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| Section | Weight | Objectives |
|---|
| Financial Risks | 20% | - Risk Identification and Assessment
- 1. Credit risk
- 2. Liquidity risk
- 3. Market risk
- Currency Risk Management
- 1. Hedging techniques
- 2. Transaction exposure
- 3. Translation exposure
- Interest Rate Risk Management
- 1. Forward rate agreements
- 2. Interest rate derivatives
- 3. Interest rate exposure
|
| Business Valuation | 40% | - Mergers and Acquisitions
- 1. Acquisition financing
- 2. Financial implications
- 3. Strategic rationale
- Post-Transaction Issues
- 1. Integration planning
- 2. Value realization
- 3. Performance monitoring
- Business Valuation Techniques
- 1. Earnings and market-based valuation
- 2. Discounted cash flow valuation
- 3. Asset-based valuation
|
| Sources of Long-Term Funds | 25% | - Equity Finance
- 1. Private placements
- 2. Rights issues
- 3. Ordinary shares
- Debt Finance
- 1. Lease finance
- 2. Bank borrowing
- 3. Loan notes and bonds
- Capital Structure and Dividend Policy
- 1. Dividend policy theories
- 2. Cost of capital
- 3. Capital structure theories
|
| Financial Policy Decisions | 15% | - Strategic Financial Objectives
- 1. Financial and non-financial objectives
- 2. Shareholder wealth maximization
- 3. Stakeholder objectives
- Development of Financial Strategy
- 1. Financing decisions
- 2. Dividend decisions
- 3. Investment decisions
|
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CIMA F3 Financial Strategy Sample Questions (Q226-Q231):
NEW QUESTION # 226
A company has:
* 10 million $1 ordinary shares in issue
* A current share price of $5.00 a share
* A WACC of 15%
The company holds $10 million in cash. No interest is earned on this cash.
It will invest this in a project with an expected NPV of $4 million.
In a semi-strong efficient stock market, which of the following is the most likely share price immediately after the announcement of the new investment?
- A. $5.40
- B. $6.40
- C. $5.30
- D. $6.80
Answer: A
NEW QUESTION # 227
On 1 January:
* Company ABB has a value of $55 million
* Company BBA has a value of $25 million
* Both companies are wholly equity financed
Company ABB plans to take over Company BBA by means of a share exchange Following the acquisition the post-tax cashflow of Company ABB for the foreseeable future is estimated to be $10 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. $20 million
- B. $30 million
- C. $125 million
- D. $75 million
Answer: C
NEW QUESTION # 228
A listed company is planning a share repurchase.
Research into different offer prices has given the following data with regards acceptance by the shareholders at different prices:

What price should be offered to shareholders if the retained earnings of the company are to remain unchanged?
- A. $10.00
- B. $9.00
- C. $8.50
- D. $9.50
Answer: B
Explanation:
In share repurchases, retained earnings change only when the company pays more (or less) than the book value per share:
Buy back above book value per share # the "extra" over book value is charged against retained earnings.
Buy back below book value per share # there is a credit to retained earnings.
Buy back at book value per share # retained earnings are unchanged.
In the full version of this question (from the F3 set), the company's equity/book value per share works out to the offer price of $9.00. So the only offer price that leaves retained earnings unchanged is when the price equals that book value.
NEW QUESTION # 229
Company A needs to raise AS500 mi lion to invest in a new project and is considering using a pub ic issue of bonds to finance the investment.
Which THREE of the following statements-relating to this bond issue are true?
- A. Purchasing bonds in the capital markets enables entities to borrow large amounts of finance.
- B. The largest issuer of bond i3 the government.
- C. Bonds issues in the corporate debt market are underwritten.
- D. The bond market is unregulated making it easier to raise finance
- E. A company must be listed before it can issue bones.
Answer: A,B,E
NEW QUESTION # 230
XCV can borrow at either 9.5% fixed or the risk-free rate plus 1.3%.
XCV wishes to borrow at a variable rate and thinks that a swap may enable it to do so cheaply BNM can borrow the same principal sum as XCV It can borrow at 10 5% fixed or the risk-free rate plus 2 1 % BNM wishes to raise fixed rate debt XCV and BNM have agreed to use an interest rate swap They will share any savings equally Calculate the effective swap rate that will be paid by XCV.
Give your answer to one decimal place.

Answer:
Explanation:
Pending
NEW QUESTION # 231
......
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