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Financial Management Practice Test 83

# Fama French Three Factor Model Quiz Questions with Answers PDF - 83

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## Fama French Three Factor Model Trivia Questions : Quiz 83

MCQ 411: The stock portfolio with the lowest book for market ratios is considered as

A) S portfolio
B) B to M portfolio
C) H portfolio
D) L portfolio

MCQ 412: A measure which is not included in Fama French Three-Factor model is

A) realized risk free rate
B) rate of return on market
C) random error

MCQ 413: An average return of portfolio divided by its standard deviation is classified as

A) Jensen's alpha
B) Treynor's variance to volatility ratio
C) Sharpe's reward to variability ratio
D) Treynor's reward to volatility ratio

MCQ 414: The capital gain expected by stockholders and the dividends are included in

A) debt rate
B) investment return
C) interest rate
D) cost of equity

MCQ 415: The net investment in operating capital is subtracted from net operating profit after taxes to calculate

A) relevant inflows
B) free cash flow
C) relevant outflows
D) cash outlay

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