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Financial Management Study Guide: Practice Test 9 (Chapter 9)

Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions (MCQs) PDF Download - 9

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The Risk, Return, and Capital Asset Pricing Model Multiple Choice Questions (MCQs) with Answers PDF (Risk, Return, and Capital Asset Pricing Model MCQs PDF e-Book) download Ch. 9-9 to study Financial Management Course. Practice Stand Alone Risks MCQs, Risk, Return, and Capital Asset Pricing Model Notes questions and answers PDF for accredited online business management degree. The Risk, Return, and Capital Asset Pricing Model MCQs App Download: Free Financial Management App to study stand alone risk and return, risk in portfolio context, risk and return: is something missing career test to study finance certificate courses.

The MCQ: The probability distribution is classified as normal if expected return lies between; "Risk, Return, and Capital Asset Pricing Model" App Download [Free] with answers: ( + 2 and -2), ( + 1 and -1), ( + 3 and -3), and ( + 4 and -4) to study finance certificate courses. Solve Fama French Three Factor Model Quiz Questions, download Google eBook (Free Sample) for online business and administration degree.

Risk, Return, & Capital Asset Pricing Model MCQ with Answers PDF Download: Quiz 9

MCQ: 41

The probability distribution is classified as normal if expected return lies between

  1. ( + 1 and -1)
  2. ( + 2 and -2)
  3. ( + 3 and -3)
  4. ( + 4 and -4)
MCQ: 42

The greater chance of lower actual return than expected return and greater variation is indicated by

  1. smaller standard deviation
  2. larger standard deviation
  3. smaller variance
  4. larger variance
MCQ: 43

The tendency of measuring correlation of two variables is classified as

  1. tendency coefficient
  2. variable coefficient
  3. correlation coefficient
  4. double coefficient
MCQ: 44

The size of the firm and the market or book ratio are variables which are related to

  1. premium returns
  2. unquoted returns
  3. quoted returns
  4. stock returns
MCQ: 45

A model in which the behavior of asset returns is measured for set of risk factors and market risk is classified as

  1. factorization model
  2. Two factor model
  3. multifactor model
  4. quoted factor model

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