Financial Management MCQs
Author | : Arshad Iqbal |
Publisher | : Independently Published |
Total Pages | : 226 |
Release | : 2017-04-21 |
ISBN-10 | : 1521119759 |
ISBN-13 | : 9781521119754 |
Rating | : 4/5 (59 Downloads) |
Download or read book Financial Management MCQs written by Arshad Iqbal and published by Independently Published. This book was released on 2017-04-21 with total page 226 pages. Available in PDF, EPUB and Kindle. Book excerpt: Financial Management Multiple Choice Questions and Answers (MCQs): Financial management revision guide with practice tests for online exam prep and job interview prep. Financial management study guide with questions and answers about analysis of financial statements, basics of capital budgeting evaluating cash flows, bonds and bond valuation, cash flow estimation and risk analysis, cost of capital, financial options and applications in corporate finance, overview of financial management and environment, portfolio theory and asset pricing models, risk, return, and capital asset pricing model, stocks valuation and stock market equilibrium, time value of money. Practice financial management MCQs to prepare yourself for career placement tests and job interview prep with answers key. Practice exam questions and answers about financial management, composed from financial management textbooks on chapters: Analysis of Financial Statements Practice Test - 25 MCQs Basics of Capital Budgeting Evaluating Cash Flows Practice Test - 56 MCQs Bonds and Bond Valuation Practice Test - 83 MCQs Cash Flow Estimation and Risk Analysis Practice Test - 32 MCQs Cost of Capital Practice Test - 53 MCQs Financial Options and Applications in corporate Finance Practice Test - 68 MCQs Overview of Financial Management and Environment Practice Test - 99 MCQs Portfolio Theory and Asset Pricing Models Practice Test - 65 MCQs Risk, Return, and Capital Asset Pricing Model Practice Test - 76 MCQs Stocks Valuation and Stock Market Equilibrium Practice Test - 85 MCQs Time Value of Money Practice Test - 90 MCQs Financial manager job interview preparation questions and answers on topics applications of cash flow evaluation, arbitrage pricing theory, assumptions of capital asset pricing model, balance sheet accounts, balance sheet format, balance sheet in finance, beta coefficient in finance, binomial approach, black Scholes option pricing model, bond valuation calculations, bond valuations, bond yield and bond risk premium, calculating beta coefficient, capital and security market line, capital risk adjustment. Financial management quick study on cash flow analysis, cash inflows and outflows, changes in bond values over time, choosing optimal portfolio, common stock valuation, comparative ratios and bench-marking, constant growth stocks, corporate action life cycle, corporate life cycle in finance, cost analysis, cost of capital for risk adjustment, coupon bonds, dividend stock, efficient market hypothesis, efficient portfolios, estimating cash flows, expected rate of return on constant growth stock, FAMA French model, FAMA French three factor model, financial bonds, financial institutions and corporations, financial management: balance sheets, financial management: corporate life cycle. Financial management practice exams questions on financial markets and institutions, financial options, financial planning, financial securities, financial statements, cash flow and taxes, fixed and variable annuities, free cash flow, future value calculations, income statement and reports, income statements, inflation adjustment, internal rate of return, international financial institutions, investment returns calculations, key characteristics of bonds, legal rights and privileges of common stockholders, market analysis, market value ratios, market values, maturity risk premium, multiple internal rate of returns, net cash flow, net present value, NPV and IRR formula, objective of corporation value maximization, perpetuities formula and calculations, portfolio analysis, portfolio risk management, preferred stock: finance, present value of annuity. Financial management certification prep on profitability index, profitability ratios and project analysis.