April 17, 2007
Read our notices about financial market activities.
Receive notification by email whenever new notices are added to the website.
April 16, 2007
The Department of Finance and the Bank of Canada have updated the "Terms of Participation in Auctions for Government Securities Distributors."
Clarifications to the Terms of Participation in Auctions for Government Securities Distributors
Content Type(s):
Press,
Market notices
April 12, 2007
The Bank of Canada, on behalf of the Government of Canada, announces the addition of two new Government Securities Distributors for Government of Canada marketable bonds and treasury bills.
Addition of Two Government Securities Distributors for Government of Canada Securities
Content Type(s):
Press,
Market notices
April 11, 2007
In the Debt Management Strategy 2007/08, the government announced that the release time for call for tenders for cash-management bills (CMBs) will be moved from 10:00 (ET) to 09:45 (ET). Effective 16 April 2007, CMBs call for tenders issued on or after this date will be released at 09:45 (ET). The auction timetable can be found on the Bank of Canada website.
Changes in the release times for both the call for tenders for cash-management bills (CMBs) and the preliminary International Securities Identification Numbers (ISINs) for regular treasury bills
Content Type(s):
Press,
Market notices
March 22, 2007
A consultation document relating to the auction schedule for Real Return Bonds for the fiscal year 2007/08, prepared jointly by the Department of Finance and the Bank of Canada, is being made public today.
Spring 2007 Consultations – Views Sought on the Auction Plan for Real Return Bonds
Content Type(s):
Press,
Market notices
March 19, 2007
Today, a Summary of Comments on the Debt Strategy Consultations for 2007/08 is being published on the Bank's website in conjunction with the release of the government's Debt Management Strategy for 2007/08 on the Department of Finance website.
Summary of Comments - 2007/08 Debt Strategy Consultations
Content Type(s):
Press,
Market notices
February 15, 2007
On 9 March 2006, the Bank of Canada announced temporary measures to reinforce its target for the overnight rate. Specifically, the Bank announced that it would reduce the target for settlement balances to zero and, on a temporary basis, no longer commit to neutralizing all of the Sale and Repurchase Agreements (SRAs) conducted.
Temporary measures to reinforce the target for the overnight rate
Content Type(s):
Press,
Market notices
December 4, 2006
A consultation document relating to the preparation of debt strategy for the fiscal year 2007/08, prepared jointly by the Department of Finance and the Bank of Canada, is being made public today.
Debt Strategy Consultations 2007/08 Views Sought on Issues Relating to the Government Domestic Borrowing Program
Content Type(s):
Press,
Market notices
September 7, 2006
The Bank of Canada announced today that it has sent the following letter to the Investment Dealers Association of Canada.
Net Position Reports - Formal Recommendation from the Bank of Canada
Content Type(s):
Press,
Market notices
April 13, 2006
In December 2005, the Bank of Canada sent those banks that are members of the Canadian Foreign Exchange Committee (CFEC) a questionnaire that focused on the foreign exchange hedging activities of their corporate customers.
Summary of the CFEC Survey on Foreign Exchange Hedging
Content Type(s):
Press,
Market notices
Source(s):
Canadian Foreign Exchange Committee