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CMA EXAM REVIEW: (PART 2) FINANCIAL DECISION MAKING Back What's New Here?
Long-Term Finance
 

This module, which contains questions and answers regarding CMA Long-Term Finance and other important topics, is just one of the proven integral parts of our CMA Exam review system. Get the CMA exam preparation you need.

Hundreds of ready-made flashcards…complete, comprehensive and current!The CMA flashcards are specifically designed according to the new CMA exam content specifications. Each of the flashcard packs features individual cards with questions on the front and answers on the back. You will have access to a quick, simple and practical method to commit the right facts to memory.

If you're looking for the best CMA exam review system -- don't look any further. This is virtually the most effective method to let you review and prepare for the CMA Exam. We are so confident about the superiority and value of our system compared to the competition, we are willing to offer a 100% satisfaction guarantee.

These flashcards will cover these topics:

Long-Term Finance (44)

A. Optimum Capital Structure (8) – financial ratios to evaluate a capital structure, activity ratios, leverage ratios, profitability ratios, per share ratios, nominal price change vs. real price change, real rate of interest vs. nominal rate of interest, structure of interest rates.

B. Cost of Capital (15) – financial structure, leverage, degree of financial leverage vs. degree of operating leverage vs. degree of total leverage, cost of capital, optimal capital structure, capital asset pricing model, required rate of return on equity capital, marginal cost of capital vs. marginal efficiency of investment, imputed cost, cost of equity capital, coefficient of variation, standard deviation, tax rates and cost of capital, cost of debt financing.

C. Financial Instruments  (15) – primary market, process of bringing new security to market, common stock, preferred stock, bonds, preemptive rights, stock warrants, detachable vs. nondetachable warrants, provisions of preferred stock issues, types of bonds, contractual clauses, zero-coupon bonds, junk bonds, international bonds, employee stock ownership plans, dividend reinvestment plans, intermediate-term financing, maturity matching, foreign bonds, Eurobonds, tender offer, green mail, common defenses against a takeover.

D. Dividend Policy (6) – treasury stock, stock dividend, stock split, residual theory of dividends, signaling hypothesis, influences on corporate dividend policy.
 
 
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