- (A) Efficient money hypothesis
- (B) Efficient market hypothesis
- (C) Inefficient market hypothesis
- (D) Inefficient money hypothesis
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- (A) Regression line
- (B) Probability line
- (C) Scattered points
- (D) Weighted line
- (A) Standard betas
- (B) Varied betas
- (C) Historical betas
- (D) Adjusted betas
- (A) Tax free pricing model
- (B) Cost free pricing model
- (C) Capital asset pricing model
- (D) Stock pricing model
- (A) Low market to book ratio
- (B) High book to market ratio
- (C) High market to book ratio
- (D) Low book to market ratio
- (A) Identical
- (B) Not identical
- (C) Fixed
- (D) Variable
- (A) Given and fixed
- (B) Not given and fixed
- (C) Not given and variable
- (D) Given and variable
- (A) Coefficient risk volatility
- (B) Market risk volatility
- (C) Stock market volatility
- (D) Portfolio market portfolio
- (A) Patents premium
- (B) Competition premium
- (C) Company’s beta
- (D) Expiry premium
- (A) Multiple risk stock
- (B) Varied risk stock
- (C) Total risk stock
- (D) Average risk stock

