Strategic Financial Management | CRACKER is a meticulously curated exam companion for CMA Final students preparing for Group III – Paper 14. This Edition is designed to ensure comprehensive mastery of strategic financial management, combining the rigour of solved past examination questions (up to June 2025) with a sharp, exam-focused approach. With a unique blend of analytical insights, module-wise mapping, and step-by-step solutions, this book bridges the gap between conceptual depth and exam performance—making it an indispensable resource for aspirants targeting top scores in SFM.
The Present Publication is the 1st Edition for the Dec. 2025/June 2026 Exams. This book is authored by CA. Tarun Agarwal, with the following noteworthy features:
- [Complete Coverage of Past Exam Papers]
- Fully solved questions from all CMA Final SFM exams up to June 2025
- Step-by-step, examiner-style solutions for clarity and scoring alignment
- [Module-wise Marks Distribution & Trend Analysis]
- Detailed breakdown of marks allocation across modules and years (2023–2025)
- Analysis of high-weightage and recurring topics to guide your preparation focus
- [Tabular Summaries & Chapter Snapshots] Every chapter begins with a concise tabular overview, ideal for quick revision and retention
- [Module-wise Comparison with CMA Study Material]
- Direct, side-by-side mapping with the official CMA Study Material
- Ensures you leave no topic uncovered
- [Up-to-date with Latest Syllabus and Trends] Aligned with Syllabus 2022, reflecting all recent updates and examination patterns
- [Section-wise Arrangement] Logical, module-based structure for effortless navigation and targeted study
- [Marks-driven Approach] Insights from trend analysis empower students to prioritise their study time for maximum impact
- [Conceptual Clarity & Practical Understanding] Clear explanations, solved numericals, and examiner-oriented presentation foster strong understanding and confident performance
- [Ideal for Self-study] Systematic layout and solved-paper methodology make it perfect for guided or independent preparation
- [Expert Authorship] Authored by CA. Tarun Agarwal, acclaimed for his result-oriented teaching style and expertise in finance
- [Perfect for Last-minute Revision] Crisp summaries and quick-reference tables enable high-speed revision before the exam
- [Saves Valuable Time] Marks-driven focus and modular analysis help students optimise their study plan for maximum results
The book covers the entire CMA Final (Group III – Paper 14) syllabus as per Syllabus 2022, systematically divided into seventeen modules, including:
- Investment Decisions, Project Planning & Control
- Evaluation of Risky Proposals for Investment Decisions
- Leasing Decisions
- Securitisation
- Security Analysis and Portfolio Management
- Equity and Bond Valuation, Performance Evaluation
- Mutual Funds
- Portfolio Theory and Practice
- Asset Pricing Theories
- Portfolio Performance Evaluation and Revision
- Efficient Market Hypothesis
- Risks in Financial Markets
- Financial Derivatives—Instruments for Risk Management
- The International Financial Environment
- Foreign Exchange Market
- Foreign Exchange Risk Management
- Digital Finance
- Each module features:
- Module-wise marks distribution and trend analysis
- Complete mapping with CMA Study Material
- Step-wise answers in a Q&A format
The structure of the book is as follows:
- Modular Layout – Chapters are meticulously arranged as per the latest CMA syllabus, ensuring precise and complete coverage
- Introductory Tabular Summaries – Each chapter opens with a summary table for instant concept recall
- Trend Analysis & Exam Pattern Mapping – Includes year-wise, module-wise, and chapter-wise trend charts for the 2023–2025 exams
- Question & Answer Format – All answers are written in a structured, examiner-friendly manner for easy comprehension
- Comparison Tables – Each module includes a direct comparison with the corresponding CMA study material, ensuring 100% syllabus coverage
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