BBA: Finance Courses

Chapter 9: Financial Management Exam Tests

Financial Management MCQs - Chapter 9

Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions (MCQ) PDF - 1

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Risk, Return, & Capital Asset Pricing Model MCQ Quiz PDF Download: Test 1

MCQ 1: The two alternative expected returns are compared with the help of

A) coefficient of variation
B) coefficient of deviation
C) coefficient of standard
D) coefficient of return

MCQ 2: The dollar return is divided by invested amount which is used for calculating the

A) rate of return
B) return amount
C) investment rate
D) received amount

MCQ 3: An analysis of decision making of investors and managers is classified as

A) riskier finance
B) behavioral finance
C) premium finance
D) buying finance

MCQ 4: The yield on bond is 7% and the market required return is 14% then market risk premium would be

A) 0.02
B) 0.21
C) 0.005
D) 0.07

MCQ 5: An expected rate of return is denoted by

A) e-bar
B) r-bar
C) r-hat
D) e-hat

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