- (A) Current Ratio
- (B) Acid-test Ratio
- (C) Cash Ratio
- (D) Solvency Ratio
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- (A) Liquidity Ratios
- (B) Long-term Solvency Ratios
- (C) Profitability Ratios
- (D) Market Value Ratios
- (A) Primary market
- (B) Secondary market
- (C) Tertiary market
- (D) None of the given options
- (A) Operating Leverage
- (B) Financial Leverage
- (C) Manufacturing Leverage
- (D) None of the given options
- (A) 5 days
- (B) 36 days
- (C) 48 days
- (D) 73 days
- (A) Product cost
- (B) Period cost
- (C) Both product cost and period cost
- (D) Neither product cost nor period cost
- (A) Marketing Research
- (B) Product Pricing
- (C) Design of marketing and distribution channels
- (D) All of the given options
- (A) Operating Cash Flows
- (B) Investing Cash Flows
- (C) Financing Cash Flows
- (D) All of the given options
- (A) IRR (Internal Rate of Return)
- (B) MIRR (Modified Internal Rate of Return)
- (C) WACC (Weighted Average Cost of Capital)
- (D) AAR (Average Accounting Return)
- (A) an ordinary annuity
- (B) annuity due
- (C) multiple cash flows
- (D) perpetuity

