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# FIN630 Share your Final term Current Papers( From 17 FEB to 28 FEB ) FALL 2018

Asalamo o Alaikum Friends

Please FIN630 Share your Final term Current Papers Here ( From 17 FEB to 28 FEB ) FALL 2018

Thanks

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### Replies to This Discussion

Todays paper on 17 Feb 2018.......Fall Final term

24 mcqs & 6 short questns & 6 long questns were given.

1. five use of derivatives?
2. explain any two types of derivatives?
3. identify six behavioral effects of an investor?
4. numerical questn calculate the beta risk rate of return?
5. numarical questn to calculate the spot price?
6. numarical questn to calculate the corellation cofficent?
7. numarical questn to calculate the ROV rewarded- volatility?
there were two more numerical questions data was given one from CAPM other one from stock of return?
3 question now i have forget.

Thankuuuu Zahid Student

JazakAllah Khair For Sharing

MCQS easy thy kia ?

WELCOME chanda

student nay yeh Comment  kiya tha

mcqs totaly new thy, not were from past paperz just 3 to 4 were from it

thank you so much

Mine Koja paper Today :x

total questions 36

12 subjective :x

1. 3,4 mcq's were related to Hedge topic ,
2. one was abt call and put
3. Bond kon issue krta hy  , options were , public companies , privates companies , govt 4th one bhool gya :x
4. one was about out of money and the other was in the money

nechay options donu k same thy , k yeh kab hota jb price

equal

Less

not equal

greater

1. five use of derivatives?
2. Five features of Market security.
3. briefly describe put and call .
4. Jensen's Model  likhna tha :x
5. Correlation coefficient calculate krna tha,
6. situation were given and we have to tell that in which bond category will come.
7. Situations were given with par value 9% , par value 11% par 13% and yield to maturity was 11% . and we have to identify them whether that are par , premium , or discount values , aisi hi koi chawal thi :x word by word yaad nhi araha :P
8. One was about  RVAR
9. one table was given and we have to calculate selling price
10. one example was given of hamza and we have to identify that which set can uses by hazma belief's on S&P is related kuch tha sara kuch ni yaad :x
11. baki ab yaad ni araha sholi :( par bhi hi fazool paper tha suchi qasmy sary tukky mary ab Allah pass kry ameeeeeen Sum Ameeen

THANKS CHANDA.......baqi paper bi agr yad aa gya to woh b post kar dena .. mcqs  saray theory mein say thay  ya mathematicak and new thay sub ya past papers mein say thay ??

Koi nahin INSHALLAH ALLAH PAK  sub students ko pass karey

no idea about past mujh sy past papers ni dekhy jaty :(

nhi mujhy ni yaad k koi calculation wala mcqs tha ,

sure i will share agr baki 2 remaining Questions b yaad agaye

Ameeen Sum Ameeeen

FIN630 Today paper on 19 feb 2018

MCQs all conceptual not from past papes.
portfolio stock and comparison in 2 stocks (5 marks)
3 scenarios given thy and derivative ki type batani thi (5 marks)
Portfolio equity ki hedging reason (5 marks)
2 Scenarios given thy and investor risk type batana tha (5 marks)
stnadard deviation data given tha (3 marks)
investor behaviour enlist any 6 (3 marks)
convertible bond and callable bond (3 marks)
baqi yad nahi...
But all paper conceptual thA

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