Mgt201 final term -
Q- correlation coefficient - numerical - 3 marks
Q- payout ratio numerical
Q-dividend growth model vs capital asset pricing model CAPM
Q- CML vs SML
Q- 5 option was given we had to tell which one is systematic risk and which are unsystematic risk
Q- ROE numerical
Q-standerd deviation numerical
Q- Calculate stock
Q- expected return and risk
Not a single question came from WACC , only 2 mcps was there from WACC.
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