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