A. Coefficient of variation
B. Coefficient of deviation
C. Coefficient of standard
D. Coefficient of return
Financial Management Mcqs
Financial Management Mcqs
A. Low variation
B. Low beta
C. High beta
D. High variation
A. Stock risk
B. Portfolio risk
C. Diversifiable risk
D. Market risk
A. Market portfolio
B. Return portfolio
C. Correlated portfolio
D. Diversified portfolio
A. Coefficient risk volatility
B. Market risk volatility
C. Stock market volatility
D. Portfolio market portfolio
A. Patents premium
B. Competition premium
C. Company’s beta
D. Expiry premium
A. Multiple risk stock
B. Varied risk stock
C. Total risk stock
D. Average risk stock
A. Long-termed
B. Short-termed
C. Riskier
D. Smaller
A. Sharpe’s alpha
B. Standard alpha’s
C. Alpha’s variance
D. Variance
A. Coefficient of variation
B. Coefficient of deviation
C. Coefficient of standard
D. Coefficient of return