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This text investigates the core principles and practical applications of financial management within the specific context of the Canadian economic and regulatory environment. The author provides a comprehensive framework for understanding corporate finance, capital budgeting, and risk management tailored to Canadian tax laws and financial institutions. By integrating theoretical models with local market realities, the book serves as a structured guide for students and professionals navigating the complexities of Canadian fiscal operations.
What You Will Find
Experts and educators frequently identify this text as a foundational resource for understanding the nuances of the Canadian financial landscape. Readers often note the technical density of the prose, which is designed to support rigorous academic study and professional certification preparation.
Page Count:
291
Publication Date:
2001-12-03
Publisher:
Pearson Canada, Toronto
ISBN-10:
0201741040
ISBN-13:
9780201741049
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