Asset Management - Gradopedia

Descripción

This is a quiz testing your knowledge on Asset Management
Hitesh Awtaney
Test por Hitesh Awtaney, actualizado hace más de 1 año
Hitesh Awtaney
Creado por Hitesh Awtaney hace más de 9 años
110
0

Resumen del Recurso

Pregunta 1

Pregunta
Asset Managers which largely invest in non-listed companies:
Respuesta
  • Private Equity
  • Portfolio Managers
  • Mutual Funds

Pregunta 2

Pregunta
The size and capabilities of an asset management department can be measured using:
Respuesta
  • No of employees
  • Assets under Management
  • Years in business

Pregunta 3

Pregunta
Biggest difference between Asset Managers and Financial Advisors:
Respuesta
  • Managers look at entire market, Advisors do specific studies
  • Managers invest on client’s behalf, Advisors only give suggestions
  • Managers are more long term oriented than Advisors

Pregunta 4

Pregunta
Why would you invest in Debentures?
Respuesta
  • High returns
  • Fixed returns
  • Both High and Fixed returns

Pregunta 5

Pregunta
If a Rs. 100 stock is growing 10% every year, how much would it be after 2 years?
Respuesta
  • 110
  • 120
  • 121

Pregunta 6

Pregunta
Benefits of investing in a Mutual Fund:
Respuesta
  • Reduced Risk
  • Longer time period as compared to other products
  • Both of the above

Pregunta 7

Pregunta
Highest risk and return is possible from:
Respuesta
  • Investing in a Mutual Fund
  • Having a Private Portfolio
  • Same for both

Pregunta 8

Pregunta
Beta of a stock indicates risk of a stock:
Respuesta
  • In relation to stocks in the same sector
  • As compared to market risks
  • In relation to economic situations

Pregunta 9

Pregunta
Wealth Management can be done by:
Respuesta
  • High Net-Worth Individuals only
  • High and medium Net-Worth both
  • Any individual interested in investments

Pregunta 10

Pregunta
An asset manager should revise the portfolio:
Respuesta
  • Monthly
  • Quarterly
  • As and when it is required

Pregunta 11

Pregunta
Unsystematic risk can be best reduced by:
Respuesta
  • Investing in limited number of sectors
  • Increasing the number of securities
  • It is based on market conditions and cannot be controlled

Pregunta 12

Pregunta
The best measure of Risk-free security is:
Respuesta
  • Private Bank Fixed Deposit
  • Government Bonds
  • Reliance Industries Limited’s Bonds

Pregunta 13

Pregunta
Investment in a US-based stock is most exposed to:
Respuesta
  • Liquidity Risk
  • Exchange-rate Risk
  • Political Risk

Pregunta 14

Pregunta
An asset manager constantly screening interest rate changes most likely comes from:
Respuesta
  • Private Equity
  • Mutual Fund
  • Commodities

Pregunta 15

Pregunta
An asset manager interacting with Entrepreneurs ideally works through:
Respuesta
  • Mutual Funds
  • Private Equity
  • Debentures

Pregunta 16

Pregunta
An portfolio manager decides the best asset mix based on:
Respuesta
  • Market trends and possible returns
  • Investor's risk taking abilities
  • Upcoming and promising investment avenues

Pregunta 17

Pregunta
The best example of inflation-adjusted returns in investing in:
Respuesta
  • Stocks
  • Bonds
  • Real Estate

Pregunta 18

Pregunta
Systematic risk can be reduced by:
Respuesta
  • Adding more securities
  • Investing in alternative products
  • In cannot be reduced

Pregunta 19

Pregunta
Reinvestment risk is linked to risk from reinvesting:
Respuesta
  • The interest received throughout the life of the security
  • The principal amount received at the end of the period
  • Both of the above

Pregunta 20

Pregunta
A fund paying out higher dividend is most likely included in:
Respuesta
  • Growth Scheme
  • Income Scheme
  • Balanced Scheme
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