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This set of Security Analysis and Portfolio Management Multiple Choice Questions & Answers (MCQs) focuses on Security Analysis And Portfolio Management Set 6

Q1 | Financial risk involves
  • risk of insolvency
  • risk of variation in expected earning
  • both a& b
  • none of the above
Q2 | If ROI is more than cost of debt
  • EPS increase
  • Financial risk increase
  • both a & b
  • none of the above
Q3 | Net income approach assume
  • no change in risk
  • no corporate tax
  • both a & b
  • none of the above
Q4 | …….analysis is a study based on market emotions and share price movement .
  • Fundamental
  • Moral
  • technical
  • all the above
Q5 | The daily high price is represented on a candlestick chart by the
  • real body
  • trend -line
  • channel
  • shadow
Q6 | A ……… indicates the general direction in which a security price is headed
  • trend
  • ratio
  • price
  • none of the above
Q7 | A ……average of a stock index is the average level of the index over a given interval of time
  • static
  • moving
  • gross
  • net
Q8 | Market price breaking through the moving average from below is a ……i ndicator
  • Bullish
  • Flat
  • bearish
  • none of the above
Q9 | Triple tops & triple bottom are indicators of ….
  • role reversal
  • trend reversal
  • both a & b
  • high volumes
Q10 | Increase in odd lot selling as compared to odd lot buying , is a …..indicator
  • bullish
  • bearish
  • both a & b
  • neutral