An income available for shareholders after deducting expenses and taxes from revenues is classified as______________?

A: Net income

B: Net earnings

C: Net expenses

D: Net revenues

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Net income

Process of calculating future value of money from present value is classified as____________?

A: Compounding

B: Discounting

C: Money value

D: Stock value

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Compounding

In balance sheet, sum of retained earnings and common stock are considered as_____________?

A: Preferred equity

B: Due equity

C: Common perpetuity

D: Common equity

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Common equity

Mostly in financials, risk of portfolio is smaller than that of assets________?

A: Mean

B: Weighted average

C: Mean correlation

D: Negative correlation

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Weighted average

Coefficient of beta is used to measure stock volatility_____________?

A: Coefficient of market

B: Relative to market

C: Ir-relative to market

D: Same with market

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Relative to market

Coefficient of variation is used to identify an effect of__________?

A: Risk

B: Return

C: Deviation

D: Both A and B

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Both A and B

Chance of happening any unfavorable event in near future is classified as___________?

A: Chance

B: Event happening

C: Probability

D: Risk

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Risk

Stock which has higher correlation with market tend to have__________?

A: High beta, less risky

B: Low beta, more risky

C: High beta, more risky

D: Low beta, less risky

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High beta, more risky

Tendency of measuring correlation of two variables is classified as_________?

A: Tendency coefficient

B: Variable coefficient

C: Correlation coefficient

D: Double coefficient

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Correlation coefficient

Term structure premium, an inflation of bond and bond default premium are included in_________________?

A: Risk factors

B: Premium factors

C: Bond buying factors

D: Multi model

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Risk factors

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