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