Financial Management Questions

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MACROECONOMICS BS-VI TOTAL PAPERS

REPET.
IMPORTANT AREAS (TIMES)
expected rate of return,coefficient of variation Jan-18 Jul-17 Jun-15 Jun-14 Jul-13 4
Required rate of return Jan-14
IRR ,MIRR AND Profitability Index Jan-17 Jul-16 Jun-15 Jun-14 Jan-14 Jul-13 Jun-13 Jan-13 8
NPV,PBP,DPBP Jun-14 Jan-14 Jul-13 Jun-13 Jan-13
correct accept/reject decision Jan-14 Jun-13
beta coefficient, beta of the portfolio Jul-17 Jul-16 Jun-15 Jun-14 4
TVM Jun-13 Jan-13 2
bond valuation Jul-17 Jan-17 Jul-16 Jan-14 Jul-13 Jun-13 6
YTM Jan-14 1
current yield,capital gain or loss yield,yield to call Jan-14 Jun-13

additional capital AFN formula Jul-13


stock price Jan-18 Jul-17 Jan-17 Jul-16 Jan-14 Jul-13 Jun-13 Jan-13 7
cost of debt,debt ratio Jan-14 Jul-13 Jan-13
dividend payout ratio, expected Payout ratio Jan-17 Jul-16 Jun-14
value of the firm Jan-18 0
cost of existing equity share capital Jan-18
combined leverage Jan-18
weighted average cost of capital Jul-17 Jan-17 Jun-15 Jan-14 Jul-13 Jun-13 6
Markowitz portfolio theory Jan-18
EBIT Jun-14 1
cash conversion cycle Jul-17 Jan-17 Jun-15 Jun-14 Jul-13 5
0
12
% OF
REPET.
33.3

66.7

33.3
16.7
50.0
8.3

58.3

0.0

50.0

8.3
41.7
0.0

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