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NOTE: This blog having all past papers from midterm & final term exams, and uploaded on the same day when the papers was held. For SOLVED PAPERS you may visit VUsolutions GURU website. We dedicated VUsolutions GURU website just for past SOLVED papers & SOLVED online quizzes.

VU Past solved papers

Monday, February 21, 2011

Fin630 VU Final Term Current Paper (Feb 2011)

Fin630 VU Final Term Current Paper (Feb 2011)

Total Qs 64
56 MCQs
4 Qs of 3 marks
4 Qs of 5 marks
57- What is default risk? (3)
58- What is the rationale for derivative assets? (3)
59- Standard deviation of stock A & B were given, covariance was given and required to find Correlation coefficient. (3)
60- Write down the investment alternatives. (3)
61- Why the Yield to maturity is important? (5)
62- Describe the liquidity ratios used in ratio analysis. (5)
63- Correlation coefficient, variance of stock's return and variance of market return were given and it was to find Covariance. (5)
64- Who are the participants in future/forward market? (5)
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