Please find the following questions to prepare for your Quiz Two next week. The quiz will be conducted in only Chapter 2 : Understanding Risk Management :
(Khmer Questions Available Below)
This video provides some tips to get good score during exam.
- What is Risk ?
- How many types of Risk ? Please count them and brief each type ?
- What is systematic risk ?
- What is non-systematic risk ?
- What is country risk ?
- Please count 5 risk that you didn't study from the book ? Explain them ?
- How do you manage risk ? Please explain them in detail with examples ?
- How do you manage risk by using technique "Risk Avoidance"?
- What can you explain why Investor Averse Risk ? How to deal with it ?
- If you want to invest in one country, which type of risk will you prioritize the most ?
- How many ways to measure risk ? Please explain each way briefly ?
- How do you measure risk by volatility ?
- What are the three normal distribution of Standard Deviation ?
- If we use Beta to measure Risk, what are components they should consider ?
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