According to market risk premium, an amount of risk premium depends upon investor______________?
A. Risk taking
B. Risk aversion
C. Market aversion
D. Portfolio aversion
A. Risk taking
B. Risk aversion
C. Market aversion
D. Portfolio aversion
A. Alpha
B. Beta
C. Variance
D. Market relevance
Correct measure of risk of stock is called_____________? Read More »
Finance Mcqs, Financial Management Mcqs A. Negativity
B. Positivity
C. Correlation
D. Diversification
A. Mean
B. Weighted average
C. Mean correlation
D. Negative correlation
Mostly in financials, risk of portfolio is smaller than that of asset’s________? Read More »
Finance Mcqs, Financial Management Mcqs A. Coefficient of market
B. Relative to market
C. Ir-relative to market
D. Same with market
Coefficient of beta is used to measure stock volatility_____________? Read More »
Finance Mcqs, Financial Management Mcqs A. Security market line
B. Required return line
C. Market risk line
D. Riskier return line
Relationship between risk and required return is classified as___________? Read More »
Finance Mcqs, Financial Management Mcqs A. Correlation
B. Move tendency
C. Variables tendency
D. Double tendency
Tendency of moving together of two variables is classified as_____________? Read More »
Finance Mcqs, Financial Management Mcqs A. Probability
B. Risk
C. Chance
D. Event happening
Chance of occurrence of any event is classified as_____________? Read More »
Finance Mcqs, Financial Management Mcqs A. Enterprise Research Planning
B. Enterprise Resource Planning
C. Enterprise Resource Package
D. Enterprise Research Package
ERP stands for____________________? Read More »
Architectural Design A. Risk factors
B. Premium factors
C. Bond buying factors
D. Multi model