582. The focal point of financial management in a firm is _________.

the number and types of products or services provided by the firm
the minimization of the amount of taxes paid by the firm
the creation of value for shareholders
the dollars profits earned by the firm

Detailed

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SolutionThe focal point of financial management in a firm is _________.

583. If a market is inefficient, as new information is received about a security____________.

nothing will happen
the stock price will fall at first and then later rise
there will be a lag in the adjustment of the stock price
there will be negative demand for the stock

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as new information is received about a security____________." class="read-more button" href="https://exam.pscnotes.com/mcq/if-a-market-is-inefficient-as-new-information-is-received-about-a-security____________/#more-51392">Detailed SolutionIf a market is inefficient, as new information is received about a security____________.

584. Beginning price is Rs 25 and capital gains yield is 5% then capital gain would be

Rs 50.00
Rs 1.25
50 times
Rs 23.75

Detailed SolutionBeginning price is Rs 25 and

capital gains yield is 5% then capital gain would be

585. Bonus share are not permitted unless the ____________ shares, if any, are made fully-paid.

partly paid
semi paid
fully paid
unpaid

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576 512"> Subscribe on YouTube made fully-paid." class="read-more button" href="https://exam.pscnotes.com/mcq/bonus-share-are-not-permitted-unless-the-____________-shares-if-any-are-made-fully-paid/#more-51299">Detailed SolutionBonus share are not permitted unless the ____________ shares, if any, are made fully-paid.

586. Combined Leverage is obtained from OL and FL by their:

Addition
Subtraction
Multiplication
Any of these

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button" href="https://exam.pscnotes.com/mcq/combined-leverage-is-obtained-from-ol-and-fl-by-their/#more-51290">Detailed SolutionCombined Leverage is obtained from OL and FL by their:

587. Expected returns weighted average on assets in portfolio is considered as

weighted portfolio
expected return on portfolio
coefficient of portfolio
expected assets

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button" href="https://exam.pscnotes.com/mcq/expected-returns-weighted-average-on-assets-in-portfolio-is-considered-as/#more-51280">Detailed SolutionExpected returns weighted average on assets in portfolio is considered as

588. Portfolio which consists of perfectly positive correlated assets having no effect of

negativity
positivity
correlation
diversification

Detailed SolutionPortfolio

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which consists of perfectly positive correlated assets having no effect of

589. In capital asset pricing model, covariance between stock and market is divided by variance of market returns is used to calculate

sales turnover of company
risk rate of company
beta coefficient of company
weighted mean of company

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and market is divided by variance of market returns is used to calculate" class="read-more button" href="https://exam.pscnotes.com/mcq/in-capital-asset-pricing-model-covariance-between-stock-and-market-is-divided-by-variance-of-market-returns-is-used-to-calculate/#more-51271">Detailed SolutionIn capital asset pricing model, covariance between stock and market is divided by variance of market returns is used to calculate

590. New York Stock Exchange and Nada stock market are classified as types of

primary stock market
equity market
secondary stock market
public offering market

Detailed SolutionNew York Stock

Exchange and Nada stock market are classified as types of


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