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