Exam F3 Price & F3 Exam Practice

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| Section | Weight | Objectives |
|---|
| Topic 1: Financial Risks | 20% | - Risk management techniques
- 1. Derivatives: futures, forwards, swaps, options
- 2. Hedging strategies
- Risk measurement and assessment
- 1. Value-at-Risk, sensitivity analysis
- Risk reporting and governance - Types of financial risk
- 1. Interest rate risk
- 2. Foreign exchange risk
- 3. Credit and liquidity risk
|
| Topic 2: Financial Policy Decisions | 15% | - Interaction between investment, financing and dividend decisions - Strategic financial objectives and stakeholder impact
- 1. Taxation and regulatory framework
- 2. Financial objective setting
- 3. ESG and ethical influences
|
| Topic 3: Sources of Long-term Funds | 25% | - Capital structure theories and WACC
- 1. Cost of capital calculation
- 2. Modigliani-Miller propositions
- Equity finance
- 1. Flotation and listing methods
- 2. Ordinary shares, preference shares, rights issues
- Debt finance
- 1. Bonds, loans, convertible instruments
- 2. Leasing and sale-and-leaseback
- Dividend policy and distribution strategies
|
| Topic 4: Business Valuation | 40% | - Impairment testing and value management - Investment appraisal
- 1. Adjusted present value (APV)
- 2. NPV, IRR, payback, discounted payback
- Valuation methods
- 1. Asset-based valuation
- 2. Relative valuation: P/E, EV/EBITDA
- 3. Discounted cash flow (DCF)
- Mergers, acquisitions and divestments
- 1. Financing and post-deal integration
- 2. Valuation of target companies
|
>> Exam F3 Price <<
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CIMA F3 Financial Strategy Sample Questions (Q358-Q363):
NEW QUESTION # 358
Company A is subject to a takeover bid from Company B, both companies operate in the same industry and each of them demand a significant market share Company B h3S made an of an of $5 per share to the shareholders of Company A.
The directors of Company A do not believe the takeover would be h the best interests of the stakeholders and other stakeholders of Company A due to the following reruns
1. Company B has recently taken ever several ether companies resulting in them breaking up the company and se ling on the assets.
2 The directors of Company A believe the offer of $5 per snare undervalues tie company The directors of Company A are therefore keen to prevent the bid from going ahead Which THREE of the following defence strategies could be used by the directors of Company Air this situation?
- A. Refer the bid to the Competition Authorizes because of the risk of a large number of employee redundancies if Company B's Did were to be successful
- B. Give existing shareholders the right to buy bonds in the future.
- C. Offer the company to an alternative While Knight bidder.
- D. Appeal to their own shareholders that the company should not be broken up because i: has strong growth prospects.
- E. Inform shareholders of the potential current value of the non-current assets including intangibles, to show that their true value is higher than the bid value.
Answer: A,C,D
NEW QUESTION # 359
A company has 8% convertible bonds in issue. The bonds are convertible in 3 years time at a ratio of 20 ordinary shares per $100 nominal value bond.
Each share:
* has a current market value of $5.60
* is expected to grow at 5% each year
What is the expected conversion value of each $100 nominal value bond in 3 years' time?
- A. $112.0
- B. $100.0
- C. $117.6
- D. $129.6
Answer: D
NEW QUESTION # 360
A venture capitalist invests in a company by means of buying:
* 9 million shares for $2 a share and
* 8% 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 10 million shares in issue.
What is the minimum total equity value for the company in 3 years' time required to satisify the venture capitalist's expected return?
Give your answer to the nearest $ million.
$ million.
Answer:
Explanation:
34, 35, 34000000, 35000000
NEW QUESTION # 361
On 1 January:
* Company X has a value of $50 million
* Company Y has a value of $20 million
* Both companies are wholly equity financed
Company X plans to take over Company Y by means of a share exchange. Following the acquisition the post-tax cashflow of Company X for the foreseeable future is estimated to be $8 million each year. The post-acquisition cost of equity is expected to be 10%.
What is the best estimate of the value of the synergy that would arise from the acquisition?
- A. $30 million
- B. $60 million
- C. $10 million
- D. $100 million
Answer: C
NEW QUESTION # 362
An entity prepares financial statements to 31 December each year. The following data applies:
1 December 20X0
* The entity purchased some inventory for $400,000.
* In order to protect the inventory against adverse changes in fair value the entity entered into a futures contract to sell the inventory for a fixed price on 31 January 20X1.
* The entity designated this contract as a fair value hedge of the value of the inventory.
31 December 20X0
* The inventory had a fair value of $480,000 and the futures contract had a fair value of $75,000 (a financial liability).
What will be the impact on the statement of profit or loss and other comprehensive income for the year ended 31 December 20X0 in respect of the change in the value of the inventory and the futures contract?
- A. A loss of $75,000 will be recognised in profit or loss.
- B. A net gain of $5,000 will be recognised in profit or loss.
- C. A loss of $75,000 will be recognised in other comprehensive income.
- D. A net gain of $5,000 will be recognised in other comprehensive income.
Answer: B
NEW QUESTION # 363
......
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