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Observation on May 2022 SFM Paper: -No Questions were asked f | CA Final SFM Registered Students Done Class Under Old Syllabus

Observation on May 2022 SFM Paper:

-No Questions were asked from VOS-Equity/Bond/PSC/Right Share/Buyback/Futures/Currency F&O/Commodity Futures
Risk Management Practicals/Money Market Operation/Interest Rate Futures/EVA

-Aaditya Jain Sir Registered students can easily score 80% marks ; if students had revised well they can also score
more than 90%

-Question Paper : https://bit.ly/3Mpth34

-EVALUATION OF EXAM QUESTION WITH BOOK QUESTION OF AADITYA JAIN SIR MATERIAL

Q.1(A) FOREIGN EXCHANGE BOOK QUESTION NUMBER 21A
Q.1(B) OPTION DERIVATIVE BOOK QUESTION NUMBER 11B
Q.1(C) THEORY (INTEREST RATE RISK MANAGEMENT) (NOT COVERED)

Q.2(A) MUTUAL FUND BOOK QUESTION NUMBER 20
Q.2(B) CORPORATE VALUATION BOOK QUESTION NUMBER 6
Q.2(C) THEORY (INTERNATIONAL FINANCIAL MANAGEMENT) (NOT COVERED)

Q.3(A) INTERNATIONAL FINANCIAL MANAGEMENT QUESTION NUMBER 4A
Q.3(B) PORTFOLIO MANAGEMENT QUESTION NUMBER 32A
Q.3(C)THEORY(Financial Policy and Corporate Strategy) covered in theory book

Q.4(A) CORPORATE VALUATION QUESTION NUMBER 5
Q.4(B) MUTUAL FUND BOOK QUESTION NUMBER 8 (SIMILAR)
Q.4(C) THEORY (SECURITIZATION) covered in theory book

Q.5(A) MERGER & ACQUISITION QUESTION NUMBER 5A (SIMILAR)
Q.5(B) MISCELLANEOUS QUESTION NUMBER 4A
Q.5(C) THEORY (RISK MANAGEMENT) covered in theory book

Q.6(A) PORTFOLIO MANAGEMENT QUESTION NUMBER 1C
Q.6(B) INTEREST RATE RISK MANAGEMENT QUESTION NUMBER 9A
Q.6(C) THEORY(STARTUP FINANCE) covered in theory book