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Download the "Risk Management in Finance Learning" App with MCQ: Two alternative expected returns are compared with the help of; with answers: coefficient of variation, coefficient of deviation, coefficient of standard, and coefficient of return. Practice Risk Management in Finance Quiz Questions, download Google e-Book (Free Chapter) to benefit finance web learning.

Risk Management in Finance MCQs PDF Download – Prep Test

MCQ 1: The two alternative expected returns are compared with the help of:

  1. coefficient of variation
  2. coefficient of deviation
  3. coefficient of standard
  4. coefficient of return

MCQ 2: The chance of happening any unfavorable event in near future is classified as:

  1. chance
  2. event happening
  3. probability
  4. risk

MCQ 3: A tighter probability distribution shows the:

  1. higher risk
  2. lower risk
  3. expected risk
  4. peaked risk

MCQ 4: The coefficient of variation is used to identify an effect of:

  1. risk
  2. return
  3. deviation
  4. Both A and B

MCQ 5: The weighted average of the probabilities is classified as:

  1. average rate of return
  2. expected rate of return
  3. past rate of return
  4. weighted rate of return

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