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