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Financial Management Practice Test 65

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The Risk in Portfolio Context Quiz Questions and Answers PDF (Risk in Portfolio Context Quiz with Answers PDF e-Book) download Ch. 9-65 to prepare Financial Management Practice Tests. Solve Risk, Return, and Capital Asset Pricing Model MCQ with answers PDF, Risk in Portfolio Context Multiple Choice Questions (MCQ Quiz) for online colleges for business administration. The Risk in Portfolio Context Quiz App Download: Free learning app for risk in portfolio context, bond valuation calculations, financial planning, weighted average cost of capital, put call parity relationship test prep for online BBA degree.

The Quiz MCQ: The stock which has higher correlation with market tend to have; "Risk in Portfolio Context" App Download (Free) with answers: Low beta, more risky; High beta, less risky; High beta, more risky; Low beta, less risky; for online colleges for business administration. Learn Risk, Return, and Capital Asset Pricing Model Questions and Answers, Apple eBook to download free sample to learn e-learning courses.

## Risk in Portfolio Context Questions and Answers : MCQ 65

MCQ 321:

The stock which has higher correlation with market tend to have

1. high beta, less risky
2. low beta, more risky
3. high beta, more risky
4. low beta, less risky
MCQ 322:

The price of an outstanding bond increases when the market rate

1. never changes
2. increases
3. decreases
4. earned
MCQ 323:

In financial planning, the formula MAX[current price of stock-strike price‚0] is used to calculate

1. option return rate
2. exercise value
3. option value
4. stock value
MCQ 324:

The retention ratio is 0.55 and the return on equity is 12.5% then the growth retention model would be

1. 0.1195
2. 0.06875
3. 0.1305
4. 0.2272
MCQ 325:

According to put call parity relationship, the call option plus present value of exercise price minus stock is to calculate

1. present value of option
2. call option
3. put option
4. future value of option

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