Principles of Finance Practice Test
Principles of Finance के लिए अपना आत्मविश्वास बढ़ाएँ। अवधारणाओं का अभ्यास करें, उत्तरों को समझें और हर सवाल के साथ अपना ज्ञान मज़बूत करें।
एक नमूना सवाल आज़माएँपरीक्षा का परिचय और विवरण
The Principles of Finance certification is a globally recognized credential that validates a professional's comprehensive understanding of the foundational and advanced concepts governing financial decision-making. This certification demonstrates mastery across five critical domains: Fundamentals (time value of money, financial statements), Core Knowledge (capital budgeting, risk and return), Practical Application (financial modeling, valuation techniques), Advanced Topics (derivatives, international finance, behavioral finance), and Best Practices (corporate governance, ethical standards, regulatory frameworks). Earning this credential signifies to employers, clients, and peers that you possess the rigorous analytical skills and theoretical knowledge required to assess financial health, allocate capital efficiently, and drive value creation in any organizational context. It bridges academic theory with real-world application, preparing professionals to navigate complex financial landscapes, contribute to strategic planning, and make data-driven recommendations that impact an organization's bottom line and long-term sustainability.
नमूना प्रश्न
अभ्यास कैसे काम करता है, यह जानने के लिए एक उत्तर चुनें और व्याख्या देखें।
During December, a fitness chain collects $93,000 for annual memberships beginning January 1, pays $21,000 for January rent, buys supplies on account, and records $11,400 of depreciation. Which treatment best preserves accrual-basis financial statements?
An analyst estimates one-year stock returns of -8%, 6%, and 16% with probabilities 20%, 50%, and 30%. What expected return should be used?
एक विश्लेषक ने एक साल के लिए शेयरों के रिटर्न का अनुमान लगाया है -8%, 6%, और 16% के साथ संभावना 20%, 50%, और 30% के साथ। क्या अपेक्षित रिटर्न का उपयोग किया जाना चाहिए?
अपेक्षित रिटर्न को प्रत्येक परिणाम को उसकी संभावना से गुणा करने से मिलता है। आकर्षक गलत उत्तर साधारण औसत है, जो असंभावित और संभावित परिणामों को समान संभावना के रूप में देखता है।
A bank quotes a loan at 9% APR with compounding 4 times per year. A competing lender quotes an effective annual rate. How should the borrower convert the bank quote for comparison?
A CFO estimates the cost of common equity using CAPM. The risk-free rate is 4.5%, expected market return is 11%, and the firm's beta is 1.10. Which estimate should be used before flotation-cost adjustments?
A nonprofit wants to accumulate $36,800 in 7 years by making equal end-of-year deposits into an account earning 6.5%. Which result best describes the required annual deposit?