November 30, 2011
Market notices
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November 25, 2011
Summary of the 2011 Survey on Canadian Foreign Exchange Hedging
Since 2004, the Bank of Canada has carried out a qualitative annual survey to assess the degree of activity in Canadian foreign exchange (FX) hedging. -
November 16, 2011
Debt Management Strategy Consultations - 2012-13
The Department of Finance and the Bank of Canada are seeking views of government securities distributors, institutional investors, and other interested parties on issues related to the design and operation of the Government of Canada’s domestic debt program for 2012-13 and beyond. -
October 19, 2011
Change in Minimum Bank of Canada Nominal Bond Purchases at Auctions
In managing its balance sheet, the Bank of Canada acquires Government of Canada securities to offset its liabilities, which consist mainly of bank notes in circulation and deposits. -
June 29, 2011
Bank of Canada Announces Extension of Expanded Swap Facility with U.S. Federal Reserve in coordination with other central banks
The Bank of Canada, the Bank of England, the European Central Bank, the Federal Reserve, and the Swiss National Bank today announced an extension of the existing temporary U.S. dollar liquidity swap arrangements through 1 August 2012. -
May 26, 2011
Results of the 26 May 2011 Term Repo Operation for Balance Sheet Management Purposes
Results of the Term Repo Operation for Balance Sheet Management Purposes -
May 25, 2011
Bank of Canada Announces Details of its Term Repo for Balance Sheet Management Purposes Operation
The Bank of Canada announced today that it will conduct a Term Repo Operation for Balance Sheet Management Purposes. -
March 22, 2011
Summary of Comments - 2011-12 Debt Management Strategy Consultations
The Summary of Comments - 2011-12 Debt Management Strategy Consultations is being published on the Bank of Canada's website in conjunction with the release of the government's Debt Management Strategy for 2011-12 on the Department of Finance's website. -
December 21, 2010
Bank of Canada Announces Extension of Expanded Swap Facility with U.S. Federal Reserve
The Federal Open Market Committee has authorized an extension through 1 August 2011, of its temporary U.S. dollar liquidity swap arrangements with the Bank of Canada, the Bank of England, the European Central Bank, the Bank of Japan, and the Swiss National Bank. The swap arrangements, established in May 2010, had been authorized through January 2011.
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December 17, 2010
Summary of the 2010 Survey on Canadian Foreign Exchange Hedging
Since 2004, the Bank of Canada has undertaken an annual questionnaire with banks that are active in Canadian foreign exchange (FX) markets, including the eleven members of the Canadian Foreign Exchange Committee (CFEC), to gauge FX hedging activities of Canadian corporate customers.