Thursday , 21 November 2024

FIN622

FIN622 Latest Mid Term Paper Solved By Arslan Ali and Hammad

MIDTERM  EXAMINATION Fall 2009 FIN622- Corporate Finance (Session – 4) Question No: 1    ( Marks: 1 )    – Please choose one  Following are amongst the three main areas of Finance EXCEPT:   ► Financial institutions ► Investments        ► Accounting ► Financial management   Question No: 2    ( Marks: 1 )    – Please choose one  Which one of the following …

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FIN622 Solved Mid Term Papers Spring 2009

Question No: 1      ( Marks: 1 ) – Please choose one In  which  one  of  the  following  markets  the  bonds  of  a  Corporation  shall  be  traded  now who were issued 10 years back? Primary market Secondary market Money Market All of the above Question No: 2      ( Marks: 1 ) – Please choose one Palo  Alto  Industries  has a  debt-to-equity …

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FIN622 Solved Mid term Paper attempt by Hammad Mehdi Spring 2010

Question No: 1    (Marks: 1)    – Please choose one Which of the following is a transaction of a primary financial market?   ► Initial Public Offering ► Buying Mutual Funds Certificates ► Selling old shares ► Buying Bonds issued in previous years The methods by which the primary market transactions carried out are – Purchasing Initial Public Offer 2.Purchasing Preferential Issue 3.Purchasing Rights Issue  http://finance.mapsofworld.com/capital-market/primary/transactions.html Question No: …

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FIN622 today Solved Mid Term Paper MCQs

Question No: 1 Which of the following statements is TRUE regarding Profitability Index? ► It ignores time value of money ► It ignores future cash flows ► It ignores the scale of investment – ► It ignores return on investment Question No: 2 A company can improve (lower) its debt-to-total assets ratio by doing which of the following? ► By …

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FIN622 Solved Subjective Mega Collection by Arslan Ali

Questions of Marks 3:- How can u measure market risk (beta)? 3 marks Market risk is measured by beta, which is another measure of investment risk that is based on the volatility of returns. In contrast to standard deviation, beta measures volatility relative to a relevant baseline rather than to the mean of the asset that is being evaluated. Beta …

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Fin622 Today Paper (14 December 20012)

22 MCQs   Mostly MCQs was from Past Papers    Questions of 3 Marks   If Dividend Rs. 8, Rate 16% then find the Stock Value? How market risk effect securities?   How high interest rate leads capital rationing?   Questions of 5 Marks How Dividend Policy effect shareholders and company?   Sales 270,000, Variable cost 75% of sales, Fixed cost 45,000, …

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FIN622 today mid term paper (09 December 2012)

Total Question     26 MCQs                      22 Question 3 Marks      3 Question 5 Marks       5 Mostly MCQs were from past Papers Question of Mark 3:- Question: Projects Beta Standard deviation Security X 0.8 0.4 Security Y 2 0.3 Which security is defensive and why? Whish …

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FIN622 GDB Solution fall 2012 will upload soon

Vuassignments.com  will upload the GDB Solution of FINN622 as soon as possible. Share your Ideas about the given GDB of FIN622. FIN622 GDB Solution from Vuassignments will upload soon. Scenario Vuassignments.com  will upload the GDB Solution of FINN622 as soon as possible. Share your Ideas about the given GDB of FIN622. FIN622 GDB Solution from Vuassignments will upload soon. Big …

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FIN622 GDB Fall 2012 (24 October 2012) Solution

Discussion Question Regional Textile Limited (RTL) purchases raw material from various vendors with an average payment period of 45 days. Most of the sales are on credit and average collection period is 50 days.  There is a gap between the cash collection and payment as the management is unable to recover debts within 45 days. Required What measures can be taken …

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