IMA CMA-Strategic-Financial-Management Exam : CMA Part 2: Strategic Financial Management Exam

CMA-Strategic-Financial-Management
  • Exam Code: CMA-Strategic-Financial-Management
  • Exam Name: CMA Part 2: Strategic Financial Management Exam
  • Updated: Oct 05, 2026
  • Q & A: 125 Questions and Answers

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IMA CMA-Strategic-Financial-Management Exam Syllabus Topics:

SectionWeightObjectives
Topic 1: Business Decision Analysis25%- Cost-volume-profit analysis
  • 1. Pricing decisions: market-based and cost-based
    • 2. Marginal analysis and relevant costs
      • 3. Decision-making under risk
        • 4. Risk analysis and uncertainty
          Topic 2: Corporate Finance20%- Risk and return
          • 1. Working capital management
            • 2. Types of risk and return measurement
              • 3. Capital structure and optimal financing
                • 4. Cost of capital: debt, equity, WACC
                  • 5. Raising capital and dividend policy
                    Topic 3: Financial Statement Analysis20%- Basic financial statement analysis
                    • 1. Common-size and common-base year statements
                      • 2. GAAP vs IFRS differences
                        • 3. Financial ratios: liquidity, leverage, activity, profitability
                          • 4. Earnings quality and quality of financial reporting
                            Topic 4: Capital Investment Decisions10%- Capital budgeting process
                            • 1. Discounted cash flow techniques: NPV, IRR, payback
                              • 2. Project risk and sensitivity analysis
                                • 3. Real options and valuation
                                  Topic 5: Professional Ethics15%- IMA Statement of Ethical Professional Practice
                                  • 1. Ethical principles and standards
                                    • 2. Corporate responsibility and governance
                                      • 3. Resolution of ethical conflict
                                        Topic 6: Enterprise Risk Management10%- Risk identification and classification
                                        • 1. Risk assessment and mitigation strategies
                                          • 2. Types of business risk: financial, operational, legal, strategic
                                            • 3. ERM framework and governance

                                              IMA CMA Part 2: Strategic Financial Management Sample Questions:

                                              Question #1

                                              A company plans to purchase equipment for $110 000. The equipment is expected to generate an annual cash flow o( $44 500 (of the next three years The company has a predetermined hurdle rate of 9% Using the internal rate of return (IRR). should the company purchase this equipment?

                                              • A. Yes, the IRR is less than the hurdle rate
                                              • B. No, the IRR is less than the hurdle rate
                                              • C. No, the IRR is greater than the hurdle rate
                                              • D. Yes, the IRR is greater than the hurdle rate
                                              Reveal Solution  Discussion  0

                                              Correct Answer: D  🗳️

                                              Question #2

                                              Slam-Dunk Shoes has 5,000 pairs or damaged shoes in inventory. The cost of these shoes was $51,000. in their present condition, the shoes may be sold at clearance prices for $29,000 Slam-Dunk can have the shoes repaired at a cost of $77,000 after which they can be sold for $100,000. What is the opportunity cost of selling the shoes in their present damaged condition?

                                              • A. $71.000
                                              • B. $23.000
                                              • C. $77, 000
                                              • D. $100, 000
                                              Reveal Solution  Discussion  0

                                              Correct Answer: B  🗳️

                                              Question #3

                                              Given the financial information shown below, what amounts would be shown for sales revenue and for gross prom, respectively in a common size income statement?

                                              • A. 100% and 55%
                                              • B. 222% and 225$
                                              • C. 100% and 20%
                                              • D. 100% and 45%
                                              Reveal Solution  Discussion  0

                                              Correct Answer: D  🗳️

                                              Question #4

                                              It is possible to eliminate risk in a two-stock portfolio of common stocks if

                                              • A. there perfect positive correlation between the stocks
                                              • B. there is no correlation between the stocks.
                                              • C. the two stocks have equal positive beta coefficients
                                              • D. there is perfect negative correlation between the stocks
                                              Reveal Solution  Discussion  0

                                              Correct Answer: D  🗳️

                                              Question #5

                                              Which one of the following statements regarding portfolio diversification is not correct?

                                              • A. A well diversified portfolio can minimize unsystematic risk
                                              • B. A well diversified portfolio should include individual stock investments having a balance of positive and negative betas.
                                              • C. The standard deviation of a well diversified portfolio's percentage returns should be approximately equal to the standard deviation of the entire stock market's percentage returns.
                                              • D. A well diversified portfolio can eliminate systematic risk.
                                              Reveal Solution  Discussion  0

                                              Correct Answer: D  🗳️

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