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Financial Management Entrance Exam: Practice Test 14 (Chapter 9)

Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions (MCQ) PDF Download - 14

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The Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions (MCQ Quiz) with Answers PDF (Risk, Return, and Capital Asset Pricing Model MCQ PDF e-Book) download Ch. 9-14 to learn Financial Management Course. Solve Stand Alone Risks Multiple Choice Questions (MCQs), Risk, Return, and Capital Asset Pricing Model quiz with answers PDF to study finance certificate courses. The Financial Management MCQ App Download: Free Risk, Return, and Capital Asset Pricing Model App to learn risk in portfolio context, relationship between risk and rates of return, portfolio analysis career test for online schools for business degrees.

The MCQs: The range of probability distribution with 68.26% lies within; "Risk, Return, and Capital Asset Pricing Model" App (Android, iOS) with answers: (+4σ and -4σ), (+3σ and -3σ), (+1σ and -1σ), and (+2&sigma and -2&sigma) to study finance certificate courses. Practice Corporate Action Life Cycle Quiz Questions, download Apple Book (Free Sample) for colleges that offer business administration.

Risk, Return, & Capital Asset Pricing Model MCQs with Answers PDF Download: Quiz 14

MCQ: 66

The range of probability distribution with 68.26% lies within

  1. (+3σ and -3σ)
  2. (+4σ and -4σ)
  3. (+1σ and -1σ)
  4. (+2σ and -2σ)
MCQ: 67

In capital asset pricing model, an amount of risk that stock contributes to the portfolio of market is classified as

  1. stand-alone coefficient
  2. relevant coefficient
  3. alpha coefficient
  4. beta coefficient
MCQ: 68

The case in which average investors risk aversion is greater then the slope of line and risk premium respectively is

  1. steeper, greater
  2. steeper, smaller
  3. steeper, zero
  4. Both A and B
MCQ: 69

The expected returns weighted average on assets in the portfolio is considered as

  1. weighted portfolio
  2. expected return on portfolio
  3. coefficient of portfolio
  4. expected assets
MCQ: 70

The correct measure of risk of stock is called

  1. alpha
  2. beta
  3. variance
  4. market relevance

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Risk, Return, and Capital Asset Pricing Model MCQs App (Android & iOS)

Risk, Return, & Capital Asset Pricing Model MCQs App

Financial Management MCQs App (iOS & Android)

Financial Management MCQs App

Financial Markets MCQ App (iOS & Android)

Financial Markets MCQ App

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Business Statistics MCQ App