Find Bank of Canada publications by keyword, author, content type, JEL code, topic or publication date.
                        1438
                        result(s)
                
                
                 June 23, 2017
        
        
        
            
        
        
Weekly Financial Statistics - 23 June 2017
                    
                        Content Type(s):
                            Publications, 
                            Historical: Weekly Financial Statistics
                            
    
                 June 16, 2017
        
        
        
            
        
        
Weekly Financial Statistics - 16 June 2017
                    
                        Content Type(s):
                            Publications, 
                            Historical: Weekly Financial Statistics
                            
    
                 June 9, 2017
        
        
        
            
        
        
Weekly Financial Statistics - 9 June 2017
                    
                        Content Type(s):
                            Publications, 
                            Historical: Weekly Financial Statistics
                            
    
                 June 8, 2017
        
Canada’s International Investment Position: Benefits and Potential Vulnerabilities
            While greater global financial integration is beneficial, the authors discuss how foreign capital inflows can also facilitate the buildup of domestic vulnerabilities and potentially lead to destabilizing reversals. Canada’s current international investment position is typical of advanced economies and will likely continue to act as an economic stabilizer. However, the growth and composition of Canada’s international investment position warrant continued monitoring.
        
        
                    
                        Content Type(s):
                            Publications, 
                            Financial System Review articles
                                        
                        Research Topic(s):
                            Balance of payments and components, 
                            Financial stability, 
                            International financial markets
                                        
                        JEL Code(s):
                            F, 
                            F2, 
                            F21, 
                            F3, 
                            F32, 
                            F34, 
                            F36, 
                            F4, 
                            F6
                            
    
                 June 8, 2017
        
Using Market-Based Indicators to Assess Banking System Resilience
            This report reviews the use of quantitative tools to gauge market participants’ assessment of banking system resilience. These measures complement traditional balance-sheet metrics and suggest that markets consider large Canadian banks to be better placed to weather adverse shocks than banks in other advanced economies. Compared with regulatory capital ratios, however, the measures suggest less improvement in banking system resilience since the pre-crisis period.
        
        
                    
                        Content Type(s):
                            Publications, 
                            Financial System Review articles
                                        
                        Research Topic(s):
                            Financial institutions, 
                            Financial markets, 
                            Financial stability
                                        
                        JEL Code(s):
                            G, 
                            G0, 
                            G01, 
                            G1, 
                            G10, 
                            G2, 
                            G21
                            
    
                 June 8, 2017
        
        
        
Financial System Review - June 2017
            This issue of the Financial System Review reflects the Bank’s judgment that household indebtedness and housing market imbalances–the most important vulnerabilities for the Canadian financial system–have moved higher over the past six months. However, the financial system remains resilient, and macroeconomic conditions continue to improve. Other vulnerabilities discussed in this FSR are fragile fixed-income market liquidity and the capacity of an interconnected financial system to mitigate cyber threats.
        
        
                    
                        Content Type(s):
                            Publications, 
                            Financial Stability Report
                            
    
                 June 2, 2017
        
        
        
            
        
        
Weekly Financial Statistics - 2 June 2017
                    
                        Content Type(s):
                            Publications, 
                            Historical: Weekly Financial Statistics
                            
    
                 May 30, 2017
        
        
        
Quarterly Financial Report - First Quarter 2017
            Quarterly Financial Report - First Quarter 2017 - For the period ended 31 March 2017
        
        
                    
                        Content Type(s):
                            Publications, 
                            Quarterly Financial Report
                            
    
                 May 26, 2017
        
        
        
            
        
        
Weekly Financial Statistics - 26 May 2017
                    
                        Content Type(s):
                            Publications, 
                            Historical: Weekly Financial Statistics
                            
    