221. Chance of occurrence of any event is classified as_____________?
A. Probability
B. Risk
C. Chance
D. Event happening

222. Tendency of moving together of two variables is classified as_____________?
A. Correlation
B. Move tendency
C. Variables tendency
D. Double tendency

223. Relationship between risk and required return is classified as___________?
A. Security market line
B. Required return line
C. Market risk line
D. Riskier return line

224. Coefficient of beta is used to measure stock volatility_____________?
A. Coefficient of market
B. Relative to market
C. Ir-relative to market
D. Same with market

225. Mostly in financials, risk of portfolio is smaller than that of asset’s________?
A. Mean
B. Weighted average
C. Mean correlation
D. Negative correlation

226. Portfolio which consists of perfectly positive correlated assets having no effect of___________?
A. Negativity
B. Positivity
C. Correlation
D. Diversification

227. Correct measure of risk of stock is called_____________?
A. Alpha
B. Beta
C. Variance
D. Market relevance

228. According to market risk premium, an amount of risk premium depends upon investor______________?
A. Risk taking
B. Risk aversion
C. Market aversion
D. Portfolio aversion

229. Weighted average of probabilities is classified as____________?
A. Average rate of return
B. Expected rate of return
C. Past rate of return
D. Weighted rate of return

230. In an individual stock, relevant risk is classified as___________?
A. Alpha coefficient
B. Beta coefficient
C. Stand-alone coefficient
D. Relevant coefficient

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