Find Bank of Canada publications by keyword, author, content type, JEL code, topic or publication date.
1408
result(s)
May 17, 2012
Bank of Canada Review - Spring 2012
This issue features a summary of the Bank’s annual conference, which took place in November 2011 and dealt with payments systems, and two articles that present research by Bank staff on global current account imbalances and macrofinancial risk assessment. The fourth article in this issue reviews the recent experience with inflation targeting.
Content Type(s):
Publications,
Bank of Canada Review
May 17, 2012
On the Adjustment of the Global Economy
Bank of Canada Review - Spring 2012
Carlos De Resende,
Claudia Godbout,
René Lalonde,
Eric Morin,
Nikita Perevalov
This article discusses three scenarios for the adjustment of the global economy. In a “baseline” scenario—which encompasses fiscal consolidation in major advanced economies, growth-friendly structural reforms in Europe and Japan, and greater exchange rate flexibility and reforms in the emerging-market economies of Asia to induce rotation of demand away from net exports—global current account imbalances […]
Content Type(s):
Publications,
Bank of Canada Review articles
Topic(s):
Balance of payments and components,
Exchange rates,
Fiscal policy,
International topics,
Recent economic and financial developments
JEL Code(s):
F,
F3,
F32,
F37,
F4,
F42
May 17, 2012
Inflation Targeting: The Recent International Experience
In the years since the 2006 renewal of Canada’s inflation-control agreement, monetary policy regimes have faced significant shocks, including the global economic and financial crisis. This article reviews the recent experience with inflation targeting, including the debate about the appropriate role of monetary policy in maintaining financial stability. In the aftermath of the crisis, both […]
Content Type(s):
Publications,
Bank of Canada Review articles
Topic(s):
Credibility,
Financial stability,
Inflation targets,
Monetary policy framework
JEL Code(s):
E,
E3,
E31,
E5,
E52,
E58
May 17, 2012
Understanding Systemic Risk in the Banking Sector: A MacroFinancial Risk Assessment Framework
The MacroFinancial Risk Assessment Framework (MFRAF) models the interconnections between liquidity and solvency in a financial system, with multiple institutions linked through an interbank network. The MFRAF integrates funding liquidity risk as an endogenous outcome of the interactions between solvency risk and the liquidity profiles of banks, which is a complementary approach to the new […]
Content Type(s):
Publications,
Bank of Canada Review articles
Topic(s):
Financial stability,
Financial system regulation and policies
JEL Code(s):
E,
E4,
E44,
G,
G0,
G01,
G2,
G21
May 17, 2012
Conference Summary: New Developments in Payments and Settlement
The Bank of Canada’s annual conference, held in November 2011, brought together leading researchers from universities, central banks and other institutions from around the world. Divided into four sessions plus two keynote addresses, the conference covered such topics as the use of cash and other means of payment in retail transactions, large-value payments systems, and […]
Content Type(s):
Publications,
Bank of Canada Review articles
Topic(s):
Bank notes,
Central bank research,
Financial system regulation and policies,
Monetary policy implementation,
Payment clearing and settlement systems
JEL Code(s):
E,
E4,
E42,
G,
G2,
G28,
L,
L8,
L81
May 11, 2012
Weekly Financial Statistics - 11 May 2012
Content Type(s):
Publications,
Historical: Weekly Financial Statistics
May 4, 2012
Weekly Financial Statistics - 4 May 2012
Content Type(s):
Publications,
Historical: Weekly Financial Statistics
April 27, 2012
Weekly Financial Statistics - 27 April 2012
Content Type(s):
Publications,
Historical: Weekly Financial Statistics
April 26, 2012
Banking and Financial Statistics - 26 April 2012
Content Type(s):
Publications,
Historical: Banking and Financial Statistics