Sir in this question, redemption of debenture should be at ₹103 as it is market price i.e redemption cost now should be 6180000. But in solution redemption cost now is taken fair value i.e 6000000. so is question ambiguous or i have ...
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In this question, if we calculate Covariance(x,y) by Sharpe’s CAPM formula i.e [BetaX*BetaY*Variance of Market] then answer is different. So when to use CAPM formula in exam and when to use Markowitz formula?
In two tail test, level of significance in the left will be divided by two. So answer should be A as P value is greater than level of significance
In volatility theorem, one theorem is that long term bonds are more volatile than short term. so which one is correct treatment?
I think change in accounting estimates should require a specific disclosure as it will help analyst to understand whether management is manipulating the Financial statement or not.
In some questions, for calculating operating cycles :- 1. Taking Average Inventory. 2. Taking year end inventory (as Accounts Receivable is also of year end). So, Whats the correct solution?