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Financial Management MCQs

Financial Management MCQ Questions - Topic

Risk and Rates of Return on Investment Multiple Choice Questions (MCQ), Risk and Rates of Return on Investment quiz answers PDF with financial management live worksheets for online degrees. Solve risk, return, and capital asset pricing model Multiple Choice Questions and Answers (MCQs), Risk and Rates of Return on Investment quiz questions for business administration degree courses. Risk and Rates of Return on Investment Interview Questions PDF: stand alone risk and return, risk and rates of return on investment, risk and return: is something missing test prep for online business administration courses.

"The yield on bond is 7% and the market required return is 14% then market risk premium would be" MCQ PDF on risk and rates of return on investment with choices *0.02, 0.21, 0.005, and 0.07* for business administration degree courses. Solve risk and rates of return on investment quiz questions for merit scholarship test and certificate programs for general business degree online.

**MCQ**: The yield on bond is 7% and the market required return is 14% then market risk premium would be

0.02

0.21

0.005

0.07

d

**MCQ**: The external factors such as expiration of basic patents and industry competition effect

patents premium

competition premium

company's beta

expiry premium

c

**MCQ**: Of all the stocks in a portfolio, the required rate of return is classified as

return portfolio

in volatile portfolio

volatile portfolio

market portfolio

d

**MCQ**: The type of premium asked by the investors for bearing the risk on average stock is classified as

average premium

market risk premium

stock premium

buying discount

b

**MCQ**: The market risk premium is 8% and the risk free return is 7% then the market required return would be

0.15

0.01

56

0.01142

a

Valuing Stocks: Non constant Growth Rate MCQs

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Stand Alone Risk and Return MCQs

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Beta Coefficient in Finance MCQs

Types of Financial Markets MCQs