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| Section | Objectives |
|---|
| Financial Risk Management | - Foreign exchange risk - Interest rate risk
|
| Mergers, Acquisitions and Corporate Restructuring | - Valuation principles - Synergies and takeover strategies
|
| Sources of Long-Term Finance | - Hybrid financial instruments - Equity and debt financing
|
| Dividend Policy | - Dividend theories - Dividend decisions and shareholder value
|
| Financial Strategy Formulation | - Strategic financial objectives - Corporate financial planning
|
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CIMA F3 Financial Strategy Sample Questions (Q15-Q20):
NEW QUESTION # 15
M is an accountant who wishes to take out a forward rate agreement as a hedging instrument but the company treasurer has advised that a short-term interest rate future would be a better option.
Which of the following is true of a short-term interest rate future?
- A. It interest rates have gone down the price of the future will have fallen.
- B. It can be tailored to the exact reeds of the company.
- C. It must be kept for ne whole duration of the contract
- D. The date is flexible and the position can be closed quickly and easily.
Answer: C
NEW QUESTION # 16
Company AD is planning to acquire Company DC. It is evaluating two methods of structuring the terms of the bid, which will be ether a debt-funded cash offer or a share exchange The following Information is relevant
* The two companies are of similar size and in related industries
* AB's gearing ratio measured as debt to debt plus equity, is currently 30% based on market values. This Is the company's optimum capital structure set to reflect the risk appetite of shareholders.
* The combined company is expected to generate savings and synergies
Which THREE of the following are advantages to AB's shareholders of a debt-funded cash offer compared with a share exchange?
- A. EPS Mil Increase
- B. More of the synergistic benefits of the acquisition will accrue to AB's current shareholders.
- C. Gearing will increase.
- D. Shareholder control will remain with AB's current shareholders
- E. WACC will increase f credit worthless falls too low, further increasing the returns to shareholders.
Answer: C
NEW QUESTION # 17
Which TWO of the following situations offer arbitrage opportunities?
A)

B)

C)

D)

- A. Option A
- B. Option C
- C. Option B
- D. Option D
Answer: C
NEW QUESTION # 18
Two companies that operate in the same industry have different Price/Earnings (P/E) ratios as follows:

Which of the following is the most likely explanation of the different P/E ratios?
- A. Company B has a greater profit this year than Company A.
- B. Company B has higher business risk than Company A.
- C. Company B has higher gearing than Company A.
- D. Company B has higher expected future growth than Company A.
Answer: D
Explanation:
A higher P/E ratio usually reflects higher expected future growth and/or lower perceived risk. Among the options, only higher expected growth explains why Company B's P/E (15) is greater than Company A's (8).
Higher risk or higher gearing would normally reduce the P/E, not increase it, and current profit level alone doesn't determine the multiple.
NEW QUESTION # 19
Select the category of risk for each of the descriptions below:

Answer:
Explanation:


NEW QUESTION # 20
......
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