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| Section | Weight | Objectives |
|---|
| Topic 1: Financial Policy Decisions | 15% | - Strategic financial objectives and governance
- 1. Role of financial strategy in overall corporate strategy
- 2. Agency theory and stakeholder interests
- Dividend and distribution policy
- 1. Theories of dividend relevance
- 2. Practical considerations and constraints
|
| Topic 2: Financial Risk Management | 15% | - Risk measurement and assessment
- 1. Value-at-Risk, duration, gap analysis
- Risk mitigation and hedging strategies
- 1. Internal controls and risk policy frameworks
- 2. Use of derivatives: forwards, futures, swaps, options
- Types and sources of financial risk
- 1. Credit and liquidity risk
- 2. Interest rate, foreign exchange, commodity risk
|
| Topic 3: Sources of Long-Term Finance | 25% | - Optimal capital structure
- 1. Practical determinants of capital structure
- 2. Impact of gearing on risk and return
- Debt and hybrid finance
- 1. Leasing, convertibles, and warrants
- 2. Types of debt, terms, and covenants
- Equity finance
- 1. Types of equity and issue methods
- 2. Cost of equity and capital structure theories
|
| Topic 4: Business Valuation | 20% | - Valuation concepts and purposes
- 1. Valuation for mergers, acquisitions, and disposals
- 2. Valuation for listing or equity issuance
- Valuation methods
- 1. Asset-based, earnings-based, cash flow-based
- 2. Relative valuation and market multiples
- Pricing and negotiation
- 1. Determining offer price and terms
- 2. Post-transaction value creation
|
| Topic 5: Investment Appraisal and Decisions | 25% | - Advanced investment appraisal techniques
- 1. Discounted cash flow, NPV, IRR, MIRR
- 2. Adjusted present value and real options
- Risk analysis in investment decisions
- 1. Sensitivity, scenario, and simulation analysis
- 2. Cost of capital estimation and adjustment
|
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CIMA F3 Financial Strategy Sample Questions (Q364-Q369):
NEW QUESTION # 364
The Board of Directors of Company T is considering a rights issue to fund a new investment opportunity which has a zero NPV.
The Board of Directors wishes to explain to shareholders what the theoretical impact on their wealth will be as a result of different possible actions during the rights issue.
Which THREE of the following statements in respect of theoretical shareholder wealth are true?
- A. If shareholders sell their entire rights entitlement there will be no impact on their wealth.
- B. If the shareholders only partially exercise their rights and allow the remainder to lapse there will be no impact on their wealth.
- C. If shareholders exercise their full rights there will be no impact on their wealth.
- D. If the shareholders allow their rights to lapse (do nothing) there will be no impact on their wealth.
- E. If shareholders partially exercise their rights and sell the remaining rights entitlement there will be no impact on their wealth.
Answer: A,C,E
NEW QUESTION # 365
Company A is planning to acquire Company B. Both companies are listed and are of similar size based on market capitalisation No approach has yet been made to Company B's shareholders as the directors of Company A are undecided about the most suitable method of financing the offer Two methods are under consideration a share exchange or a cash offer financed by debt.
Company A currently has a gearing ratio (debt to debt plus equity) of 30% based on market values. The average gearing ratio (debt to debt plus equity) for the industry is 50% Although no formal offer has been made there have been market rumours of the proposed bid. which is seen as favorable to Company A. As a consequence. Company As share price has risen over the past few weeks while Company B's share price has fallen.
Which THREE of the following statements are most likely to be correct?
- A. Company B's shareholders will be able to participate in the future growth of the combined business if it is a share exchange
- B. Company A's gearing will increase following a share exchange.
- C. Based on current share price movements, a share exchange would mean Company A has to issue fewer shares to acquire Company B than it would have done a few weeks ago
- D. The method of finance chosen will not affect the post-acquisition earning per share of the combined business
- E. Company A's weighted average cost of capital will fall if financing is with debt
Answer: A,C,E
Explanation:
A and B similar market cap.
A's gearing (D / (D+E)) = 30% vs industry 50% # relatively under-geared.
Rumours of bid good for A (A share price up) and bad for B (B share price down).
Financing choices: share exchange or cash raised by new debt.
Assess statements:
A). A's price # and B's price #. For a given value per B share, fewer A shares are now needed than a few weeks ago # True.
B). With a share exchange, B's shareholders receive A's shares, so they share in future performance of combined entity # True.
C). Financing method does affect EPS (interest expense vs number of shares) # False.
D). Under MM with tax and given A is under-geared vs the 50% industry norm, adding debt is likely to lower WACC via the tax shield (ignoring distress costs) # Most likely true.
E). A share exchange issues equity, not debt; gearing effect is ambiguous and not necessarily an increase # Not "most likely".
NEW QUESTION # 366
Integrated reporting is designed to make visible the capitals on which the organisation depends, and how the organisation uses those capitals to create value in the short, medium and long term Which THREE of the following capitals are specifically identified in the Integrated Reporting <IR> Framework?
- A. Manufactured
- B. Research and Development
- C. Financial
- D. Community
- E. Human
Answer: A,C,E
Explanation:
The <IR> Framework identifies six capitals: financial, manufactured, intellectual, human, social & relationship, and natural. From the options given, those that match are:
Manufactured #
Human #
Financial #
NEW QUESTION # 367
A company plans to cut its dividend but is concerned that the share price will fall.
This demonstrates the _____________ effect
Answer:
Explanation:
clientele
NEW QUESTION # 368
A publicly funded school is focused on providing Value for Money
It pays its leaching staff less than other schools, because class sizes are generally smaller than elsewhere Despite some staff demotivation from low pay, exam pass rates are high given the close one-to-one attention many pupils receive.
On which aspect of Value for Money is the school underperforming?
- A. Economy
- B. Environmental
- C. Effectiveness
- D. Efficiency
Answer: A
NEW QUESTION # 369
......
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