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| Section | Weight | Objectives |
|---|
| Topic 1: Financial Policy Decisions | 15% | - Dividend and distribution policy
- 1. Practical considerations and constraints
- 2. Theories of dividend relevance
- Strategic financial objectives and governance
- 1. Role of financial strategy in overall corporate strategy
- 2. Agency theory and stakeholder interests
|
| Topic 2: Business Valuation | 20% | - Pricing and negotiation
- 1. Determining offer price and terms
- 2. Post-transaction value creation
- Valuation methods
- 1. Asset-based, earnings-based, cash flow-based
- 2. Relative valuation and market multiples
- Valuation concepts and purposes
- 1. Valuation for listing or equity issuance
- 2. Valuation for mergers, acquisitions, and disposals
|
| Topic 3: 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. Adjusted present value and real options
- 2. Discounted cash flow, NPV, IRR, MIRR
|
| Topic 4: Financial Risk Management | 15% | - Types and sources of financial risk
- 1. Credit and liquidity risk
- 2. Interest rate, foreign exchange, commodity risk
- Risk measurement and assessment
- 1. Value-at-Risk, duration, gap analysis
- Risk mitigation and hedging strategies
- 1. Use of derivatives: forwards, futures, swaps, options
- 2. Internal controls and risk policy frameworks
|
| Topic 5: Sources of Long-Term Finance | 25% | - Equity finance
- 1. Cost of equity and capital structure theories
- 2. Types of equity and issue methods
- Debt and hybrid finance
- 1. Leasing, convertibles, and warrants
- 2. Types of debt, terms, and covenants
- Optimal capital structure
- 1. Impact of gearing on risk and return
- 2. Practical determinants of capital structure
|
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CIMA F3 Financial Strategy Sample Questions (Q401-Q406):
NEW QUESTION # 401
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. Give existing shareholders the right to buy bonds in the future.
- B. 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
- C. 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.
- D. Appeal to their own shareholders that the company should not be broken up because i: has strong growth prospects.
- E. Offer the company to an alternative While Knight bidder.
Answer: B,D,E
NEW QUESTION # 402
Company W is a manufacturing company with three divisions, all of which are making profits:
* Division A which manufactures cars
* Division B which manufactures trucks
* Division C which manufactures agricultural machinery
Company W is facing severe competitive pressure in all of its markets, and is currently operating with a high level of gearing Company W's latest forecasts suggest that it needs to raise cash to avoid breaching loan covenants on its existing debt finance in 6 months' time In a recent strategy review. Divisions A and B were identified as being the core divisions of Company W The management of Division C is known to be interested in the possibility of a management buy-out.
Company Z is known to be interested in making a takeover bid for Company W's truck manufacturing division A rival to Company W has recently successfully demerged its business, this was well received by the Financial markets Which of the following exit strategies will be most suitable for company W?
- A. Management buy-out of Division C
- B. Demerger of Division C
- C. Sale of Division B to Company Z
- D. Closure of Division
Answer: A
NEW QUESTION # 403
The value of a call option will increase because of:
- A. A decrease in the volatility of the share.
- B. An increase in the time to expiry.
- C. An increase in the strike price.
- D. A decrease in the market value of the share
Answer: B
Explanation:
The value of a call option increases when:
The underlying share price increases
The strike price decreases
The time to expiry increases
Volatility increases
Risk-free rate increases
Looking at the options:
A). Increase in strike price # reduces call value
B). Decrease in volatility # reduces call value
C). Increase in time to expiry # increases call value #
D). Decrease in share price # reduces call value
NEW QUESTION # 404
A company's annual dividend has grown steadily at an annual rate of 3% for many years. It has a cost of equity of 11%. The share price is presently $64.38.
The company is about to announce its latest dividend, which is expected to be $5.00 per share.
The Board of Directors is considering an attractive investment opportunity that would have to be funded by reducing the dividend to $4.50 per share. The board expects the project to enable future dividends to grow by 5% every year and the cost of equity to remain unchanged.
Calculate the change in share price, assuming that the directors announce their intention to proceed with this investment opportunity.
Give your answer to 2 decimal places.
$ ?
Answer:
Explanation:
14.37
NEW QUESTION # 405
AA is considering changing its capital structure. The following information is currently relevant to AA:

The gearing rating raising the new debt finance will be 50%.
Which THREE of the following statement about the impact of AA's change in capital structure are true under Modigliani and Miler's capital structure theory with tax.
- A. The cost of equity will increase above 10%
- B. The cost of debt remain unchanged at 4%
- C. The cost of debt will increase above 4%
- D. The WACC increase above 7.6
- E. The cost of equity will decrease below 10%
- F. The WACC will decrease below 7.6%
Answer: D,F
NEW QUESTION # 406
......
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