______________ the average rate of return that will be earned on a bond if it is bought at the market price and held until it matures.
Doğru Cevap!
Yanlış Cevap!
Doğru Cevap: B) Yield-to-maturity
Which one below is about the Degree of Operating Leverage of the factors that make Beta a firm?
Doğru Cevap: D) High operating leverage means that fixed costs have a high proportion within total costs.
__________plots the relationship between bond yields and maturity.
Doğru Cevap: A) Yield curve
Which of the following can be said for conservative policy of working capital management?
Doğru Cevap: B) It fails to ensure optimum utilization of funds.
What is the first step of a financial control infrastructure within a company?
Doğru Cevap: B) Analysis of the initial situation
What is the difference between nominal and real interest rates?
Doğru Cevap: D) Real interest rate includes the expected inflation
If a company issues a 10-year bond with the coupon interest rate of 10% and par value of 200 Turkish Liras by selling 20.000 bonds. Until the maturity, how much a bondholder will recieve in total?
Doğru Cevap: E) 200Turkish Liras
Announcement of the latest growth rate of the economy Announcement of a new facility being built that will significantly increase the production capacity of the company Announcement of a new contract to sell large quantity of products to another country News of a large accident at the factor Which of the following is related to the above examples?
Doğru Cevap: A) Unexpected information
Suppose that you have an investment whose quarterly return rates are 5%, 7%, 9% and 3% in a given year. What is the variance of returns in the given year?
Doğru Cevap: A) 0.0005
How much should you pay for a $50 bond with 12% coupon, annual payments, and 5 years to maturity if the interest rate is 14%?
Doğru Cevap: D) $46,57
Which of the following is used to determine the required labor hours in order to produce the volume of products as stipulated?
Doğru Cevap: A) Direct Labor Budget
What is the maximum value for the correlation of securities to provide a benefit from diversification?
Doğru Cevap: C) 1
Which of the following is the difference between the sales revenue and the total variable costs?
Doğru Cevap: E) Contribution Margin
Which of the following dimensions is not a part of " working capital management" ?
Doğru Cevap: A) Productivity
An increase in which of the following causes a decrease in net working capital?
Doğru Cevap: E) Tax payments
Market, portfolio or systematic risk is the uncertainty inherent to the market that cannot be controllable. On the other hand, the diversifiable, unique or unsystematic risk is the uncertainty that is related to the _____ . Which of the following best completes the statement above?
Doğru Cevap: C) invested asset
On the worst case, a company may purchase all types of raw-materials for cash and sell all of its products on credit, the required amount of working capital will be very high.What is this factor affecting the level of working capital called?
Doğru Cevap: C) Terms of credit
Which of the following is the first step of the short-term financial planning?
Doğru Cevap: A) Sales Forecast
Which of the following is required to prepare the production budget?
Doğru Cevap: C) Sales budget
Cash flows available to the firm or to the shareholders after the company makes its capital expenditures are defined as ................
Doğru Cevap: D) Free Cash Flows