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Financial Management Practice Test 36

Risk in Portfolio Context Multiple Choice Questions (MCQ) PDF - 36

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The MCQ Quiz: Risk which is caused by events such as strikes, unsuccessful marketing programs and other lawsuits is classified as; "Risk in Portfolio Context" App APK Download (Free) with answers portfolio risk, stock risk, diversifiable risk and market risk to learn distance learning courses. Study risk, return, and capital asset pricing model questions and answers, Apple Book to download free sample for online business administration degree.

Risk in Portfolio Context Questions and Answers : Quiz 36

MCQ 176: The risk which is caused by events such as strikes, unsuccessful marketing programs and other lawsuits is classified as

1. stock risk
2. portfolio risk
3. diversifiable risk
4. market risk

MCQ 177: The difference between bond's yield and any other security yield having same maturities is considered as

MCQ 178: In binomial approach of option pricing model, the fourth step is to create

1. equalize the domain of payoff
2. equalize the ending price
3. riskless investment
4. high risky investment

MCQ 179: The net investment in operating capital is \$5000 and the net operating profit after taxes is \$8000 then the free cash flow would be

1. 13000
2. −\$3000
3. 3000
4. −\$13000

MCQ 180: The method in which company finds other companies considered in same line of business to evaluate divisions is classified as

1. pure play method
2. same play method
3. division line method
4. single product method

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