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Exam Code: Financial-Management
Exam Name: WGU Financial Management VBC1
Updated: Aug 10, 2026
Q & A: 86 Questions and Answers
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| Section | Weight | Objectives |
|---|---|---|
| Capital Budgeting | 10% | - NPV, IRR, payback period, profitability index - Cash flow estimation and project evaluation |
| Risk and Return | 12% | - Beta and Capital Asset Pricing Model - Systematic vs unsystematic risk - Portfolio risk and diversification |
| Capital Structure and Financing | 10% | - Dividend policy and payout decisions - Leverage and cost of capital |
| Financial Markets and Corporate Objectives | 15% | - Types of financial markets and instruments - Goal of the firm: shareholder wealth maximization - Role of financial institutions |
| Valuation of Securities | 15% | - Stock valuation: dividend growth model, CAPM - Cost of capital components - Bond valuation, yield to maturity, risk characteristics |
| Financial Statement Analysis | 20% | - Common-size and trend analysis - Income statement, balance sheet, cash flow statement - Ratio analysis: liquidity, profitability, solvency, efficiency |
| Time Value of Money | 18% | - Present value, future value, annuities, perpetuities - Discounted cash flow valuation - Effective vs nominal interest rates |
1. Using the dividend discount valuation information provided, what is the intrinsic value of the stock ?
A) $52.40
B) $60.00
C) $75.80
D) $66.55
2. A company has just increased its dividend payout ratio.
What effect will this have on the company's sustainable growth rate?
A) The sustainable growth rate will either increase or decrease depending on the result of the change in dividend payouts on the plowback ratio.
B) The sustainable growth rate will increase.
C) The sustainable growth rate will decrease.
D) The sustainable growth rate will remain the same because the increase in the dividend payout ratio will be offset by a decrease in return on equity.
3. How does asset tangibility affect a company's capital structure?
A) By influencing the company's dividend payout ratio
B) By influencing the company's ability to secure debt financing
C) By influencing the company's decision to enter new markets
D) By influencing the company's ability to issue convertible bonds
4. How do financial markets reduce the cost for companies to obtain financing from the sale of equity?
A) By limiting the number of trades per day for each security
B) By reducing the total number of trades that occur
C) By ensuring all trades are made
D) By providing liquidity for securities to be sold
5. What is the usual impact of high asset tangibility on capital structure?
A) Easier access to equity markets due to tangible collateral
B) Higher cost of debt due to increased risk of asset value fluctuation
C) Increased debt capacity due to assets serving as collateral
D) Preference for hybrid securities to leverage tangible assets
Solutions:
| Question # 1 Answer: D | Question # 2 Answer: C | Question # 3 Answer: B | Question # 4 Answer: D | Question # 5 Answer: C |
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