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FINA 3315 Exam 1 2025 Questions and Answers 100% Pass

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FINA 3315 Exam 1 2025 Questions and Answers 100% Pass Portfolio risk is: - not equal to the weighted average of the risks of the individual securities in the portfolio. Which of the following is unlikely to be found in an internet stock quotation? - broker's commission per 100 shares Which of the following investments may be impacted by government actions? - corporate bonds government bonds stocks There is strong evidence that investors who trade frequently outperform the market. - False If net income rises, but the number of shares outstanding remains the same, EPS will rise. - True The expected rate of return and standard deviations, respectively for four stocks are given below: ABC 9%, 3% CDE 11%, 9% 2COPYRIGHT © 2025 BY GRACE AMELIA, ALL RIGHTS RESERVED FGH 12%, 8% IJK 14%, 10% Which stock is clearly least desirable? - CDE Holding constant all other variables and excluding any interactions among the determinants of value, which of the following would most likely increase a firm's price- to-earnings multiple? - The retention rate increases. The transaction costs of investing directly in foreign−currency−denominated assets can be reduced by purchasing American Depositary Shares (ADSs). - True Which of the following statements concerning beta are correct? I. Stock with high standard deviations of returns will always high betas. II. The higher the beta, the higher the expected return. III. A beta can be positive, negative, or equal to zero. IV. A beta of .35 indicates a lower rate of risk than a beta of −0.50. - II, III, and IV Only An exchange traded fund that invests in the stocks of large corporations is an example of - indirect investment. Which one of the following types of risk cannot be effectively eliminated through portfolio diversification? - inflation risk A negative beta means that on average a stock moves in the opposite direction of the market. - True The index used to represent market returns is a

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FINA 3315 Exam 1 2025 Questions
and Answers 100% Pass


Portfolio risk is: - ✔✔not equal to the weighted average of the risks of the individual
securities in the portfolio.

Which of the following is unlikely to be found in an internet stock quotation? - ✔✔
broker's commission per 100 shares

Which of the following investments may be impacted by government actions? -
✔✔corporate bonds

government bonds

stocks

There is strong evidence that investors who trade frequently outperform the market. -
✔✔False

If net income rises, but the number of shares outstanding remains the same, EPS will
rise. - ✔✔True

The expected rate of return and standard deviations, respectively for four stocks are
given below:

ABC 9%, 3%

CDE 11%, 9%


COPYRIGHT © 2025 BY GRACE AMELIA, ALL RIGHTS RESERVED 1

,FGH 12%, 8%

IJK 14%, 10%

Which stock is clearly least desirable? - ✔✔CDE

Holding constant all other variables and excluding any interactions among the
determinants of value, which of the following would most likely increase a firm's price-
to-earnings multiple? - ✔✔The retention rate increases.

The transaction costs of investing directly in

foreign−currency−denominated

assets can be reduced by purchasing American Depositary Shares (ADSs). - ✔✔True

Which of the following statements concerning beta are correct?

I. Stock with high standard deviations of returns will always high betas.

II. The higher the beta, the higher the expected return.

III. A beta can be positive, negative, or equal to zero.

IV. A beta of .35 indicates a lower rate of risk than a beta of −0.50. - ✔✔II, III, and IV
Only

An exchange traded fund that invests in the stocks of large corporations is an example
of - ✔✔indirect investment.

Which one of the following types of risk cannot be effectively eliminated through
portfolio diversification? - ✔✔inflation risk

A negative beta means that on average a stock moves in the opposite direction of the
market. - ✔✔True

The index used to represent market returns is always assigned a beta of 1.0. - ✔✔True



COPYRIGHT © 2025 BY GRACE AMELIA, ALL RIGHTS RESERVED 2

, Although bear markets on average occur every 3 to 4 years, the timing of bear markets
is very hard to predict. - ✔✔True

Both modern portfolio theory and traditional portfolio management result in diversified
portfolios, but they take different approaches to diversification. - ✔✔True

Advantages of using American Depositary Receipts to participate in foreign markets
include




I. lower transaction costs than for direct foreign stock purchases.




II. reduced exposure to foreign exchange risk.




III. dividends are paid in U.S. dollars.




IV. quotations are readily available from U.S. sources such as Yahoo Finance or MSN
Money. - ✔✔I, II and III only

When using the

constant−growth

dividend valuation model, which of the following will lower the value of the stock? -
✔✔an increase in the required rate of return

The value of a stock is a function of - ✔✔future returns

incorrect,8.5-20

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