Explore the intricacies of voting rights and shareholder meetings, focusing on the role of common shareholders in corporate governance, the significance of annual meetings, and the process of proxy voting within the Canadian financial landscape.
Explore the key learning objectives of fundamental and technical analysis, including the impact of fiscal and monetary policies, inflation, and industry classifications on investment strategies.
Explore the fundamentals of company analysis, its role in investment decisions, and how it integrates with macroeconomic and industry analysis. Learn about intrinsic value, liquidity, and the importance of independent judgment in identifying risks.
Explore the criteria for evaluating preferred share investment quality, including dividend coverage, equity cushion, and credit assessment, with practical examples and resources.
Explore the complexities of investment risk, focusing on volatility and drawdown, and understand their application in both traditional and alternative investment strategies within the Canadian financial landscape.
Explore the structure of segregated funds, their legal framework, key parties involved, and their role in Canadian financial planning. Learn about notional units, registered plans, and more.
Explore the four main types of income in Canada: employment, business, property, and capital gains. Understand their taxation and reporting requirements.
Explore how coupon rates affect bond price volatility, comparing high and low-coupon bonds, and understanding their sensitivity to interest rate changes within the Canadian financial context.
Explore key terms and concepts in Canadian taxation, including capital gains, RRSPs, TFSAs, and more, essential for the CSC® Exam Prep Guide: Volume 2.