ACCA-FM-各章節考試重點及刷題指南-Part F&G
Part F business valuation
本章考察Section A&B;其中Section B必考一題;考試分值為15分左右
考試重難點
1. 無效的市場,弱勢有效市場,半強勢有效市場,強勢有效市場的區分-重點
2. Noise traders (噪音交易者);Herding (羊群效應);Bubble (泡沫);Loss aversion (損失厭惡);Momentum effect (動量效應)概念區分
3. 股權估值的方:Asset basis(Net asset value basis);Income(or earnings)basis;P/E ratio method;Earning yield method;cash flow basis;
4. 債券估值的不同方法-會計算
Part G risk management
本章考察Section A&B選擇題;必考一道Section B 10分題目;考試分值為15分左右,本章理解起來較難,金融知識較多,但是不要放棄本章學習,本章考試難度不大,會計算會區分各種工具
考試重難點
1. Exchange rate risk management basics (what)
2. 固定匯率和浮動匯率
3. Spot and forward exchange rate
4. PPPT和IRPT理論和計算方法掌握
5. 費雪理論和預期理論掌握,以及四因素平衡理論掌握
6. 經濟風險,報表轉換風險,交易風險概念區分
7. Internal methods managing transaction risk:Invoice in home currency;Leading and lagging
Matching&Netting
8. External methods managing transaction risk:Money market hedge;Forward contract;會計算和區分,衍生品Future ?Option;Swap會判斷方向
9. 利率風險和基差風險的概念
10. Expectation theory&Liquidity preference theory - (always pushes upward) &Market segmentation and preferred habitat theory概念會區分
11. Internal methods managing interest rate risk:Matching;Smoothing;Asset and liability management
12. External methods managing interest rate risk:Over the counter methods:Forward rate agreement;Interest rate guarantees (IRGS);Interest rate collar
13. Exchange traded instruments:Interest rate futures ;Interest rate option on futures;Interest rate swap







