Discover in-depth strategies for evaluating Canadian equities using fundamental and technical analysis, complete with practical case studies, regulatory guidance, and real-world market applications.
Learn how macroeconomic factors such as GDP, interest rates, and inflation influence Canadian equity markets, guiding sector rotation and investment decisions.
Uncover how to evaluate an industry’s life cycle, competitiveness, and regulatory environment, and master the frameworks and metrics essential for informed investment decisions in Canadian markets.
Learn how technical analysis leverages historical price and volume data to forecast market trends through charts, indicators, and practical examples in the Canadian context.