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