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Canadian Securities Course
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Canadian Securities Course
CSC Course & Quiz
Chapter 1: Introduction to the Canadian Financial System
Chapter 2: Financial Statements and Analysis
Chapter 3: Equity Securities
Chapter 4: Debt Securities
Chapter 5: Derivatives
Chapter 6: Mutual Funds and Exchange-Traded Funds (ETFs)
Chapter 7: Alternative Investments
Chapter 8: Portfolio Management
Chapter 9: Financial Planning and Advisory
Chapter 10: Risk Management and Insurance
Chapter 11: Economics and Financial Markets
Chapter 12: Behavioral Finance
Chapter 13: Ethical and Professional Standards
Chapter 14: Trading, Clearing, and Settlement
Chapter 15: Taxation in Investments
Chapter 16: Retirement and Estate Planning
Chapter 17: International Investments
Chapter 18: Financial Crises and Market Disruptions
Chapter 19: Fintech and Innovation in Finance
Chapter 20: Sustainable and Responsible Investing
Chapter 21: Compliance and Regulation
Chapter 22: Client Communications and Relationships
Chapter 23: Investment Strategies and Styles
Chapter 24: Fixed Income Analysis and Strategies
Chapter 25: Quantitative Methods in Finance
Chapter 26: Corporate Finance
Chapter 27: Industry Analysis and Equity Valuation
Chapter 28: Commodity and Energy Markets
Chapter 29: Emerging Markets and Developing Economies
Chapter 30: Career Development in Finance
Appendices
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Browse Chapter 17: International Investments
17.1 Global Financial Markets
17.1.1 Major International Exchanges
17.1.2 Global Market Indices
17.1.3 Cross-Border Capital Flows
17.1.4 Role of International Organizations
17.1.5 Impact of Global Events on Markets
17.2 Benefits of International Diversification
17.2.5 Enhanced Return Potential
17.2.1 Risk Reduction Through Diversification
Tax Implications and Benefits
Roles of Directors, Trustees, and Fund Managers
17.2.2 Access to Growth Opportunities
Tax Structures and Dividend Policies
Regulatory Differences in Mutual Fund Structures
17.2.3 Currency Diversification
17.2.4 Sector and Industry Exposure
17.3 Risks in International Investing
17.3.1 Currency Risk
17.3.2 Political and Regulatory Risks
17.3.3 Liquidity and Market Access
17.3.4 Economic and Sovereign Risks
17.3.5 Cultural and Ethical Considerations
17.4 International Investment Vehicles
17.4.1 American Depository Receipts (ADRs)
Front-End Loads Explained
Back-End Loads
No-Load Funds Explained
Trailer Fees in Mutual Funds
Switching Fees and Mutual Fund Costs
Early Redemption Fees
17.4.2 Global Mutual Funds and ETFs
17.4.3 Foreign Direct Investments
17.4.4 International Bonds and Fixed Income
17.4.5 Emerging Market Funds
17.5 Managing International Investments
17.5.1 Currency Hedging Strategies
MFDA: Regulating Canada's Mutual Fund Industry
Provincial Securities Commissions Role
National Instruments & Mutual Fund Standards
17.5.2 Evaluating Global Opportunities
Prospectus and Fund Facts Disclosure
Simplified Prospectus & AIF Compliance Guidelines
17.5.3 Taxation of International Investments
17.5.4 Regulatory Compliance
17.5.5 Monitoring and Reporting
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Chapter 17: International Investments
17.1 Global Financial Markets
17.1 Global Financial Markets
In this section
Major International Stock Exchanges: A Comprehensive Guide
Explore the major international stock exchanges, their roles in global finance, and the benefits and challenges of investing in them.
Understanding Global Market Indices: A Comprehensive Guide
Explore the intricacies of global market indices, their construction, and their role in investment decision-making.
Cross-Border Capital Flows: Understanding International Financial Dynamics
Explore the intricate dynamics of cross-border capital flows, their driving factors, impacts on economies, and significance for investors.
Role of International Organizations in Global Financial Stability and Investment
Explore the pivotal roles of international organizations like the IMF, World Bank, BIS, and WTO in global financial stability and investment facilitation.
Impact of Global Events on Markets: Navigating Financial Turbulence
Explore how global events influence financial markets, investor behavior, and risk management strategies.
Monday, October 28, 2024
17.2 Benefits of International Diversification