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