We are here with you hands in hands to facilitate your learning & don't appreciate the idea of copying or replicating solutions. Read More>>
For Important Helping Material related to this subject ( MCQs, Short Notes, past , E-Books, FAQ,Short Questions Answers & more). You must view all the featured Discussion in this subject group.
For how you can view all the Featured discussions click on the Back to Subject Name Discussions link below the title of this Discussion & then under featured Discussion corner click on the view all link.
Or visit this link
PDF Files downloading from ning..
.+ http://bit.ly/vucodes (Link for Assignments, GDBs & Online Quizzes Solution)
+ http://bit.ly/papersvu (Link for Past Papers, Solved MCQs, Short Notes & More)+ Click Here to Search (Looking For something at vustudents.ning.com?) + Click Here To Join (Our facebook study Group)
For short notes also check this link:
More past papers:
Jazaki'Allah Sobia sis.
Current mgt201 exam: (Share by someone).
12 subjective questions:
Q1: compute the standard deviation of portfolio?
Q2: Define speedy collection
Q3: Calculate Beta portfolio
Q4: Write drawbacks of capital structure theory
Q5: Compute preferred equity
Q6: Compute CV's of 4 stocks and suggest what is better for investment?
Q7: Compute weighted average mean of return and beta portfolio?
slam to all thanks 4 sharing and i want to ask you mcq's past ma sa ata hain ??aur kon sa chapter ziada important hain paper point of view sa thank you to all..
Mcqs few came from past papers. Maximum focus on handouts and current paper. Important lec are stock preferred portfolio, Expected return and risk. Capital structure,WACC, and beta stock.
Mine MGT 201 Paper:
MCQs from handouts and conceptual but easy. 1,2 from past papers.
2 questions from expected return and risk. Values in tables are given we have to find out Expected return and risk.
3. Values are given in table form find the least risk.
4. Write the note according to capital working on finance on following briefly:
5. What is risk? write the types of risk. 5 marks.
6. write a note on small current assets.
7. One question is about coefficient variation.
Remaining questions were numerically.
Mgt201 final term - 12 sept 2018
Q- correlation coefficient - numerical - 3 marks
Q- payout ratio numerical
Q-dividend growth model vs capital asset pricing model CAPM
Q- CML vs SML
Q- 5 option was given we had to tell which one is systematic risk and which are unsystematic risk
Q- ROE numerical
Q-standerd deviation numerical
Q- Calculate stock
Q- expected return and risk
Not a single question came from WACC , only 2 mcqs was there from WACC.