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