Financial Management Study App | Risk, Return, and Capital Asset Pricing Model Notes e-Book PDF
Financial Management MCQs (BBA Finance) From Textbook

Financial Management MCQs – Practice Test 8 (Chapter 9)

Risk, Return, and Capital Asset Pricing Model Notes Questions with Answers PDF Download – Test 8

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Study Financial Management Notes App (Free) with MCQ: "According to probability distribution of rates of return, a close outcome to an expected value is shown by"; with answers: expected distribution, value distribution, more peaked distribution, and less peaked distribution. Practice Weighted Average Cost of Capital Quiz Questions, download Kobo e-Book (Free Chapter) for finance college admissions.

Risk, Return, & Capital Asset Pricing Model MCQs – Practice Test 8 PDF Download

MCQ 36: According to probability distribution of rates of return, a close outcome to an expected value is shown by:

  1. value distribution
  2. expected distribution
  3. more peaked distribution
  4. less peaked distribution

MCQ 37: A range of probability distribution with 95.46% lies within:

  1. ( + 1σ and -1σ)
  2. ( + 2σ and -2σ)
  3. ( + 3σ and -3σ)
  4. ( + 4σ and -4σ)

MCQ 38: The coefficient of variation is used to identify an effect of:

  1. risk
  2. return
  3. deviation
  4. Both A and B

MCQ 39: In the portfolio, the beta of individual security in portfolio represented as their weighted average is classified as:

  1. average of portfolio
  2. beta of portfolio
  3. weighted portfolio
  4. collective stocks

MCQ 40: The coefficient of beta is used to measure stock volatility:

  1. coefficient of market
  2. relative to market
  3. irrelative to market
  4. same with market

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