Expenses Depreciation Risk Market cap Loss Forecasting Exchange rate Collateral Return Dividend Deflation Futures Equity Annuity Stocks Bonds Revenue Bankruptcy Net worth Securities Inflation Mutual funds Yield Budget Debt Principal Treasury Insurance Profit Capital Credit Hedge Investment Derivatives Interest Valuation Working capital Break- even Margin Cash flow Liquidity Amortization Leverage Portfolio Assets Solvency Liabilities Cash Options Index Expenses Depreciation Risk Market cap Loss Forecasting Exchange rate Collateral Return Dividend Deflation Futures Equity Annuity Stocks Bonds Revenue Bankruptcy Net worth Securities Inflation Mutual funds Yield Budget Debt Principal Treasury Insurance Profit Capital Credit Hedge Investment Derivatives Interest Valuation Working capital Break- even Margin Cash flow Liquidity Amortization Leverage Portfolio Assets Solvency Liabilities Cash Options Index
(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.
O-Expenses
G-Depreciation
N-Risk
N-Market cap
I-Loss
B-Forecasting
O-Exchange rate
G-Collateral
G-Return
O-Dividend
I-Deflation
G-Futures
N-Equity
I-Annuity
I-Stocks
B-Bonds
G-Revenue
O-Bankruptcy
N-Net worth
B-Securities
B-Inflation
N-Mutual funds
I-Yield
N-Budget
N-Debt
B-Principal
B-Treasury
N-Insurance
B-Profit
I-Capital
I-Credit
I-Hedge
G-Investment
N-Derivatives
B-Interest
I-Valuation
G-Working capital
O-Break-even
B-Margin
N-Cash flow
G-Liquidity
O-Amortization
O-Leverage
O-Portfolio
B-Assets
O-Solvency
I-Liabilities
G-Cash
O-Options
G-Index