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Worksheets

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Total questions: 15

Worksheet time: 11mins

Name
Class
Date
1.

Which of the following product is pure Insurance product

a)

Unit Linked

Insurance Plan

b)

Money Back Policy

c)

Term Insurance Policy

d)

Whole Life Policy

2.

An analysis of decision making of Investors and Managers is classified as

a)

Premium Finance

b)

Behavioral Finance

c)

Riskier Finance

d)

Buying Finance

3.

In Fund of Fund the portfolio consists of

a)

Debt Securities

b)

Units of other Schemes

c)

Equity Instruments

d)

Derivative Instruments

4.

The Mutual Fund allows investors to sale out their share during any normal trading hours is classified as

a)

Capital Trade Fund

b)

Money Trade Fund

c)

Virtual Trade Fund

d)

Exchange Traded Fund

5.

The Risk affects any firm with the factors such as Wars, Recessions, Inflation and High Interest rate is classified as

a)

Stock Risk

b)

Diversifiable Risk

c)

Portfolio Risk

d)

Market Risk

6.

Which of the following is Financial Goal

a)

A sizable sum needed to buy a new car in 2 years time

b)

INR 10 Lacs needed for purchasing flat

c)

INR 5 Lacs needed after 1 year to pay child's tuition fee

d)

INR 6 Lacs required for Sister's wedding

7.

The Process of calculating Future Value of Money from Present value is termed as

a)

Discounting

b)

Money Value

c)

Compounding

d)

Stock Value

8.

The bond that has been issued in very recent timing is classified as

a)

Earnings Issue

b)

New Issue

c)

Recent Issue

d)

Mature Issue

9.

The process of selling company stock at large to general public and get lending from banks is classified as

a)

Initial Public Offering

b)

Internal Public Offering

c)

External Public Offering

d)

Unprofessional Offering

10.

The Investment of Funds by Insurance companies is regulated by the norms laid down by

a)

SEBI

b)

Ministry of Finance

c)

RBI

d)

IRDAI

11.

Hybrid funds are funds that invest in

a)

Equity Market across Large, Mid and Small Cap Shares

b)

Both Equity and Debt Markets

c)

Long and Medium Term Debt Securities

d)

Both Equity and Debt Markets

12.

Registration and Regulation of Securities Market Intermediaries in India is the function of ..........

a)

PFRDA

b)

SEBI

c)

SRO

d)

AMFI

13.

An investor who seeks a high level of return and is willing to bear the risks of such investments is likely to be recommended

a)

Conservative Portfolio

b)

Moderate Portfolio

c)

Aggressive Portfolio

d)

None

14.

Which of the following investments is unlikely to provide Inflation-Hedged Returns

a)

Gold

b)

Commodities

c)

Real estate

d)

Bonds

15.

Investment in government security issued at a fixed interest rate is subject to

a)

Liquidity Risk

b)

interest Rate Risk

c)

Credit Risk

d)

Business Risk