Explore the concept of regret aversion, its impact on investment decisions, and strategies to overcome it for improved portfolio diversification and performance.
Explore the intricate ethical dilemmas faced by financial professionals, understand contributing factors, and learn strategies for resolving conflicts in the Canadian securities industry.
Explore the significance of sensitivity analysis in financial modeling, its process, applications, and limitations. Learn how to assess risk and uncertainty using tools like data tables and tornado charts.
Explore the concept, calculation, and application of Internal Rate of Return (IRR) in investment decision-making, including its relationship with NPV and limitations.
Explore decision-making abilities in the Canadian Securities Course, focusing on critical thinking, cognitive biases, ethical considerations, and decision-making frameworks like the OODA loop.