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MGT201 ALL Current Final Term Papers Spring 2016 And Past Final Term Papers at One Place from 20 August 2016 to 2 September 2016
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Please someone check MGT201 in lms notification. Which subjects are included for final term paper. My lms account is blocked. i can't access to it. So please check and reply. Thanks
Syllabus for Final-Term Exams | Dated: Jul 29, 16 |
Dear Students,
The upcoming final-term paper of the course MGT201 (Financial Management) will cover the following:
Lessons included from pre-mid syllabus: Lesson no. 6, 7, 16, 17 & 18
Lessons included from post-mid syllabus: Lesson no. 19 to 40 |
dodo please gives the idea about answer of these questions .........and plese tell where they are in handouts if possible i have no preparation
My yesterday's Paper: (Total marks 83)
46 MCQs, mostly logical and random, less from past papers
9 subjective (4 of 3 marks) and (5 of 5 marks)
Question of 5 marks:
1. Why firm offer repurchasing of stock, and what are the advantages?
2. Equity 65%, Debt 35%, after tax cost of debt 9%, expected dividend 3 per share, constant growth rate 6%, market price of share Rs. 30, Calculate cost of equity and WACC?
3. Equity 70,000, Debt 30,000, Cost of equity 13%, before tax cost of debt 10%, Tax 35%, calculated WACC?
4. ROR 15%, dividend Rs. 4, stock value for constant growth rate a) 5%, b) 10%, c) 12%, calculate stock value?
5. Portfolio risk page # 93 example, values was different only?
Question of 3 marks:
1. Calculate Time Interest Earned, values was given.
2. Calculate Fixed cost & Breakeven units? Page # 132
3. Expected Return of portfolio, page# 92, values was changed.
4. Calculate required ROR for common stock, page # 81, values were given.
Best of Luck....! please prepare and do practice don't depend on past papers... kind and humble advise..
please gives the formula and answer of your numericals . it will help us please
Aftab Khan thanks for sharing
MGT201_Spring2016_FinalTerm_20-Aug-16
Total questions = 55
MCQs 1- 46 (1 mark each) i don't know whether they were from past papers or not as i didn't do any past paper..mostly conceptual and theoretical few were calculations of cost of debt or WACC or annuity etc.
Question 47 - 50 ( 3 marks)
- Briefly explain coefficient of variance.
- Calculation of CCF(constant cash flow) using annuity formula
- Why dividend payments are not considered tax deductible
- Calculation of WACC for 100% leveraged firm
- Calculation of Beta portfolio for 3 equal investments, Alpha, beta and Lemda (beta coefficients were given for all 3 investments)
Question 51 - 55 ( 5 marks)
- Calculation of WACC in 2 cases (i) debt (ii) without debt
- Calculation of annuity in 2 cases (i) ordinary annuity (ii) annuity due
- 4 weaknesses of Capital structure mathematical model
- NI approach to calculate WACC
- Calculation of portfolio return using formula for 2 stocks (pg # 116)
سینوریٹا thanks sharing best of luck for ur result
thanks n my pleasure
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