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Canadian Securities Course (CSC) tutorials ( Level 1 and 2)
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Canadian Securities Course (CSC) tutorials ( Level 1 and 2)

About this course

Master the Canadian Securities Course (CSC®) Level 1 exam with an all-in-one learning system that blends engaging video instruction, concise chapter notes, exam-style practice, on-demand AI tutoring, and bite-sized podcasts. By the end of the program you’ll be fluent in the language of Canada’s capital markets, comfortable with the most-tested formulas and ethics rules, and confident you can earn the credential every CIRO-licensed investment professional needs.What Sets This Course ApartYou learn through HD video lectures that unpack each textbook chapter, download-and-go student notes for rapid review, and auto-graded practice questions modelled on the real blueprint.An AI chapter tutor stands by 24/7 to clarify formulas, generate fresh quiz variants, or walk you through bond-pricing math in plain language. Long commutes? Plug into our 20- to 45-minute chapter podcasts and internalise concepts through case studies, expert interviews, and step-by-step problem walk-throughs.Exactly What You’ll MasterThe structure of Canada’s investment marketplace, the role of dealers, and the latest trends disrupting capital flows.The full regulatory landscape—from CSA and CIRO mandates to Client Focused Reforms—plus exam-tested ethics scenarios.Core economic indicators, interest-rate cycles, and how they influence security prices and portfolio strategy.Valuation and trading of fixed-income, equities, derivatives, ETFs, and alternative products, with hands-on pricing drills.Portfolio theory, risk metrics, taxation basics, and client-suitability guidelines, all aligned to CIRO’s new competency map.Who Will BenefitAspiring investment and mutual-fund advisors who must clear the CSC to secure CIRO licensing.Bank, credit

B

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What you'll learn

  • Understand the structure of Canada's investment marketplace and the role of dealers
  • Navigate the full regulatory landscape related to capital markets
  • Analyze core economic indicators and interest-rate cycles impacting security prices
  • Valuate and trade fixed-income, equities, derivatives, ETFs, and alternative products
  • Apply portfolio theory, risk metrics, taxation basics, and client-suitability guidelines

Course objectives

  • Become fluent in the language of Canada’s capital markets
  • Master the most-tested formulas and ethics rules related to investment practices
  • Gain confidence in exam preparation strategies through modeled practice questions
Investment Banking #derivatives #investment strategies #capital markets #etfs #fixed income #financial regulations #portfolio theory #equities #risk metrics #ethics in finance #client suitability #investment advisors
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