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8812 Results

April 29, 2026

Interest Rate Announcement and Monetary Policy Report

09:45 (ET)
On eight scheduled dates each year, the Bank of Canada announces the setting for the overnight rate target in a press release explaining the factors behind the decision. Four times a year, Governing Council presents the Monetary Policy Report: the Bank’s base-case projection for inflation and growth in the Canadian economy, and its assessment of risks.

Content Type(s): Upcoming events
April 20, 2026

Release: Business Outlook Survey and Canadian Survey of Consumer Expectations

11:30 (ET)
The Business Outlook Survey is a summary of interviews conducted by the Bank's regional offices with business leaders from about 100 firms, selected in accordance with the composition of Canada's gross domestic product. The Canadian Survey of Consumer Expectations is a quarterly survey aimed at measuring household views of inflation, the labour market and household finances, as well as topical issues of interest to the Bank of Canada.

Content Type(s): Upcoming events
April 8, 2026

Spring 2026 Debt Management Strategy Consultations

The Department of Finance and the Bank of Canada are seeking the views of government securities distributors, institutional investors, and other interested parties on the Government of Canada’s domestic debt program and relevant market developments.
Content Type(s): Press, Market notices

Measuring how financial sector economists respond to the tone of Bank of Canada communications

Sparks at Bank article Amanda Wang, Xu Zhang, Xinfen Han
The words central banks use to explain policy decisions matter. They can, in some cases, affect financial markets just like changes in policy interest rates do. For this reason, we built a tool to track the tone of the Bank of Canada’s policy communications and assess how tone affects market perceptions.

Eric Santor

Eric Santor was appointed as an Advisor to the Governor in 2019.  In this role, he is co-Secretary to the Governing Council and the Managing Director of the International Economic Analysis Department.

DeFi Lending: Returns, Leverage, and Liquidation Risk

Staff analytical paper 2026-13 Jonathan Chiu, Furkan Danisman
DeFi lending with proper governance is operationally viable, but it also faces constraints related to capital efficiency, liquidation risk, and systemic fragility within the crypto ecosystem.
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