April 11, 2007
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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
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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
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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
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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
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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
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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
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Press,
Market notices
Source(s):
Canadian Foreign Exchange Committee
April 7, 2006
Today, a Summary of Comments/Debt Strategy 2006/07 is being published on the Bank's website in conjunction with the release of the government's Debt Management Strategy for 2006/07 on the Department of Finance's website.
2006/07 Debt Strategy Consultations - Summary of Comments
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Press,
Market notices
March 9, 2006
n the implementation of monetary policy, the Bank of Canada sets a target for the overnight interest rate. This rate is defined as the rate at which major participants in the money market borrow and lend one-day funds to each other.
Temporary measures to reinforce the target for the overnight rate
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Press,
Market notices
December 9, 2005
Effective 13 December 2005, HSBC Securities (Canada) Inc./HSBC Bank Canada will become a primary dealer for Government of Canada marketable bonds and treasury bills, respectively, and Desjardins Securities will become a primary dealer for Government of Canada marketable bonds.
Addition of Two Primary Dealers for Government of Canada Securities
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Press,
Market notices