers for masters degree in business management. Learn risk in portfolio context, risk and return: is something missing, stand alone risks, portfolio analysis, risk management in finance test prep for accounting certifications.

Learn risk, return, and capital asset pricing model test MCQs: two alternative expected returns are compared with help of, with choices coefficient of variation, coefficient of deviation, coefficient of standard, and coefficient of return for masters degree in business management. Practice merit scholarships assessment test, online learning risk management in finance quiz questions for competitive in business majors .

MCQ on Risk Management in FinanceQuiz Book Download

MCQ: Two alternative expected returns are compared with help of

  1. coefficient of variation
  2. coefficient of deviation
  3. coefficient of standard
  4. coefficient of return

A

MCQ: Chance of happening any unfavorable event in near future is classified as

  1. chance
  2. event happening
  3. probability
  4. risk

D

MCQ: A tighter probability distribution shows the

  1. higher risk
  2. lower risk
  3. expected risk
  4. peaked risk

B

MCQ: Coefficient of variation is used to identify an effect of

  1. risk
  2. return
  3. deviation
  4. Both A and B

D

MCQ: Weighted average of probabilities is classified as

  1. average rate of return
  2. expected rate of return
  3. past rate of return
  4. weighted rate of return

B