Quiz Akhir RIM

Quiz Akhir RIM

University

12 Qs

quiz-placeholder

Similar activities

UTS Bank dan Lembaga Keuangan

UTS Bank dan Lembaga Keuangan

University

10 Qs

QUIS MANAJEMEN RESIKO KELAS 08

QUIS MANAJEMEN RESIKO KELAS 08

University

16 Qs

INTRODUCTION TO MARKETING

INTRODUCTION TO MARKETING

University

10 Qs

Kisi2 Pre UTS Jaminan Kamis11

Kisi2 Pre UTS Jaminan Kamis11

University

14 Qs

QUIZ TODAY!

QUIZ TODAY!

University

15 Qs

Napoleon's Impact on France and Europe

Napoleon's Impact on France and Europe

7th Grade - University

13 Qs

Efek dan Mekanisme Perdagangan Saham

Efek dan Mekanisme Perdagangan Saham

University

10 Qs

ACCOUNTING QUIZ !

ACCOUNTING QUIZ !

University

10 Qs

Quiz Akhir RIM

Quiz Akhir RIM

Assessment

Quiz

Social Studies

University

Practice Problem

Hard

Created by

Krismi Sienatra

Used 1+ times

FREE Resource

AI

Enhance your content in a minute

Add similar questions
Adjust reading levels
Convert to real-world scenario
Translate activity
More...

12 questions

Show all answers

1.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Dua komponen utama return investasi saham adalah

Yield & Kupon

Interest & Capital Gain

Yield & Capital Gain

Kupon & Interest

2.

MULTIPLE CHOICE QUESTION

30 sec • 3 pts

Risiko

Return

Abnormal Return

Diferensiasi Risiko

3.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Diversifikasi mempertimbangkan kovarian dan koefisien korelasi negatif antar aset agar dapat menurunkan risiko portofolio disebut

Diversifikasi Random

Diversifikasi Optimum

Diversifikasi Naif

Diversifikasi Markowitz

4.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Dalam Model Single Index Tunggal yang menjadi acuan adalah

Risiko Portofolio

Risiko Pasar

Risiko Government

Risiko Perusahaan

5.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Portofolio yang dipilih sesuai preferensi investor dari himpunan set efisien portofolio disebut

Portofolio Curve

Portofolio Diversifikasi

Portofolio Optimal

Portofolio Efisien

6.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Kemiringan (slope) pada CML menunjukan

abnormal return

harga pasar risiko

risiko portofolio

return pasar

7.

MULTIPLE CHOICE QUESTION

30 sec • 1 pt

Jika return riil suatu sekuritas lebih tinggi dari return CAPM nya maka sekuritas tersebut mengalami

equilibrium

undervalue

optimum

overvalue

Create a free account and access millions of resources

Create resources

Host any resource

Get auto-graded reports

Google

Continue with Google

Email

Continue with Email

Classlink

Continue with Classlink

Clever

Continue with Clever

or continue with

Microsoft

Microsoft

Apple

Apple

Others

Others

Already have an account?