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| Section | Weight | Objectives |
|---|
| Financial Policy Decisions | 15% | - Interaction between investment, financing and dividend decisions - Strategic financial objectives and stakeholder impact
- 1. ESG and ethical influences
- 2. Financial objective setting
- 3. Taxation and regulatory framework
|
| Financial Risks | 20% | - Risk reporting and governance - Risk management techniques
- 1. Derivatives: futures, forwards, swaps, options
- 2. Hedging strategies
- Types of financial risk
- 1. Credit and liquidity risk
- 2. Interest rate risk
- 3. Foreign exchange risk
- Risk measurement and assessment
- 1. Value-at-Risk, sensitivity analysis
|
| Business Valuation | 40% | - Investment appraisal
- 1. NPV, IRR, payback, discounted payback
- 2. Adjusted present value (APV)
- Impairment testing and value management - Valuation methods
- 1. Discounted cash flow (DCF)
- 2. Relative valuation: P/E, EV/EBITDA
- 3. Asset-based valuation
- Mergers, acquisitions and divestments
- 1. Financing and post-deal integration
- 2. Valuation of target companies
|
| Sources of Long-term Funds | 25% | - Debt finance
- 1. Bonds, loans, convertible instruments
- 2. Leasing and sale-and-leaseback
- Equity finance
- 1. Ordinary shares, preference shares, rights issues
- 2. Flotation and listing methods
- Dividend policy and distribution strategies - Capital structure theories and WACC
- 1. Cost of capital calculation
- 2. Modigliani-Miller propositions
|
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CIMA F3 Financial Strategy Sample Questions (Q342-Q347):
NEW QUESTION # 342
On 1 January 20X1, a company had:
* Cost of equity of 10 0%.
* Cost of debt of 5.0%
* Debt of $100Mmilion
* 100 million $1 shares trading at $4.00 each.
On 1 February 20X1:
* The company's share police fell to $3.00.
* Debt and the cost of debt remained unchanged
The company does not pay tax.
Under Modigliani and Miller's theory without lax. what is the best estimate of the movement in the cost of equity as a result of the fall in ne share price?
- A. It will stay the same at 10.0%.
- B. It will rise to 10.3%.
- C. It will fall to 9.3%.
- D. It will rise to 11.2%.
Answer: A
NEW QUESTION # 343
A company is valuing its equity prior to an initial public offering (IPO).
Relevant data:
* Earnings per share $1.00
* WACC is 8% and the cost of equity is 12%
* Dividend payout ratio 40%
* Dividend growth rate 2% in perpetuity
The current share price using the Dividend Valuation Model is closest to:
- A. $4.00
- B. $4.08
- C. $6.12
- D. $6.80
Answer: B
NEW QUESTION # 344
A venture capitalist invests in a company by means of buying
* 6 million shares for $3 a share and
* 7% bonds with a nominal value of $2 million, repayable at par in 3 years' time
The venture capitalist expects a return on the equity portion of the investment of at least 20% a year on a compound basis over the first 3 years of the investment
The company has 8 million shares in issue
What is the minimum total equity value for the company in 3 years' time required to satisfy the venture capitalist's expected return?
Give your answer to the nearest $ million

Answer: A
NEW QUESTION # 345
The Board of Directors of a small listed company engaged in exploration are currently considering the future dividend policy of the company. Exploration is considered a high-risk business and consequently the company has a low level of debt finance.
Forecasts indicate a period of profit fluctuation in the next few years as the company is planning to embark on a major capital investment project. Debt finance is unlikely to be available due to the project's high business risk.
Which THREE of the following are practical considerations when determining the company's dividend/retention policy?
- A. The fluctuating nature of the projected future profits.
- B. The timing and size of the cash flow requirements for the new investment.
- C. The legislation and regulation governing distributable profits.
- D. The general level of interest rates and the tax savings on interest costs relating to debt finance.
- E. The dividend policies of mature listed multinational companies in the exploration industry.
Answer: A,B,C
Explanation:
Explanation
Discursive_F0
NEW QUESTION # 346
The ex div share price of a company's shares is $2.20.
An investor in the company currently holds 1,000 shares.
The company plans to issue a scrip dividend of 1 new share for every 10 shares currently held.
After the scrip dividend, what will be the total wealth of the shareholder?
Give your answer to the nearest whole $.
$ ? .
Answer: B
NEW QUESTION # 347
......
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