BBA Finance Courses

Financial Management Prep Tests

Financial Management Tests

Risk and Return Is something Missing MCQ with Answers PDF Download

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Financial Management: Risk and Return Is something Missing MCQs PDF Download

MCQ: An analysis of decision making of investors and managers is classified as

A) riskier finance
B) behavioral finance
C) premium finance
D) buying finance

MCQ: A technique of lowering the risk for multinational companies and globally designed portfolios is classified as

A) national diversification
B) behavioral diversification
C) global diversification
D) behavioral finance

MCQ: In the portfolio, the beta of individual security in portfolio represented as their weighted average is classified as

A) average of portfolio
B) beta of portfolio
C) weighted portfolio
D) collective stocks

MCQ: The size of the firm and the market or book ratio are variables which are related to

A) premium returns
B) unquoted returns
C) quoted returns
D) stock returns

MCQ: A model in which the behavior of asset returns is measured for set of risk factors and market risk is classified as

A) factorization model
B) Two factor model
C) multifactor model
D) quoted factor model

Practice Tests: Financial Management Exam Prep

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Financial Management App (Android & iOS)

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Financial Management App (Android & iOS)

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Cost Accounting App (Android & iOS)

Cost Accounting Quiz App

Financial Markets App (Android & iOS)

Financial Markets Quiz App