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Financial Management Quiz App Download | Calculating Beta Coefficient e-Book PDF

Financial Management Entrance Tests: Certification Test 60

Calculating Beta Coefficient Quiz App Download & PDF e-Book - 60

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MCQ: 60

An average return of portfolio divided by its coefficient of beta is classified as

  1. Sharpe's reward to variability ratio
  2. treynor's reward to volatility ratio
  3. Jensen's alpha
  4. treynor's variance to volatility ratio

Calculating Beta Coefficient Textbook Tests: Financial Management App & eBook Quiz

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Calculating Beta Coefficient Quiz App (iOS & Android)

Calculating Beta Coefficient Quiz App

Financial Management Quiz App (Android & iOS)

Financial Management Quiz App

Human Resource Management (BBA) Quiz App (Android & iOS)

Human Resource Management (BBA) Quiz App

Financial Markets Quiz App (Android & iOS)

Financial Markets Quiz App