Test Bank for Fundamentals of Investing 1st Canadian Edition By Chad Zutter, Vijay Vishwakarma, Ayse Yuce
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About this ebook
The Test Bank for 1st Canadian Edition of Fundamentals of Investing by Chad Zutter, Vijay Vishwakarma, Scott B. Smart, and Ayşe Yüce is structured across 15 core chapters. The textbook adapts standard investment theory specifically for the Canadian landscape, covering local tax structures, regulations, and market characteristics. [1, 2]
🗒 Detailed Chapter & Topic Breakdown
Part 1: Preparing to Invest
- Chapter 1: The Investment Environment – Core types of investment vehicles, investment processes, and global vs. domestic opportunities. []
- Chapter 2: Securities Markets and Transactions – Overview of primary and secondary exchanges, margin trading, short selling, and the Canadian regulatory environment. [1]
- Chapter 3: Investment Information and Securities Transactions – Navigating financial information tools, assessing market indices, and executing trades via brokers.
Part 2: Important Conceptual Tools
- Chapter 4: Return and Risk – Measuring historical and expected returns, understanding types of investment risk, and the risk-return trade-off. [1, 2]
- Chapter 5: Modern Portfolio Concepts – Diversification, portfolio beta, capital asset pricing model (CAPM), and basic asset allocation strategies.
Part 3: Investing in Common Stocks
- Chapter 6: Common Stocks – Characteristics of common stock, dividends, and types of equity securities.
- Chapter 7: Analyzing Common Stocks – Fundamental analysis, economic tracking, industry trends, and assessing financial statements.
- Chapter 8: Stock Valuation – Dividend discount models, P/E multiples, and calculating intrinsic asset value.
- Chapter 9: Market Efficiency and Behavioural Finance – Efficient Market Hypothesis (EMH) alongside psychological biases that impact investor choices.
Part 4: Investing in Fixed-Income Securities [1]
- Chapter 10: Fixed-Income Securities – Features of government and corporate bonds, yield curves, and the Canadian fixed-income marketplace.
- Chapter 11: Bond Valuation – Bond pricing mechanics, yields to maturity, duration, and interest rate risk.
Part 5: Preferred Investment Vehicles
- Chapter 12: Mutual Funds and Exchange-Traded Funds – Structures, costs, performance evaluations, and the distinction between ETFs and mutual funds.
Part 6: Portfolio Management
- Chapter 13: Managing Your Own Portfolio – Formulating an Investment Policy Statement (IPS), tracking assets, and tax-efficient investing (including local accounts like TFSAs and RRSPs).
Part 7: Derivative Securities
- Chapter 14: Options: Puts and Calls – Principles of options contracts, options trading strategies, and introductory valuation.
- Chapter 15: Futures Markets and Securities – Mechanics of futures contracts, hedging strategies, and commodities markets.
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Test-Bank-for-Fundamentals-of-Investing-1st-Canadian-Edition-By-Chad-Zutter-Vijay-Vishwakarma-Ayse-Yuce.pdf
3.14 MB