Q.1
As compared to Treasury bonds, trading of municipal bonds in trading market is considered as
Q.2
Current selling price of municipal bonds available to bond holders is used to calculate
Q.3
If your local currency is in variable form and foreign currency is in fixed form quotation will be:
Q.4
International capital market
Q.5
Order cost is cost of the
Q.6
In a quote exchange rate, currency that is to be purchase with another currency is called :
Q.7
Holding an inventory have
Q.8
Today, important factor that result in augmentation in international bond market is
Q.9
Ask quote is for
Q.10
A firm that purpose to connect sellers and buyers of foreign currency-denominated bank deposits is entitled
Q.11
A simultaneous purchase and sale of foreign exchange for two different dates
Q.12
Governments enforce currency limitations to
Q.13
Bid quote is for
Q.14
Bid-ask spread in foreign exchange market is the
Q.15
Equilibrium interest rate increases and economic conditions decreases then supply curve must shift to
Q.16
If demand of loanable demands increases then borrowing cost of funds is
Q.17
In financial markets, decrease in investment results in
Q.18
If a company agreements today for several future date of real currency exchange, they will be building use of a
Q.19
International Money Market is for about
Q.20
Not aim of international capital market is
Q.21
Which of following causes do investors employ foreign exchange market
Q.22
Value which converts series of equal payments in to value received at beginning of investment is classified as
Q.23
Curve representing demand of funds shifts to left if economic growth in
Q.24
Suppliers, funds consumers, foreign and government intervening intermediaries are classified as participants of
Q.25
According to loanable funding theory, net suppliers of funds are
Q.26
Case of foreign exchange
Q.27
Gold standard introduced in
Q.28
Market in which currencies buy and sell and their prices settle on is called the
Q.29
In 1944 international accord is recognized as
Q.30
Funds provided by suppliers of funds in financial markets are classified as
Q.31
If there is improve in economic condition in foreign countries, local community of investors start
Q.32
Composite value of traded stocks group of secondary markets is classified as
Q.33
Type of option that gives right to buyer to buy underlying option at specific exercise price is considered as
Q.34
Type of preferred stock in which dividend does not increase or decrease with increase or decrease in profit of firm is classified as
Q.35
Conversion values is $7000 and conversion rate received on stock conversion is 370 then current market price of stock is
Q.36
If bonds are used as an investment vehicle by investors of institutions then bond must be
Q.37
Bonds that can be exchanged with other stock issued by same firm are classified as
Q.38
Private placed stock and privately placed bonds are considered as
Q.39
Participants of financial system reduce demand for their funds if economic growth in
Q.40
Depository institutions includes
Q.41
Major liabilities of commercial banks are
Q.42
Put option considering interest rates and have multiple exercise dates is classified as
Q.43
Agreement between two parties to exchange cash flows in future and cash flows are based on underlying instruments is classified as
Q.44
For other non-price conditions, increase in equilibrium interest rate leads to
Q.45
If risk of financial security increases and supply curve shifts to left then impact on equilibrium of interest rate must
Q.46
STRIPS are used effectively to receive
Q.47
Value of option issued to call debt is $670 and return rate on callable bond is $540 then return rate on non-callable bond is
Q.48
Bond which is denominated in dollars and is issued in European financial markets is considered as
Q.49
Yields of municipal bonds is
Q.50
Rate of return on non-callable bonds is $680 and value of issuer option is $450 then return on callable bond is
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