Analysis of may-2013 sfm paper....

Final 3232 views 3 replies

 

Analysis of CA Final SFM Paper (May-2013):

- Question paper was little bit difficult. More than 50 % questions need conceptual clarity.

- No question from Portfolio, Leasing, Value of business and Miscellaneous.

- 13 Marks questions was from OTC Derivative. Both questions solved in class.

- Out of 100 Marks Practical questions:

80 M  Concepts with questions covered in class.

15 M  Concepts covered, questions not covered in our Modules

5 M  Not covered in class (Real option in capital budgeting)

 

Chapter

Coverage

(Marks)

Questions Reference

2. Forex (5M)

5

Q No. -4C

3. Bond Valuation (6 M)

6

Q No.-18A

4. Derivative (8 M)

8

Q No-21C

5. Mutual Fund (18 M)

10

Q No.-1D

 

8

-Concept covered

-Simple but New Question

-Based on NAV and Return concept

6. Dividend Decision

(14 M)

6

Q No.- 1G

8

Q No.-5V

7. Merger (13 M)

5

Simple based on concept of Q-12 (iii)

8

Q No.-4

8. Portfolio (0 M)

0

 

9. OTC Derivative (13 M)

8

Q No.-2A

 

5

Q No.-10A

10. Leasing Decision (0M)

0

 

11. Value of Business (0M)

0

 

12. Capital Budgeting (23M)

8

Q No. -4E

 

10

-Concept covered - Question New

-Multinational Cap Budgeting

 

5

-Concept not covered in class

-Real option in Capital budgeting

13. Miscellaneous (0 M)

0

 

Theory (16 M)

16

 

Total Marks

116

 

 

Replies (3)

quest. 4 (b) of Mutual funds is new but similar ques. has been already covered in Parveen Sharma Classes of Financial Reporting as Mutual Funds topic is also there in the subject

pls provide sfm solution as soon as possible


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