FIN630 Current Spring 2012 Final Term VU Paper [July 2012] Virtual University of Pakistan
56 mcqs mostly new
4 question 3 marks
Three kind of contract do you agree
Primary object of investment portfolio
Define zero coupon bonds
Two investment given to tell what better and risk free
4 question 5 marks
The correlation coefficient between the returns of the stock and the market is 0.85. The variance of stock’s returns is 0.75 and variance of market returns is 0.22. Calculate the covariance of market and stock’s returns.
Two statement given to holding period investment X and Y stocks. Find X stock holding period and find Y stock holding period and find both nature of stock.
Given value of du pont return on equity find
Earning before taxes
Total Current liabilities
Given statement for choice to call or put optional contract
X stock value greater and Y stock value is lesser
And find this is premium and find better stock.