CIMAPRA19-F03-1높은통과율덤프문제 - CIMAPRA19-F03-1퍼펙트덤프공부자료

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CIMA CIMAPRA19-F03-1 Exam Syllabus Topics:
| Section | Weight | Objectives |
|---|
| Topic 1: Sources of Long-Term Finance | 25% | - Debt and hybrid finance
- 1. Types of debt, terms, and covenants
- 2. Leasing, convertibles, and warrants
- Equity finance
- 1. Types of equity and issue methods
- 2. Cost of equity and capital structure theories
- Optimal capital structure
- 1. Practical determinants of capital structure
- 2. Impact of gearing on risk and return
|
| 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: 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 4: Investment Appraisal and Decisions | 25% | - Risk analysis in investment decisions
- 1. Cost of capital estimation and adjustment
- 2. Sensitivity, scenario, and simulation analysis
- Advanced investment appraisal techniques
- 1. Discounted cash flow, NPV, IRR, MIRR
- 2. Adjusted present value and real options
|
| Topic 5: Business Valuation | 20% | - Pricing and negotiation
- 1. Determining offer price and terms
- 2. Post-transaction value creation
- Valuation concepts and purposes
- 1. Valuation for listing or equity issuance
- 2. Valuation for mergers, acquisitions, and disposals
- Valuation methods
- 1. Asset-based, earnings-based, cash flow-based
- 2. Relative valuation and market multiples
|
>> CIMAPRA19-F03-1높은 통과율 덤프문제 <<
CIMAPRA19-F03-1높은 통과율 덤프문제 최신버전 덤프공부
학원다니면서 많은 지식을 장악한후CIMA CIMAPRA19-F03-1시험보시는것도 좋지만 회사다니느랴 야근하랴 시간이 부족한 분들은CIMA CIMAPRA19-F03-1덤프만 있으면 엄청난 학원수강료 필요없이 20~30시간의 독학만으로도CIMA CIMAPRA19-F03-1시험패스가 충분합니다. 또한 취업생분들은 우선 자격증으로 취업문을 두드리고 일하면서 실무를 익혀가는방법도 좋지 않을가 생각됩니다.
최신 CIMA Strategic level CIMAPRA19-F03-1 무료샘플문제 (Q433-Q438):
질문 # 433
Select whether the following statements are true or false with regard to Modigliani and Miller's dividend policy theory.

정답:
설명:

질문 # 434
A manufacturing company based in Country R. where the currency is the R$, has an objective of maintaining an operating profit margin of at least 10% each year Relevant data:
* The company makes sales to Country S whose currency is the SS It also makes sales to Country T whose currency is the T$ " All purchases are from Country U whose currency is the US.
* The settlement of an transactions is in the currency of the customer or supplier Which of the following changes would be most likely to help the company achieve its objective?
- A. The R$ strengthens against the S$ over time.
- B. The T$ weakens against the R$ over time
- C. The R$ strengthens against the U$ over time.
- D. The R$ weakens against the U$ over time
정답:C
질문 # 435
A company has some 7% coupon bonds in issue and wishes to change its interest rate profile.
It has decided to do this by entering into a plain coupon interest rate swap with it's bank.
The bank has quoted a swap rate of: 6.0% - 6.5% fixed against LIBOR.
What will the company's new interest rate profile be?
- A. VARIABLE at LIBOR
- B. FIXED at 6.5%
- C. VARIABLE at LIBOR + 0.5%
- D. VARIABLE at LIBOR + 1.0%
정답:D
설명:
Company currently pays fixed 7% on its bonds.
Swap quote 6.0%-6.5% fixed against LIBOR means:
Bank will pay 6.0% fixed and receive LIBOR, or
Receive 6.5% fixed and pay LIBOR.
To move from fixed to variable, the company should receive fixed and pay LIBOR, so it takes the 6.0% fixed leg.
Net position:
Pay 7% fixed on bond
Receive 6% fixed from swap
Pay LIBOR on swap
Total = (7% # 6%) + LIBOR = LIBOR + 1%
질문 # 436
A listed company is financed by debt and equity.
If it increases the proportion of debt in its capital structure it would be in danger of breaching a debt covenant imposed by one of its lenders.
The following data is relevant:

The company now requires $800 million additional funding for a major expansion programme.
Which of the following is the most appropriate as a source of finance for this expansion programme?
- A. Retained earnings
- B. Rights issue
- C. Bank overdraft
- D. Private placement of a bond
정답:B
질문 # 437
Which THREE of the following would be of most interest to lenders deciding whether to provide long-term debt to a company?
- A. Dividend cover
- B. Current gearing ratio
- C. Quality of current management
- D. interest cover on existing debt
- E. Earnings per share
정답:B,C,D
질문 # 438
......
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