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CIMA CIMAPRA19-F03-1 Exam Braindumps - in .pdf Free Demo

  • Exam Code: CIMAPRA19-F03-1
  • Exam Name: F3 Financial Strategy
  • , Last Updated: Aug 13, 2026
  • Q & A: 435 Questions and Answers
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  • Exam Code: CIMAPRA19-F03-1
  • Exam Name: F3 Financial Strategy
  • , Last Updated: Aug 13, 2026
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To prepare for the CIMA F3 exam, candidates should have a good understanding of financial accounting and management principles. They should also have a solid grasp of financial analysis techniques and be able to apply them to real-world scenarios. Candidates should also have a good understanding of corporate finance and be able to analyze investment decisions and risk management strategies.

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CIMA F3 Exam is divided into two sections. The first section assesses the candidate's understanding of financial management concepts such as cost management, pricing strategies, and investment appraisal. The second section focuses on strategic financial management, including topics such as risk management, mergers and acquisitions, and corporate finance. CIMAPRA19-F03-1 exam is designed to test a candidate's ability to apply these concepts in real-world scenarios, making it a challenging test of a candidate's financial management skills.

CIMA CIMAPRA19-F03-1 (F3 Financial Strategy) Certification Exam is an industry-leading certification exam designed for professionals seeking to enhance their financial strategy skills. CIMAPRA19-F03-1 exam aims to test the candidate's ability to develop and implement financial strategies in the context of an organization's overall business objectives. F3 Financial Strategy certification is ideal for professionals working in finance, accounting, and business analysis roles, who are looking to advance their careers in the competitive financial industry.

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CIMA F3 exam is designed for candidates who have already completed the CIMA Certificate in Business Accounting (CIMA BA) and the CIMA Operational Level. It is also recommended that candidates have relevant work experience in finance or accounting to ensure they have a practical understanding of the concepts covered in the exam. CIMAPRA19-F03-1 exam is computer-based and consists of 90 multiple-choice questions that must be completed within three hours.

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

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CIMA CIMAPRA19-F03-1 Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Sources of Long-Term Finance25%- Equity finance
  • 1. Types of equity and issue methods
    • 2. Cost of equity and capital structure theories
      - 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
              Topic 2: Business Valuation20%- Pricing and negotiation
              • 1. Post-transaction value creation
                • 2. Determining offer price and terms
                  - Valuation methods
                  • 1. Relative valuation and market multiples
                    • 2. Asset-based, earnings-based, cash flow-based
                      - Valuation concepts and purposes
                      • 1. Valuation for mergers, acquisitions, and disposals
                        • 2. Valuation for listing or equity issuance
                          Topic 3: Investment Appraisal and Decisions25%- Advanced investment appraisal techniques
                          • 1. Discounted cash flow, NPV, IRR, MIRR
                            • 2. Adjusted present value and real options
                              - Risk analysis in investment decisions
                              • 1. Sensitivity, scenario, and simulation analysis
                                • 2. Cost of capital estimation and adjustment
                                  Topic 4: Financial Policy Decisions15%- Strategic financial objectives and governance
                                  • 1. Agency theory and stakeholder interests
                                    • 2. Role of financial strategy in overall corporate strategy
                                      - Dividend and distribution policy
                                      • 1. Practical considerations and constraints
                                        • 2. Theories of dividend relevance
                                          Topic 5: Financial Risk Management15%- Types and sources of financial risk
                                          • 1. Interest rate, foreign exchange, commodity risk
                                            • 2. Credit and liquidity risk
                                              - Risk mitigation and hedging strategies
                                              • 1. Internal controls and risk policy frameworks
                                                • 2. Use of derivatives: forwards, futures, swaps, options
                                                  - Risk measurement and assessment
                                                  • 1. Value-at-Risk, duration, gap analysis

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