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Salman Rahi (MBA-2 SZABIST)

Questions On risk and Return


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What dose risk mean for you firm?


Which type of risks can occur in your firm?
Which type of risk is being facing in your firm?
Which type of risk is more dangerous for your firm?
How did you measure risk in your firm?
Have you using any benchmark/ratio/probability of risk that can

possible occur in your firm?


7. Which type of risk you can mitigate easily?
8. How you mitigate risk?
9. For your firm, which types of risk you connote mitigate?
10.
Which type of risk and return policy/strategy you are being using
in your organization?
11.
What dose return means for your firm?
12.
Are there in your firm any operational risk occurred? How those
effect your firm? What were the causes?
13.
How you measure return in your firm?
14.
Which factors can cause more beneficial for you firm return?
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Which factors can affect negatively your firm return?
16.
How your firm distributing return/profit/interest/dividends? Which
policy you are using for distribution of dividends?
17.
What is the ratio of retain earning in the previous year?
18.
What was the ratio of return on assets/investment?
19.
How inflation effect your firm return/profitability?
20.
What was the EPS ratio previous year?
21.
What % of tax on your income you paid in 2014?
22. How much tax you saved due to debt financing?

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