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Monday, February 21, 2011

Fin630 VU Final Term Current Paper (Feb 2011)

Fin630 VU Final Term Current Paper (Feb 2011)

Total Qs 64
56 MCQs
4 Qs of 3 marks
4 Qs of 5 marks
57- What is default risk? (3)
58- What is the rationale for derivative assets? (3)
59- Standard deviation of stock A & B were given, covariance was given and required to find Correlation coefficient. (3)
60- Write down the investment alternatives. (3)
61- Why the Yield to maturity is important? (5)
62- Describe the liquidity ratios used in ratio analysis. (5)
63- Correlation coefficient, variance of stock's return and variance of market return were given and it was to find Covariance. (5)
64- Who are the participants in future/forward market? (5)

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