The document shows the average ranks and marks of students across various finance topics in different exam periods from May 2018 to November 2019. Security Valuation, Foreign Exchange & Risk Management, and Merger, Acquisitions and Corporate Restructuring were the top three topics with average marks of 14, 14, and 13 respectively. These topics fall under category A. Topics like International Financial Management, Chapters not in Syllabus, Securitization, Interest Rate Risk Management and Startup Finance had average marks between 5-7 and fall under category B. Risk Management, Security Analysis, and Financial Policy & Corporate Strategy had average marks below 5 and fall under category C.
The document shows the average ranks and marks of students across various finance topics in different exam periods from May 2018 to November 2019. Security Valuation, Foreign Exchange & Risk Management, and Merger, Acquisitions and Corporate Restructuring were the top three topics with average marks of 14, 14, and 13 respectively. These topics fall under category A. Topics like International Financial Management, Chapters not in Syllabus, Securitization, Interest Rate Risk Management and Startup Finance had average marks between 5-7 and fall under category B. Risk Management, Security Analysis, and Financial Policy & Corporate Strategy had average marks below 5 and fall under category C.
Original Description:
Sfm Final
Original Title
CA FINAL SFM (NEW) CHAPTERWISE ABC & MARKS ANALYSIS - CA RAVI AGARWAL
The document shows the average ranks and marks of students across various finance topics in different exam periods from May 2018 to November 2019. Security Valuation, Foreign Exchange & Risk Management, and Merger, Acquisitions and Corporate Restructuring were the top three topics with average marks of 14, 14, and 13 respectively. These topics fall under category A. Topics like International Financial Management, Chapters not in Syllabus, Securitization, Interest Rate Risk Management and Startup Finance had average marks between 5-7 and fall under category B. Risk Management, Security Analysis, and Financial Policy & Corporate Strategy had average marks below 5 and fall under category C.
The document shows the average ranks and marks of students across various finance topics in different exam periods from May 2018 to November 2019. Security Valuation, Foreign Exchange & Risk Management, and Merger, Acquisitions and Corporate Restructuring were the top three topics with average marks of 14, 14, and 13 respectively. These topics fall under category A. Topics like International Financial Management, Chapters not in Syllabus, Securitization, Interest Rate Risk Management and Startup Finance had average marks between 5-7 and fall under category B. Risk Management, Security Analysis, and Financial Policy & Corporate Strategy had average marks below 5 and fall under category C.