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★ नेपाल र विश्व सामान्य ज्ञान Quiz (Set – 1) ★ राष्ट्रिय अनुसन्धान विभागमा अनुसन्धान अधिकृत र अनुसन्धान सहायक पदका लागि दरखास्त आव्हान (२०८२) ★ १६औं आवधिक योजना नेपाल (2081/82–2085/86) | PDF Download ★ 17 Branches Of Astronomy ( खगोल विज्ञानको १७ शाखाहरु ) ★ नेपालको संविधान विशेष – Quiz Set -1 (नेपालको संवैधानिक विकासक्रम) ★ Japanese Test – Set 1 ★ नेपालको इतिहास – Set 1 ★ Costing – Set 6 ★ नेपाल र विश्व सामान्य ज्ञान Quiz (Set – 1) ★ राष्ट्रिय अनुसन्धान विभागमा अनुसन्धान अधिकृत र अनुसन्धान सहायक पदका लागि दरखास्त आव्हान (२०८२) ★ १६औं आवधिक योजना नेपाल (2081/82–2085/86) | PDF Download ★ 17 Branches Of Astronomy ( खगोल विज्ञानको १७ शाखाहरु ) ★ नेपालको संविधान विशेष – Quiz Set -1 (नेपालको संवैधानिक विकासक्रम) ★ Japanese Test – Set 1 ★ नेपालको इतिहास – Set 1 ★ Costing – Set 6
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International Finance and Treasury – Set 1

International Finance and Treasury

International Finance and Treasury – Set 1

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International Finance and Treasury – Set 1

Dear ! This is International Finance and Treasury – Set 1 Quiz and it contains 50 questions.


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1 / 50

1) A closed-end fund is a mutual fund in which shares issue just when fund is

2 / 50

2) Expected worth is the

3 / 50

3) Most unsafe mode by which firms perform worldwide business is

4 / 50

4) Investments would grade uppermost with regard to protection is

5 / 50

5) Comparative edge is specializing actions in which they are

6 / 50

6) Worldwide trade is

7 / 50

7) Who concern with relations between security returns

8 / 50

8) In order to settle on compound growth rate of an investment over period, an investor determine the

9 / 50

9) Dollar-cost averaging allows investors to stay away from trouble of buying high and selling

10 / 50

10) Capital Market Line is firstly initiated by

11 / 50

11) Standard deviation determine

12 / 50

12) Mainly general type of Direct Foreign Investment (DFI) is

13 / 50

13) Below Product Cycle Theory, overseas demand can be primarily contented by

14 / 50

14) Aim of MNC is to boost accounting profitability by shifting funds around the

15 / 50

15) A corporate bond is a corporation’s write undertaking that it will refund a specific amount of money plus

16 / 50

16) Political constancy is chief aspect concerning

17 / 50

17) An Acquisition is

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18) One of generally prevalent aspects conflicting with recognition of ambition of an MNC is existence of

19 / 50

19) Bondholders usually accept interest payments each

20 / 50

20) In Capital Market Line every investment is

21 / 50

21) Financial hazard is most related with

22 / 50

22) Greater exposure bigger the

23 / 50

23) Superior portfolio is not basically a collection of individually

24 / 50

24) Choice of correlation coefficient is between

25 / 50

25) Agency cost can be decreased by

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26) Markowitz model presumed generally investors are

27 / 50

27) Investors should be agreeing to invest in riskier investments merely

28 / 50

28) Markowitz efficient hypothesis initiated in

29 / 50

29) Which of following is not a cause for global investment?

30 / 50

30) Liquidity risk is:

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31) Choice of financial managing can be split down into choices of

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32) Asset allocation is procedure of scattering your assets between numerous different kinds of investments to

33 / 50

33) Trustee is a self-governing organization that operates as bondholders

34 / 50

34) Total portfolio hazard is

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35) Hold two securities as an alternative of will not decrease hazard occupied by an investor if two securities are

36 / 50

36) Slightest hazardous method by which organizations carry out international trade is

37 / 50

37) Ambiguity introduced by way by which organization finances its investments is

38 / 50

38) Features of international business that a organization may be exposed to

39 / 50

39) Joint venture is

40 / 50

40) Agency problem is between

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41) If generally interest rates in nation increase, a corporate bond with a fixed interest rate will usually

42 / 50

42) Example of a market deficiency is

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43) Impact of 9/11 is

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44) We multiply foreign revenue with rate with respect to that country is

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45) A price weighted index is an arithmetic mean of

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46) Non-systematic risk is furthermore identified as

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47) Most favourable portfolio is proficient portfolio with the

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48) Which of following is not a type of direct foreign investment?

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49) Which type of market efficiency declares that current security prices totally reflect all information, equally public and private

50 / 50

50) A main difference among real and nominal interest proceeds is that

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