BBA MBA Degrees Online Courses

Financial Management MCQs

Financial Management MCQs - Subtopic

Capital Risk Adjustment MCQ with Answers PDF

Solve Capital Risk Adjustment Multiple Choice Questions (MCQ), financial management quiz answers PDF with career tests for online courses. Practice cost of capital Multiple Choice Questions and Answers (MCQs), Capital Risk Adjustment quiz questions bank for BA in business administration. "Capital Risk Adjustment MCQ" PDF book: capital risk adjustment, weighted average cost of capital, bond yield and bond risk premium test prep for online BBA courses.

"A risk associated with the project and the way considered by well diversified stockholder is classified as" Multiple Choice Questions (MCQ) on capital risk adjustment with choices expected risk, beta risk, industry risk, and returning risk for BA in business administration. Practice capital risk adjustment quiz questions for merit scholarship test and certificate programs for online business administration colleges.

MCQs on Capital Risk Adjustment

1.

A risk associated with the project and the way considered by well diversified stockholder is classified as

expected risk
beta risk
industry risk
returning risk

2.

If the future return on common stock is 14% and the rate on T-bonds is 5% then the current market risk premium will be

0.19
0.09
9
19

3.

The method in which company finds other companies considered in same line of business to evaluate divisions is classified as

pure play method
same play method
division line method
single product method

4.

If the future return on common stock is 19% and the rate on T-bonds is 11% then the current market risk premium will be

30
0.3
0.08
8

5.

In weighted average cost of capital, the cost of capital which is risk adjusted and developed for each category of

long-term projects
industry [industrial] projects
divisional projects
short-term projects
Download Free Apps: