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Financial Management Practice Test 28

Risk in Portfolio Context MCQ Questions and Answers PDF - 28

The e-Book Risk in Portfolio Context MCQ Questions, risk in portfolio context quiz answers PDF download chapter 9-28 to learn online financial management degree programs. Solve Risk, Return, and Capital Asset Pricing Model Test PDF, risk in portfolio context Multiple Choice Questions (MCQ Quiz) for online college degrees. The Risk in Portfolio Context MCQ Quiz App Download: Free certification app for risk in portfolio context, cash flow analysis, financial institutions and corporations, fama french model, portfolio risk management test prep for online bachelor's degree in business administration.

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Risk in Portfolio Context MCQ with Answers PDF Download: Quiz 28

MCQ 136: The type of risk in which beta is equal to one is classified as

A) multiple risk stock
B) varied risk stock
C) total risk stock
D) average risk stock

MCQ 137: In cash flow analysis, the two projects are compared by using common life, is classified as

A) transaction approach
B) replacement chain approach
C) common life approach
D) Both B and C

MCQ 138: The corporations that buy financial instruments with the money accepted from savers are classified as

A) debit funds
B) credit funds
C) mutual funds
D) insurance funds

MCQ 139: The high portfolio return is 6.5% and the low portfolio return is 3.0% then the HML portfolio will be

A) 0.0216
B) 0.095
C) 0.035
D) 0.4615

MCQ 140: A portfolio consists of all the stocks in a market is classified as

A) market portfolio
B) return portfolio
C) correlated portfolio
D) diversified portfolio

Financial Management Exam Prep Tests

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