Bachelor Of Business Administration

Financial Management MCQs

BBA: Financial Management MCQs - Subtopic

Risk Management in Finance MCQ with Answers

Risk Management in Finance Multiple Choice Questions (MCQ) to solve risk management in finance quiz answers PDF worksheet, financial management test for online courses. Practice risk, return, and capital asset pricing model Multiple Choice Questions and Answers (MCQs), "Risk Management in Finance" quiz questions and answers for online schools for business degrees. Learn stand alone risk and return, risk and rates of return on investment, risk and return: is something missing test prep for online classes for bachelor's degree in business administration.

"The two alternative expected returns are compared with the help of" Multiple Choice Questions (MCQ) on risk management in finance with choices coefficient of variation, coefficient of deviation, coefficient of standard, and coefficient of return for online schools for business degrees. Solve risk management in finance quiz questions for merit scholarship test and certificate programs for business management classes online.

MCQs on Risk Management in Finance

1.

The two alternative expected returns are compared with the help of

coefficient of variation
coefficient of deviation
coefficient of standard
coefficient of return

2.

The chance of happening any unfavorable event in near future is classified as

chance
event happening
probability
risk

3.

A tighter probability distribution shows the

higher risk
lower risk
expected risk
peaked risk

4.

The coefficient of variation is used to identify an effect of

risk
return
deviation
Both A and B

5.

The weighted average of the probabilities is classified as

average rate of return
expected rate of return
past rate of return
weighted rate of return