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Today my mgt201 exam:
24 MCQ’s
12 subjective questions:
Q1: compute the standard deviation of portfolio?
Q2: Define speedy collection
Q3: Calculate Beta portfolio

Q4: Write drawbacks of capital structure theory
Q5: Compute preferred equity
Q6: Compute CV’s of 4 stocks and suggest what is better for investment?
Q7: Compute weighted average mean of return and beta portfolio?

24 MCQ’s
12 subjective questions:
Q1: compute the standard deviation of portfolio?
Q2: Define speedy collection
Q3: Calculate Beta portfolio
Q4: Write drawbacks of capital structure theory
Q5: Compute preferred equity
Q6: Compute CV’s of 4 stocks and suggest what is better for investment?
Q7: Compute weighted average mean of return and beta portfolio?
bs itna he yad hia


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