Stocks Securities Valuation Derivatives Budget Forecasting Net worth Inflation Insurance Liabilities Bonds Dividend Yield Solvency Portfolio Capital Amortization Depreciation Hedge Liquidity Market cap Margin Exchange rate Deflation Collateral Treasury Loss Profit Principal Debt Assets Credit Futures Annuity Return Equity Index Leverage Bankruptcy Cash Revenue Working capital Mutual funds Risk Options Break- even Investment Expenses Cash flow Interest Stocks Securities Valuation Derivatives Budget Forecasting Net worth Inflation Insurance Liabilities Bonds Dividend Yield Solvency Portfolio Capital Amortization Depreciation Hedge Liquidity Market cap Margin Exchange rate Deflation Collateral Treasury Loss Profit Principal Debt Assets Credit Futures Annuity Return Equity Index Leverage Bankruptcy Cash Revenue Working capital Mutual funds Risk Options Break- even Investment Expenses Cash flow Interest
(Print) Use this randomly generated list as your call list when playing the game. Place some kind of mark (like an X, a checkmark, a dot, tally mark, etc) on each cell as you announce it, to keep track. You can also cut out each item, place them in a bag and pull words from the bag.
I-Stocks
B-Securities
I-Valuation
N-Derivatives
N-Budget
B-Forecasting
N-Net worth
B-Inflation
N-Insurance
I-Liabilities
B-Bonds
O-Dividend
I-Yield
O-Solvency
O-Portfolio
I-Capital
O-Amortization
G-Depreciation
I-Hedge
G-Liquidity
N-Market cap
B-Margin
O-Exchange rate
I-Deflation
G-Collateral
B-Treasury
I-Loss
B-Profit
B-Principal
N-Debt
B-Assets
I-Credit
G-Futures
I-Annuity
G-Return
N-Equity
G-Index
O-Leverage
O-Bankruptcy
G-Cash
G-Revenue
G-Working capital
N-Mutual funds
N-Risk
O-Options
O-Break-even
G-Investment
O-Expenses
N-Cash flow
B-Interest