F3 Q&As - in .pdf

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  • Exam Code: F3
  • Exam Name: F3 Financial Strategy
  • Updated: Sep 07, 2026
  • Q & A: 435 Questions and Answers
  • PDF Price: $59.99
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  • Exam Code: F3
  • Exam Name: F3 Financial Strategy
  • Updated: Sep 07, 2026
  • Q & A: 435 Questions and Answers
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  • Exam Code: F3
  • Exam Name: F3 Financial Strategy
  • Updated: Sep 07, 2026
  • Q & A: 435 Questions and Answers
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About CIMA F3 Exam Study Material

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The CIMA F3 exam consists of three main areas of study: financial analysis, financial management, and financial risk management. The financial analysis section focuses on the interpretation of financial statements, ratios, and performance measures. The financial management section covers topics such as capital budgeting, financing, and working capital management. The financial risk management section covers risk identification, assessment, and response.

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CIMA CIMAPRA19-F03-1 exam is a comprehensive test that assesses the candidate's understanding of financial strategy. F3 exam is divided into three sections, each of which has a specific focus. The first section covers financial analysis and planning, which involves analyzing financial data to make informed decisions. The second section focuses on investment appraisal, which involves evaluating potential investment opportunities. The final section covers risk management, which involves identifying and managing potential risks to the business. Overall, the CIMA CIMAPRA19-F03-1 exam is a valuable certification for individuals who want to advance their career in finance and accounting.

Reference: https://planner.cimaglobal.com/proqual/2019/strategic/F3

In the 21st century,we live in a world full of competition. In this industry, the examination is one of the most important tools (F3 cram file) whether we have met the standard to be more professional in this field or not. As a worker, if you want to get the certification (F3 exam cram), there is no doubt that you have to get prepared for exams in order to pass it. Some people may complain that there are too many exams in our lives, and the F3 exam is so complicated for the majority of the CIMA workers, if you are one of those workers who are distracted by the exam, then today is your lucky day, since I will present a remedy for you in this website -- our latest F3 exam practice material. The advantages of our F3 cram file are as follows.

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Passing the CIMA F3 exam requires a lot of preparation, dedication, and hard work. F3 exam is designed to test the candidate’s ability to apply theoretical concepts to real-world business scenarios. Therefore, it is essential to have practical experience in financial management and strategy. Candidates should also have a good understanding of the CIMA Professional Qualification syllabus, including the other exams in the qualification.

CIMA F3 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Sources of Long-term Funds25%- Equity finance
  • 1. Ordinary shares, preference shares, rights issues
  • 2. Flotation and listing methods
- Dividend policy and distribution strategies
- Capital structure theories and WACC
  • 1. Cost of capital calculation
  • 2. Modigliani-Miller propositions
- Debt finance
  • 1. Leasing and sale-and-leaseback
  • 2. Bonds, loans, convertible instruments
Topic 2: Financial Policy Decisions15%- Strategic financial objectives and stakeholder impact
  • 1. Financial objective setting
  • 2. ESG and ethical influences
  • 3. Taxation and regulatory framework
- Interaction between investment, financing and dividend decisions
Topic 3: Business Valuation40%- Mergers, acquisitions and divestments
  • 1. Financing and post-deal integration
  • 2. Valuation of target companies
- Impairment testing and value management
- Investment appraisal
  • 1. NPV, IRR, payback, discounted payback
  • 2. Adjusted present value (APV)
- Valuation methods
  • 1. Discounted cash flow (DCF)
  • 2. Relative valuation: P/E, EV/EBITDA
  • 3. Asset-based valuation
Topic 4: Financial Risks20%- Types of financial risk
  • 1. Credit and liquidity risk
  • 2. Interest rate risk
  • 3. Foreign exchange risk
- Risk measurement and assessment
  • 1. Value-at-Risk, sensitivity analysis
- Risk reporting and governance
- Risk management techniques
  • 1. Hedging strategies
  • 2. Derivatives: futures, forwards, swaps, options

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