在f9的考试中,section a的考点覆盖了正本书的内容,因此,考生应该全面地复习和掌握f9中相关的知识点。但是关于section b和section c的考点,则相对有规律可循。正如大家所了解的一样,section b由三道选择题构成,section c由两道大题构成,因此,这五道题目分别来自课本中的part c, part d, part e, part f, part g.
下面,小编就对这五章的重要的考点进行总结和归纳,希望对大家3月份的考试会有所帮助。
part c working capital management
关于这一章的内容,在历年考题中主要考查的内容是:
1.account receivables management ( early settlement discount & factoring )
2.inventories management ( eoq )
3.payable management
4.cash management ( baumol model & miller-orr model)
5.the cash operating cycle and related ratios
关于以上的知识点,凯发登录网址主页君为您们总结了以下的经典考题,即使你时间紧迫,也希望你可以刷完这些题目;
● 2013.12 q3 (考点:inventory management& early settlement discount & invoice discounting & factoring)
● 2014.6 q2 (考点:1/working capital cycle 2/quick ratio& sales to net working capital 3/current asset & liabilities &working capital financing policy)
● 2014.12.q1(考点:cash management/cash surplus)
●2015.12.q3(考点:early settlement discount/risk of foreign account receivables)
此外,泽稷小编还需要提醒广大考生:近期有一篇关于working capital management的文章,同学们一定要阅读哟!随后我们也将会在泽稷acca考友论坛推出这篇文章的中文解读版本,希望同学们可以持续关注哟!
预测:在2016年9月份的考试中,本章已经在section c中以一道大题的形式考查过trade receivables/trade payables/inventory management. 所以小编觉得:在今年3月份的考试中,这一部分的内容应该会以section b 的形式考查,并且重点关注cash operating cycles/ cash management /relevant accounting ratio.
part d investment appraisal
关于这一章的内容,在历年考题中主要考查的内容是:
1.npv (inflation & taxation & relevant cash flow )
2.lease or buy
3.payback period & roce
4.capital rationing
5.sensitivity analysis & profitability analysis
关于以上的知识点,小编为您们总结了以下的经典考题,即使你时间紧迫,也希望你可以刷完这些题目;
● 2015.6 q5(考点:npv (inflation and taxation) & sensitivity analysis and risk)
● 2015.12.q5 (考点:asset replacement & capital rationing)
● 2016.09 section b-3 (考点:payback period & roce )
预测:在去年12月份,本章考查的是payback period and roce, 所以小编觉得在今年三月的考试中,大家应该把重点放在npv/sensitivity analysis/capital rationing/profitability analysis)
part e business finance
关于这一章的内容,在历年考题中主要考查的内容是:
1.计算 cost of debt/cost of equity (capm model & dividend growth model)
2.5. capm model (systematic risk and unsystematic risk)
3.计算cost of capital by using wacc/ project-specific cost of equity
4. discuss the factors to be considered when chose sources of finance
5.不同融资方式的特点,such as islamic finance/ right issues/issue traded bonds/venture capital / leasing and so on)
6. capital structure theories/ the change of capital structure on the cost of capital and business valuation)
历年经典考题总结
2016.06 q4 (考点:1/计算the cost of capital by using wacc 2/讨论source of finance 与creditor hierarchy之间的关系 3/讨论the difference between islamic finance and other conventional finance).
2014.06 q3(考点:1/wacc & cost of equity 2/systematic and unsystematic risk in relation to portfolio theory and capm 3/market efficiency)
2013.06 q4(考点:discuss the factors to be considered when chose sources of finance/the effect on eps of raising finance by a stock market listing /the effect on eps and interest cover of issuing new debt.)
2013.12 q2(考点:1/ cost of equity (dividend growth model) 2/ the cost of capital by using wacc 3/project-specific cost of equity 4/discuss whether the change of capital structure can lead to a reduction in cost of capital and an increase in company valuation)
预测:在2016年9月的考题中,该章节的内容并没有在section 2 和 section 3中单独考查,但是作为f9大纲中非常重要的一块内容,小编建议你认真复习,因为这一考点很有可能在今年3月的考试中以大题的形式单独考查。
part f business valuation
关于这一章的内容,在历年考题中主要考查的内容是:
1.mv of equity (dividend growth model/net asset method/earning yield method)
2.mv of debt
3.market efficiency
历年考题总结
2016.09 section b-q2 (考点:business valuation (dividend growth model)& mv of debt/market efficiency)
2014.12 q2 (考点:1/mv of convertible loan 2/share price using p/e ratio)
预测:计算mv of equity or debt / 讨论有关market efficiency的相关概念。
part g risk management
关于这一章的内容,在历年考题中主要考查的内容是:
1.foreign currency risk
(foreign currency risk management including: forward exchange contracts/ money market borrowing or lending / lead payments)
2.interest rate risk
(interest rate risk management including: asset and liability management/ matching and smoothing/ forward rate agreement)
历年考题总结
2015.06 q1 (考点:1/评价money market hedge vs forward market hedge 2/explain why forward rate manage interest rate risk)
2016.06.q2 (考点:1/identify and discuss the different interest rate risk face 2/讨论以下 pre-denominated interest payment in six month’s time所面临的风险及怎样规避)
预测:2016年9月份关于本章内容,考查的是currency risk management, so 小编觉得今年3月份很有可能会考查interest rate risk management的内容,但是也并不意味着就不考有关interest rate risk management的知识点了,所以同学们千万不可以掉以轻心哟!