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# FIN622 Mid Term Papers Fall 2010 ( 01~12 December 2010 ) All in One Discussion

FIN622 Mid
Term Papers Fall 2010 ( 01~
12 December 2010 ) All in One Discussion

Please Share Your current papers & Pattern to help each other in this Discussion.

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### Replies to This Discussion

total quiez=32
mcq =28
2 question =3 numbers
2 question = 5 number

Q suppose we have two stocks i.e. stock A and stock B.stock A has beta of 1.5 and stock B has a beta of 0.75.The expected rate of return on average stock is 13% and the risk free rate of return is 7%.By how much does the required rate on the riskier stock exceeds the required return on the less risky stock. (5)

Q Why weighted average cost of capital of a levered firm is lesser than that of an Un-levered firm? Explain briefly? (3)
FIN622 Mid Term Fall 2010 paper 03-12-2010
see the attached file pls
Attachments:
fin622 dec2010 paper
total quiez=32
mcq =28
2 question =3 numbers
2 question = 5 number

Q suppose we have two stocks i.e. stock A and stock B.stock A has beta of 1.5 and stock B has a beta of 0.75.The expected rate of return on average stock is 13% and the risk free rate of return is 7%.By how much does the required rate on the riskier stock exceeds the required return on the less risky stock. (5)

Q Why weighted average cost of capital of a levered firm is lesser than that of an Un-levered firm? Explain briefly? (3)
FIN622 Dated: December 3, 2010
My FIN622 paper.

Dated: December 3, 2010

Total Question: 32
MCQs: 28 each of 1 mark
Descriptive: 4

Question # 28 (3 marks)
soft capital rationing and hard capital rationing

Question # 29 (3 marks)
wacc is lesser of levered firm than un-levered firm? why?

Question # 30 (5 marks)

have to find Variance of the require rate return

Question # 314 (5 marks)
pure play
see the attached file
FIN622 Mid Term Papers Fall 2010
Attachments:
FIN622 -- Fall 2010 Papers (Latest)
Paper # 01

MCQs = 28

Subjective Questions = 4

65% MCQs and Subjective from old papers.

1) Systemic and unsystematic risk(3 M)

2) Capital ratio for investment (5)

3) Levered and un levered for firm (3)

4) Dividend policy and types.(5)
Default
Paper # 02

MCQs = 28

Subjective Questions = 4

1) Difference b/w simple payback period and discount period?

2) Difference b/w economic breakeven point and accounting breakeven point.

3) Equity and capital of firm?
Dec 7 2010
Why market value of cost of debt and equity used in WACC instead of book value? Determinates market value of cost of debt and equity? (5)

What is the influence of inflation on the rate of return in CAPM?

Face Value = 1020, time period = 15 years, after 1 year bond value increases to 1050. Coupon payment = Rs.80
Calculate rate of return of bond?

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