Explore topic-wise MCQs in General Management.

This section includes 1419 Mcqs, each offering curated multiple-choice questions to sharpen your General Management knowledge and support exam preparation. Choose a topic below to get started.

301.

Eurobonds are traded in

A. nly in issuing country
B. tagnant exchange
C. elephonic market
D. ver counter market
Answer» E.
302.

Current market price of common stock is $12 and conversion rate received on conversion is $225 to calculate

A. 18.75
B. 2,700
C. 237
D. 450
Answer» C. 237
303.

Marginal income tax rate is 28% and before tax rate of return is 14.5% then after tax rate of return is

A. .44%
B. .44%
C. .44%
D. 0.44%
Answer» E.
304.

Marginal income tax rate is 46.8% and before tax rate of return is 15.5% then after tax rate of return is

A. .25%
B. .25%
C. 0.25%
D. .25%
Answer» C. 0.25%
305.

Funds transferred usually for a day between financial institutions are classified as

A. ederal funds
B. ankers
C. ebt funds
D. ecured funds
Answer» B. ankers
306.

Investors held commercial papers generally from

A. ssuance to maturity
B. ithin 1 to 2 days
C. ithin 3 to 4 days
D. ithin 4 to 5 days
Answer» B. ithin 1 to 2 days
307.

Certificate of deposits which are usually negotiable are issued by

A. anks
B. inancial market
C. tock exchange
D. usiness corporations
Answer» B. inancial market
308.

Rate which is used in major banks in United States as a rate for industrial and commercial loans is

A. ondon intra bank offered rate
B. ondon interbank offered rate
C. uro interbank offered rate
D. emand intra bank rate
Answer» C. uro interbank offered rate
309.

Municipal bonds are traded to finance

A. hort term capital outlays
B. ong term capital outlays
C. ong term finance outlays
D. ong term bonds outlays
Answer» C. ong term finance outlays
310.

Type of bonds that have tangible property as a collateral are classified as

A. ollateral security
B. ommercial trust notes
C. quipment trust certificates
D. quipment bonds
Answer» D. quipment bonds
311.

Temporary imbalances between operating receipts and operating expenditures are funded with help of

A. tate bonds
B. ederal bonds
C. unicipal bonds
D. eserve bonds
Answer» D. eserve bonds
312.

Private placement of issues is consisted as

A. egistered issue
B. nregistered issue
C. ederal issue
D. egotiable issue
Answer» C. ederal issue
313.

Submitted bids in treasury bills auction consists of types which are

A. ompetitive bids
B. on-competitive bids
C. reasury bids
D. oth a and b
Answer» E.
314.

For a particular security transaction, agreement is classified as 'reverse repo' with point of view of

A. ecurity liability
B. ecurity buyer
C. ecurity seller
D. ecurity function
Answer» C. ecurity seller
315.

Process of issuing treasury bills is classified as

A. reasury trading auction
B. reasury fund auction
C. reasury bills auction
D. reasury bills transfer
Answer» D. reasury bills transfer
316.

Financial instrument such as commercial paper can be sold

A. ssued by commercial banks
B. irectly
C. ith brokers or dealers
D. unctional buyers
Answer» C. ith brokers or dealers
317.

Type of instrument whoever holds it gets interest and principal amount is classified as

A. erm instrument
B. nterim instrument
C. rimary instrument
D. earer instrument
Answer» E.
318.

Non-competitive bidders get allocation of treasury bills on

A. ederal basis
B. ast basis
C. irstly basis
D. referential basis
Answer» E.
319.

Interest rate of certificate of deposits is quoted using a time span of

A. 50 days a year
B. 50 days a year
C. 65 day a year
D. 60 day a year
Answer» E.
320.

Interest rate paid on traded Eurodollars is called as

A. ondon intra bank offered rate
B. ondon interbank offered rate
C. uro interbank offered rate
D. emand intra bank rate
Answer» C. uro interbank offered rate
321.

In Eurodollar market, decrease in demand of Euro dollars results in

A. ncrease in KIBOR
B. ecrease in KIBOR
C. ecrease in federal funds rate
D. ncrease in federal funds rate
Answer» D. ncrease in federal funds rate
322.

International bankers

A. etter of confirmation
B. etter of transfer
C. etter of credits
D. etter of buying
Answer» D. etter of buying
323.

Price which is paid by bidders and is accepted by all other bidders is classified as

A. ighest price
B. owest price
C. ero price
D. eak price
Answer» C. ero price
324.

Repurchase price is $250, selling price is $220 and number of days till maturity are 3 then yield of repurchase agreement is 2500

A. 1.36%
B. 6.36%
C. 5.36%
D. 4.36%
Answer» C. 5.36%
325.

Treasury bills are issued to raise significant amount of funds by

A. S treasury
B. ustralian treasury
C. wiss treasury
D. unctional treasury
Answer» B. ustralian treasury
326.

Treasury bills have high liquidity because of

A. xtensive secondary markets
B. xtensive primary markets
C. remium money markets
D. iscounted money markets
Answer» B. xtensive primary markets
327.

Banks that deals with reciprocal agreements and accounts are considered as

A. orrespondent banks
B. on-correspondent banks
C. eciprocal transactions
D. unctional banks
Answer» B. on-correspondent banks
328.

Markets which reallocate liquid funds in relatively fixed amounts are classified as

A. apital markets
B. ebt markets
C. econdary markets
D. rimary markets
Answer» D. rimary markets
329.

In New York Stock exchange, fully automated information and trading system which allows to execute orders for bonds is classified as

A. econdary stock system
B. rimary stock system
C. utomated stock system
D. utomated bond system
Answer» E.
330.

Bonds with coupon are attached to bond for paying interest when it becomes due are classified as

A. rustee bonds
B. ocal bonds
C. earer bonds
D. earer bonds
Answer» D. earer bonds
331.

Information about sovereign borrowers and corporate borrowers is generated by the

A. ond rating agencies
B. ond issuance agencies
C. ederal placement
D. rivate pavement agencies
Answer» B. ond issuance agencies
332.

Type of markets which trades underwritten bonds syndicated by some other countries is classified as

A. nternational markets
B. ational markets
C. ocal markets
D. tate markets
Answer» B. ational markets
333.

Non-competitive bids of securities are submitted through

A. ederal savings bank
B. tate savings banks
C. ederal Reserve banks
D. tate reserve banks
Answer» D. tate reserve banks
334.

In US treasury, inflation indexed bond is classified as

A. reasury inflation protection securities
B. reasury inflation protection notes
C. reasury inflation commercial papers
D. nflation coupon protection securities
Answer» B. reasury inflation protection notes
335.

Suppliers and demanders of long term investment funds are work closely in

A. ond markets
B. lassical set markets
C. pen end markets
D. lose end markets
Answer» B. lassical set markets
336.

Issued bond which is considered as hybrid bond is called

A. on-convertible bonds
B. remium convertible bonds
C. iscount convertible bonds
D. onvertible bonds
Answer» E.
337.

Foreign bonds that are issued before Eurobonds are also called as

A. raditional international bonds
B. raditional local bonds
C. raditional global bonds
D. raditional currency bonds
Answer» B. raditional local bonds
338.

If price at which stock is purchased exceeds market value then stock warrants will

A. e exercised
B. ot be exercised
C. e discounted
D. ot be discounted
Answer» B. ot be exercised
339.

Principal amount in Treasury Inflation Protection Securities is considered as

A. ax adjusted principal
B. nflation adjusted principal
C. uction adjusted principal
D. remium adjusted principal
Answer» C. uction adjusted principal
340.

Call premium of bond is $630 and call price of bond is $240 then face value of bond is

A. .63%
B. 870
C. 390
D. 2.63
Answer» D. 2.63
341.

Type of sale in which investment bank got rights to underwrite, distribute and originate new bonds is classified as

A. east effort sale
B. ffortless sale
C. egotiated sale
D. egotiated sale
Answer» E.
342.

Bonds rated lower than triple-B bonds by Standard and Poor's are considered as

A. plit bonds
B. utomated bonds
C. unk bonds
D. inking bonds
Answer» D. inking bonds
343.

Current market price is multiplied to conversion rate received on conversion to calculate

A. onversion value
B. urrent value
C. arket value
D. tock value
Answer» B. urrent value
344.

In borrowing and lending of federal funds, federal funds rate is result of function between

A. ssets and liability
B. ost and marketing
C. upply and demand
D. ncome and expense
Answer» D. ncome and expense
345.

Maximum maturity days of holding commercial paper are

A. 70 days
B. 70 days
C. 20 days
D. days
Answer» C. 20 days
346.

Commercial paper issued with low interest rate thus commercial paper are categorized as

A. ayables rating
B. ommercial rating
C. oor credit rating
D. etter credit rating
Answer» E.
347.

Call premium is added to face value of bond to calculate

A. all price of bond
B. remium price of bond
C. all price of stock
D. iscounted price of stock
Answer» B. remium price of bond
348.

Single bid auction of TIPS securities means that all bidders

A. ays indexed prices
B. ays same price
C. ays different price
D. ays inflated prices
Answer» C. ays different price
349.

Type of bonds which is fully backed by credit and faith of issuer is classified as

A. eneral obligation tax
B. eneral obligation savings
C. eneral obligation bonds
D. eneral obligation notes
Answer» D. eneral obligation notes
350.

For a particular security transaction, agreement is 'repo' with point of view of

A. ecurity seller
B. ecurity buyer
C. ecurity function
D. ecurity function
Answer» B. ecurity buyer