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Finance Mcqs

Coefficient of beta is used to measure stock volatility_____________?

August 18, 2021February 4, 2019 by admin
Coefficient of beta is used to measure stock volatility_____________?

A. Coefficient of market
B. Relative to market
C. Ir-relative to market
D. Same with market

Categories Finance Mcqs, Financial Management Mcqs

Relationship between risk and required return is classified as___________?

August 18, 2021February 4, 2019 by admin
Relationship between risk and required return is classified as___________?

A. Security market line
B. Required return line
C. Market risk line
D. Riskier return line

Categories Finance Mcqs, Financial Management Mcqs

Tendency of moving together of two variables is classified as_____________?

August 18, 2021February 4, 2019 by admin
Tendency of moving together of two variables is classified as_____________?

A. Correlation
B. Move tendency
C. Variables tendency
D. Double tendency

Categories Finance Mcqs, Financial Management Mcqs

Chance of occurrence of any event is classified as_____________?

August 18, 2021February 4, 2019 by admin
Chance of occurrence of any event is classified as_____________?

A. Probability
B. Risk
C. Chance
D. Event happening

Categories Finance Mcqs, Financial Management Mcqs

Term structure premium, an inflation of bond and bond default premium are included in_________________?

August 18, 2021February 4, 2019 by admin
Term structure premium, an inflation of bond and bond default premium are included in_________________?

A. Risk factors
B. Premium factors
C. Bond buying factors
D. Multi model

Categories Finance Mcqs, Financial Management Mcqs

Tendency of measuring correlation of two variables is classified as_________?

August 18, 2021February 4, 2019 by admin
Tendency of measuring correlation of two variables is classified as_________?

A. Tendency coefficient
B. Variable coefficient
C. Correlation coefficient
D. Double coefficient

Categories Finance Mcqs, Financial Management Mcqs

Stock which has higher correlation with market tend to have__________?

August 18, 2021February 4, 2019 by admin
Stock which has higher correlation with market tend to have__________?

A. High beta, less risky
B. Low beta, more risky
C. High beta, more risky
D. Low beta, less risky

Categories Finance Mcqs, Financial Management Mcqs

Chance of happening any unfavorable event in near future is classified as___________?

August 18, 2021February 4, 2019 by admin
Chance of happening any unfavorable event in near future is classified as___________?

A. Chance
B. Event happening
C. Probability
D. Risk

Categories Finance Mcqs, Financial Management Mcqs

Coefficient of variation is used to identify an effect of__________?

August 18, 2021February 4, 2019 by admin
Coefficient of variation is used to identify an effect of__________?

A. Risk
B. Return
C. Deviation
D. Both A and B

Categories Finance Mcqs, Financial Management Mcqs

A tighter probability distribution shows the___________?

August 18, 2021February 4, 2019 by admin
A tighter probability distribution shows the___________?

A. Higher risk
B. Lower risk
C. Expected risk
D. Peaked risk

Categories Finance Mcqs, Financial Management Mcqs
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