241. Positive minimum risk portfolio of any security shows that market security sold____________?
A. Equal to original price
B. Equal to sum of stocks
C. Less than original price
D. Greater than original price
242. Risk affects any firm with factors such as war, recessions, inflation and high interest rates is classified as____________?
A. Diversifiable risk
B. Market risk
C. Stock risk
D. Portfolio risk
243. An analysis of decision making of investors and managers is classified as_________?
A. Riskier finance
B. Behavioral finance
C. Premium finance
D. Buying finance
244. An inflation free rate of return and inflation premium is two components of_________?
A. Quoted rate
B. Unquoted rate
C. Steeper rate
D. Portfolio rate
245. Two alternative expected returns are compared with help of__________?
A. Coefficient of variation
B. Coefficient of deviation
C. Coefficient of standard
D. Coefficient of return
246. Sum of market risk and diversifiable risk are classified as total risk which is equivalent to_______________?
A. Sharpe’s alpha
B. Standard alpha’s
C. Alpha’s variance
D. Variance
247. Standard deviation of tighter probability distribution is____________?
A. Long-termed
B. Short-termed
C. Riskier
D. Smaller
248. Type of risk in which beta is equal to one is classified as____________?
A. Multiple risk stock
B. Varied risk stock
C. Total risk stock
D. Average risk stock
249. External factors such as expiration of basic patents and industry competition effect____________?
A. Patents premium
B. Competition premium
C. Company’s beta
D. Expiry premium
250. Beta coefficient is used to measure market risk which is an index of__________?
A. Coefficient risk volatility
B. Market risk volatility
C. Stock market volatility
D. Portfolio market portfolio
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