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This text investigates the core principles of financial management within the specific context of the Canadian economic and regulatory environment. Wayne R. Davis provides a structured pedagogical framework designed to assist students in mastering corporate finance concepts, including capital budgeting, risk assessment, and financial statement analysis. The book integrates theoretical models with practical application, ensuring that readers can navigate the complexities of Canadian tax laws and financial markets. By synthesizing academic rigor with applied exercises, the author establishes a comprehensive guide for both classroom instruction and independent study.
What You Will Find
Experts and educators frequently cite this work as a foundational resource for students navigating the nuances of the Canadian financial system. Readers often note the clarity of the instructional design, which effectively bridges the gap between abstract financial theory and real-world application.
Page Count:
0
Publication Date:
1997-12-01
Publisher:
Addison-Wesley Longman, Incorporated
ISBN-10:
0201378728
ISBN-13:
9780201378726
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