BBA Finance Degree Courses

Chapter 8: Financial Management Exam Tests

Financial Management MCQs - Chapter 8

Portfolio Theory and Asset Pricing Models Quiz Questions & Answers PDF Download - 3

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Portfolio Theory & Asset Pricing Models Exam Questions and Answers PDF Download: Test 3

MCQ 11:

The difference between actual return on stock and the predicted return is considered as

  1. probability error
  2. actual error
  3. prediction error
  4. random error
MCQ 12:

The complex statistical and mathematical theory is an approach, which is classified as

  1. arbitrage pricing theory
  2. arbitrage risk theory
  3. arbitrage dividend theory
  4. arbitrage market theory
MCQ 13:

The first step in determining an efficient portfolio is to consider

  1. set of attainable portfolios
  2. set of unattainable portfolios
  3. set of attributable portfolios
  4. set of attributable portfolios
MCQ 14:

The tendency of people to blame failure on bad luck but given tribute of success to themselves is classified as

  1. self-attribution bias
  2. self-success bias
  3. self-failure bias
  4. self-condition bias
MCQ 15:

The stock portfolio with the highest book to market ratios is considered as

  1. H portfolio
  2. L portfolio
  3. S portfolio
  4. B to M portfolio

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Portfolio Theory & Asset Pricing Models App (Android & iOS)

Portfolio Theory & Asset Pricing Models App (Android & iOS)

Financial Management App (Android & iOS)

Financial Management App (iOS & Android)

BBA Economics App (Android & iOS)

BBA Economics App (Android & iOS)

Business Statistics App (Android & iOS)

Business Statistics App (iOS & Android)