WGU Financial Management VBC1 : Financial-Management valid dump

Financial-Management
  • Exam Code: Financial-Management
  • Exam Name: WGU Financial Management VBC1
  • Updated: Aug 16, 2026
  • Q & A: 86 Questions and Answers

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WGU Financial-Management Exam Syllabus Topics:

SectionObjectives
Topic 1: Capital Budgeting- Net present value (NPV)
- Internal rate of return (IRR)
- Payback period analysis
Topic 2: Time Value of Money- Present and future value calculations
- Annuities and perpetuities
Topic 3: Risk and Return- Expected return
- Portfolio risk and diversification
Topic 4: Financial Statement Analysis- Financial ratios
- Cash flow analysis
- Balance sheet and income statement interpretation
Topic 5: Cost of Capital and Valuation- Weighted average cost of capital (WACC)
- Bond and stock valuation basics

WGU Financial Management VBC1 Sample Questions:

1. According to the capital asset pricing model (CAPM), how is a stock with a beta of 1.0 expected to perform relative to the market?

A) It will underperform the market.
B) It will perform opposite of the market.
C) It will outperform the market.
D) It will perform in line with the market.


2. What is the goal of just-in-time (JIT) inventory management?

A) To minimize holding costs by reducing inventory levels
B) To increase the quantity of on-hand inventory
C) To extend the cash conversion cycle
D) To maximize the storage space utilized


3. What is the relationship between the length of the cash cycle and the amount of cash a firm needs to operate?

A) Shorter cash cycles require more cash to handle rapid transactions.
B) A longer cash cycle reduces the need for operational cash due to increased efficiency.
C) The cash cycle length has no impact on operational cash needs.
D) Companies must keep more cash on hand if they maintain a longer cash cycle.


4. How does country risk affect global financial management decisions?

A) It only affects firms with domestic operations facing international competition.
B) It is typically considered irrelevant in financial planning since it is unpredictable.
C) It reduces the complexity of international investments.
D) It necessitates strategies to mitigate potential losses from instability or unfavorable policies.


5. A stock has a dividend per share of $5 and is expected to grow at a constant rate of 3% indefinitely. The required rate of return is 9%.
What is the value of the stock?

A) $57.22
B) $171.67
C) $100.50
D) $85.83


Solutions:

Question # 1
Answer: D
Question # 2
Answer: A
Question # 3
Answer: D
Question # 4
Answer: D
Question # 5
Answer: D

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