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Test Bank for Corporate Finance 6th Canadian Edition by Jonathan Berk, Peter DeMarzo & David A. Stangeland | All 31 Chapters 1-31 | Law of One Price Capital Budgeting Valuation Risk 2026/2027

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Test Bank for Corporate Finance, Sixth Canadian Edition, 6th Edition by Jonathan Berk (Stanford), Peter DeMarzo (Stanford) & David A. Stangeland (University of Manitoba, CPA, CMA) — complete question-and-answer bank with comprehensive exam-realistic practice questions covering all 31 chapters. The premier comprehensive corporate finance textbook for Canadian business schools and MBA programs — helping Canadian finance and business students master capital budgeting, valuation, risk management, capital structure, and financial decision-making through multiple-choice questions, quantitative problems, and real-world case scenarios. NEW 2025 Edition | 31 Comprehensive Chapters | Law of One Price Framework | Canadian Market Context Publisher: Pearson Canada | All 31 Chapters Complete | 6th Edition (2025)Test Bank Features: Chapter-wise practice questions — all 31 chapters covered comprehensively Multiple-choice questions — exam-format questions with Canadian context Quantitative problem sets — calculations, financial analysis, spreadsheet problems Case-based scenarios — real-world corporate finance situations Difficulty levels indicated — easy, medium, challenging questions Canadian focus — questions and data adapted for Canadian markets, regulations, tax environment Answer key — with detailed solutions and explanations Stuvia-verified — resource verified for accuracy and quality Why this test bank? All 31 chapters covered — complete comprehensive corporate finance curriculum Companion to Solutions Manual — works with Solutions Manual (also just optimized) for comprehensive study 6th Edition (2025) — NEWEST — latest research, data, and Canadian context Multiple question types — multiple choice, quantitative, case-based for varied practice Exam-realistic format — questions match actual course exams and MBA assessments Canadian market adaptation — problems, data, and context specific to Canadian finance environment Written by three finance leaders: Jonathan Berk — Stanford; TIAA-CREF Samuelson Award, Smith Breeden Prize, Graham and Dodd Award Peter DeMarzo — Stanford (Mizuho Financial Group Professor); VP American Finance Association David A. Stangeland — University of Manitoba; PhD, BComm (Distinction), CPA, CMA; Canadian finance expert Perfect for: Canadian MBA students preparing for corporate finance exams Undergraduate business and finance students in Canada Financial professionals and analysts in Canada CFA Level I exam preparation Business school instructors creating assessments MyLab Finance compatible — integrates with Pearson digital platform Interactive digital tools — AI-powered generative learning resources available Instant digital download — access immediately after purchase Whether you're Canadian MBA student preparing for corporate finance exams, business student mastering valuation and capital budgeting, CFA candidate preparing for Level I, or financial professional enhancing expertise, this complete Berk, DeMarzo & Stangeland Test Bank with 31 comprehensive chapters and exam-realistic questions gives you everything you need. Trusted by Canadian business schools and finance professionals nationwide. Download now — instant access after purchase!

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Institution
Corporate Finance, 6th Canadian Edition
Course
Corporate Finance, 6th Canadian Edition

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TEST BANK
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Corporate Finance, 6th edition by
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Jonathan Berk & Peter DeMarzo
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Complete Chapters Test Bank
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***Immediate Download
***Swift Response
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***All Chapters Included
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, Corporate Finance
6th Canadian Edition
Jonathan Berk · Peter DeMarzo
6TH CANADIAN EDITION
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TABLE OF CONTENTS

PART ONE — INTRODUCTION
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Ch. 01 The Corporation and Financial Markets

Ch. 02 Introduction to Financial Statement Analysis

Ch. 03 Financial Decision Making and the Law of One Price
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PART TWO — TIME, MONEY, AND INTEREST RATES

Ch. 04 The Time Value of Money
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Ch. 05 Interest Rates

Ch. 06 Valuing Bonds

PART THREE — VALUING PROJECTS AND FIRMS
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Ch. 07 Investment Decision Rules

Ch. 08 Fundamentals of Capital Budgeting

Ch. 09 Valuing Stocks
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PART FOUR — RISK AND RETURN

Ch. 10 Capital Markets and the Pricing of Risk

Ch. 11 Optimal Portfolio Choice and the CAPM
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Ch. 12 Estimating the Cost of Capital

Ch. 13 Investor Behavior and Capital Market Efficiency
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PART FIVE — CAPITAL STRUCTURE

Ch. 14 Capital Structure in a Perfect Market

Ch. 15 Debt and Taxes
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Ch. 16 Financial Distress, Managerial Incentives, and Information

Ch. 17 Payout Policy

PART SIX — ADVANCED VALUATION
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Ch. 18 Capital Budgeting and Valuation with Leverage

Ch. 19 Valuation and Financial Modeling: A Case Study

PART SEVEN — OPTIONS

, Ch. 20 Financial Options

Ch. 21 Option Valuation

Ch. 22 Real Options

PART EIGHT — LONG-TERM FINANCING

Ch. 23 Raising Equity Capital
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Ch. 24 Debt Financing

Ch. 25 Leasing

PART NINE — SHORT-TERM FINANCING
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Ch. 26 Working Capital Management

Ch. 27 Short-Term Financial Planning

PART TEN — SPECIAL TOPICS
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Ch. 28 Mergers and Acquisitions

Ch. 29 Corporate Governance
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Ch. 30 Risk Management

Ch. 31 International Corporate Finance
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Institution
Corporate Finance, 6th Canadian Edition
Course
Corporate Finance, 6th Canadian Edition

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Uploaded on
June 22, 2026
Number of pages
1043
Written in
2025/2026
Type
Exam (elaborations)
Contains
Questions & answers

Subjects

  • capital budgeting npv irr
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