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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

2 Comments

Don't Forget To Join My FB Group VU Vicky
THANK YOU :)

  1. Vu main her shift k liye new paper tou nahi hota na.

    ReplyDelete
  2. har bachy ka aur har shif ma paper differ hota hai ... kisi ka koi na koi question same hta hai bas

    ReplyDelete

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Don't Forget To Join My FB Group VU Vicky
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