BBA: Finance Courses
Chapter 9: Financial Management Exam Tests
Financial Management MCQs - Chapter 9
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The MCQ: In capital asset pricing model, the stock with the high standard deviation tend to have; "Risk, Return, and Capital Asset Pricing Model" App Download Android & iOS (Free) with answers low beta, low variation, high beta and high variation to learn finance certificate courses. Practice risk in portfolio context quiz questions, download Apple Book (Free Sample) for online bachelor's degree in administration.
MCQ 26: In capital asset pricing model, the stock with the high standard deviation tend to have
MCQ 27: In the asset portfolio, the number of stocks are increased to
MCQ 28: The standard deviation is 18% and the expected return is 15.5% then the coefficient of variation would be
MCQ 29: The standard deviation is divided by the expected rate of return is used to calculate
MCQ 30: If the stock has a great risk related to it then a required return is
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