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Financial Management
1127
Financial Markets and Institutions
538
International Finance
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Risk-Return Relationship and the Capital Asset Pricing Model (CAPM)
The range of probability distribution with 99.74% lies within
( + 3σ and -3σ)
( + 4σ and -4σ)
( + 1σ and -1σ)
( + 2σ and -2σ)
Author:
rikazzz
Comment
Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)
The third factor in the Fama French three factor model is the ratio which is classified as
book to market ratio
market to book ratio
company to industry ratio
stock to portfolio ratio
Author:
rikazzz
Comment
Estimating Cash Flow and Analyzing Risk
An analysis and estimation of cash flows include
input data and key output
depreciation schedule
net salvage values
all of the above
Author:
rikazzz
Comment
Bond Markets
The debentures that are considered as junior bonds as compared to debentures and mortgage bonds are classified as
subordinated debentures
ordinate debentures
expansion debentures
premium debentures
Author:
rikazzz
Comment
Bond Markets
The temporary imbalances between operating receipts and operating expenditures are funded with the help of
state bonds
federal bonds
municipal bonds
reserve bonds
Author:
rikazzz
Comment
Financial Environment
In financial markets, the period of maturity within one to five years of financial instruments is classified as
short-term
long-term
intermediate term
capital term
Author:
rikazzz
Comment
Modern Portfolio Theory (MPT) and the Capital Asset Pricing Model (CAPM)
The difference between actual return on stock and the predicted return is considered as
probability error
actual error
prediction error
random error
Author:
rikazzz
Comment
Stock Markets
If the stock price of call option is $300 and the exercise price of call option is $260 then the intrinsic value of option is
260
560
40
300
Author:
rikazzz
Comment
Cost of Capital
In retention growth model, the payout ratio is subtracted from one to calculate
present value ratio
future value ratio
retention ratio
growth ratio
Author:
rikazzz
Comment
Bond Markets
The financial institutions generally such as insurance companies and banks are prohibited to buy anything but
split grade bonds
investment grade bond securities
portfolio grade bonds
sinking grade bonds
Author:
rikazzz
Comment
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