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