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WGU Financial-Management Exam Syllabus Topics:
| Section | Objectives |
|---|---|
| Topic 1: Financial Management Concepts | - Financial Markets and Institutions
|
| Topic 2: Time Value of Money | - Bond and Stock Valuation
|
| Topic 3: Cost of Capital and Capital Structure | - Cost of Capital
|
| Topic 4: Capital Budgeting | - Cash Flow Estimation
|
| Topic 5: Working Capital Management | - Current Liabilities Management
|
| Topic 6: Financial Statement Analysis | - Ratio Analysis
|
WGU Financial Management VBC1 Sample Questions:
Question 1
What are opportunity costs in the context of inventory management?
A. Costs for the labor involved in managing inventory levels
B. Costs related to the insurance of inventory against loss or damage
C. Costs of not investing capital tied up in inventory elsewhere
D. Costs incurred from the physical space used to store inventory
Question 2
What is the effect of exchange rate fluctuations on multinational corporations' financial management?
A. They make currency risk less important because financial planning is done in dollars.
B. They necessitate the use of hedging strategies to mitigate the impact of currency fluctuations.
C. They stabilize international investment returns across countries.
D. They decrease the complexity of financial reporting and analysis.
Question 3
How do financial markets reduce the cost for companies to obtain financing from the sale of equity?
A. By providing liquidity for securities to be sold
B. By reducing the total number of trades that occur
C. By ensuring all trades are made
D. By limiting the number of trades per day for each security
Question 4
Kretsmart anticipates its sales will grow by 10% each year for the next two years . Information from the company's current income statement is given below, and Cost of Goods Sold (COGS) is assumed to be a spontaneous account .
What would the company's projected gross margin for Year 2 ?
A. $71.25
B. $66.55
C. $59.45
D. $76.00
Question 5
What is an advantage of using the Gordon growth model to estimate the cost of common equity?
A. It measures the systematic risk of the company.
B. It incorporates future dividend growth expectations.
C. It considers historical stock performance.
D. It calculates the impact of beta on stock returns.
Solutions:
| Question 1 Answer: C | Question 2 Answer: B | Question 3 Answer: A | Question 4 Answer: B | Question 5 Answer: B |


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