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MBA Sample Paper for Finance Management 3rd Semester Financial EngineeringItsMyAcademy.com

MBA Sample Paper for Finance Management 3rd Semester Financial Engineering

TERM END EXAMINATIONS

MASTER OF BUSINESS ADMINISTRATION (FINANCE MANAGEMENT), SEMESTER – III, YEAR-2

FINANCIAL ENGINEERING

Duration -3 Hrs                                                                                 Max Marks: 60

Note: 1. Attempt any five questions.

     2. All question carry equal marks.

  1. Write short note on :
    1. Compound or Joint Events
    2. Independent Events
    3. Dependent Events
  2. A bag contains 3 red, 6 white and 7 blue balls. Two balls are drawn at random. Find the probability that
    1. both the balls are white,
    2. Both the balls are blue.
    3. one ball is red and the other is white,
    4. One is white and the other is blue.
  3. In a distribution exactly normal 7% of the items are under 35 and 89% are under 63. What are the mean and standard deviation of the distribution? Use the values as given below:

Z1= 1.48

Z2 =1.23

  1. Explain the meaning of simulation? The role and importance of Monte Carlo simulation.
  2. What is Foreign Exchange Market? Function and Structure of Foreign Exchange Market
  3. What are derivatives? What are the advantages and disadvantages of forward contracts?
  4. Explain the concept of Capital Market line and Security Market line.
  5. What do you mean by Asset and Liability Management? How interest rate exposure can be measured?
  6. What do you mean by Swaps? What are the various types of Swaps?

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