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Financial Management
1127
Financial Markets and Institutions
538
International Finance
158
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Stock Markets
The number of shares outstanding are multiplied to price of stock to calculate
secondary market values
current market values
past market values
primary market values
Author:
rikazzz
Comment
Cost of Capital
The historical growth rates, analysis forecasts and retention growth model are the approaches to estimate
present value of gain
growth rate
growth gain
discounted gain
Author:
rikazzz
Comment
Cost of Capital
The beta which is estimated as regression slope coefficient is classified as
historical beta
market beta
coefficient beta
riskier beta
Author:
rikazzz
Comment
Time Value of Money (TVM)
A schedule which shows the interest constitutes reduced principal and unpaid balance is considered as
repaid schedule
depreciated schedule
amortization schedule
appreciated schedule
Author:
rikazzz
Comment
Financial Options and Applications in Corporate Finance
The present value of portfolio is $900 and the current value of stock in portfolio is $1500 then the current option price would be
2400
−$600
−$2400
600
Author:
rikazzz
Comment
Cost of Capital
The stock selling price is $35, expected dividend is $5 and expected growth rate is 8% then cost of common stock would be
40
0.2229
0.1428
80
Author:
rikazzz
Comment
Valuation Of Securities
In zero coupon bonds, the impact of lower duration on maturity is that
maturity will be higher
maturity will be lower
maturity will be zero
maturity will be elastic
Author:
rikazzz
Comment
Risk-Return Relationship and the Capital Asset Pricing Model (CAPM)
The stock which has higher correlation with market tend to have
high beta, less risky
low beta, more risky
high beta, more risky
low beta, less risky
Author:
rikazzz
Comment
Cost of Capital
An interest rate which is paid by the firm as soon as it issues the debt is classified as pre-tax
term structure
market premium
risk premium
cost of debt
Author:
rikazzz
Comment
Risk-Return Relationship and the Capital Asset Pricing Model (CAPM)
A technique of lowering the risk for multinational companies and globally designed portfolios is classified as
national diversification
behavioral diversification
global diversification
behavioral finance
Author:
rikazzz
Comment
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