June 30, 2010
Market Notices
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June 29, 2010
Bank of Canada Announces Details of its Term Repo Operation for Balance Sheet Management Purposes
The Bank of Canada announced today that it will conduct a Term Repo for Balance Sheet Management Purposes operation. -
June 17, 2010
Operational Changes to the Bond Buyback Program
In April 2010, officials from the Department of Finance and the Bank of Canada sought the views of institutional investors, government securities distributors, and other interested parties on issues relating to the management of the cash flow profile of Government of Canada securities over the medium term and on the demand for long-term bonds (nominal and Real Return). -
June 17, 2010
Changes to Eligible Securities and Margin Requirements for the Bank of Canada's Standing Liquidity Facility (SLF)
As part of an ongoing review of collateral policy related to the Bank of Canada's Standing Liquidity Facility (SLF), the Bank is broadening the list of assets acceptable as collateral and revising its margin requirements.