Investment Strategies

Canadian Securities Administrators (CSA): Harmonizing Securities Regulation in Canada
Explore the role, mission, and initiatives of the Canadian Securities Administrators (CSA) in harmonizing securities regulation across Canada. Understand the development of national policies and their significance in the Canadian financial landscape.
Interest on Bonds: Understanding Interest Payments in Fixed-Income Securities
Explore how interest payments work for bonds, including semi-annual coupon payments, fixed-rate, floating-rate, and step-up bonds, and index-linked notes. Learn about their impact on bond valuation and investment strategies.
Bond Yields: Understanding Nominal, Current, and Yield to Maturity
Explore the intricacies of bond yields, including nominal yield, current yield, and yield to maturity, and their significance in assessing bond investments within the Canadian financial landscape.
Liquidity, Negotiability, and Marketability in Fixed-Income Securities
Explore the critical concepts of liquidity, negotiability, and marketability in the context of fixed-income securities, focusing on their impact on bond trading and investment strategies within the Canadian financial market.
Stock Dividend Reinvestment Plans: Maximizing Returns through DRIPs
Explore the benefits, workings, and tax implications of Stock Dividend Reinvestment Plans (DRIPs) in Canada, enhancing your investment strategy with practical insights and resources.
Retractable Preferred Shares: Flexibility and Investment Strategies
Explore the unique features and benefits of retractable preferred shares, a versatile investment option in the Canadian market. Learn how they compare to other preferred shares and their role in portfolio diversification.
On-Stop Sell Orders: Understanding Stop Loss Orders in Canadian Markets
Explore the mechanics, purpose, and regulations of on-stop sell orders, also known as stop loss orders, within the Canadian financial markets, including TSX and TSX Venture Exchange.
Long Positions and Short Positions: Understanding Equity Transactions
Explore the intricacies of long and short positions in equity transactions, including initiation, closure, and the impact of market movements. Learn how these strategies apply within the Canadian financial landscape.
Risks of Short Selling in Equity Transactions
Explore the inherent risks of short selling, including borrowing difficulties, margin requirements, and market volatility, within the Canadian financial landscape.
Conclusion of Chapter 22: Mastering Managed Products in Canadian Finance
Explore the unique features, regulations, and strategic uses of managed products like segregated funds, LSVCCs, closed-end funds, income trusts, and private equity in Canadian finance.
Structured Products: An In-Depth Overview for Canadian Investors
Explore the world of structured products, their benefits, risks, and types, including principal-protected notes and asset-backed securities, within the Canadian financial landscape.
Economics in Financial Markets: An Overview of Chapter 4
Explore the fundamental concepts of economics, their significance in financial markets, and how they influence investment decisions. Understand the distinction between microeconomics and macroeconomics, economic growth measurement, and key economic indicators.
Canadian Regulatory Environment: Key Insights and Roles
Explore the Canadian regulatory environment, focusing on the roles of provincial regulators, SROs, and investor protection funds. Understand principles-based regulation and ethical standards in maintaining market integrity.

Securities Exams Mastery (Canada)

Canadian Securities Mock Exams & Expert Guides