December 10, 2013 Margining for Non-Centrally Cleared Over-the-Counter Derivatives Financial System Review - December 2013 Nikil Chande, Stéphane Lavoie, Thomas Thorn Content Type(s): Publications, Financial System Review articles
December 10, 2013 The Residential Mortgage Market in Canada: A Primer Financial System Review - December 2013 Allan Crawford, Césaire Meh, Jie Zhou Content Type(s): Publications, Financial System Review articles
December 10, 2013 Financial System Review - December 2013 There have been positive developments in the global financial system since the June Financial System Review, in part reflecting some encouraging signs about the global economy. At the same time, significant vulnerabilities remain. The Governing Council judges that the overall risk to the stability of Canada’s financial system has decreased from “high” to “elevated” over the past six months. Content Type(s): Publications, Financial Stability Report
December 6, 2013 Weekly Financial Statistics - 6 December 2013 Content Type(s): Publications, Historical: Weekly Financial Statistics
November 29, 2013 Weekly Financial Statistics - 29 November 2013 Content Type(s): Publications, Historical: Weekly Financial Statistics
November 28, 2013 Banking and Financial Statistics - November 2013 Content Type(s): Publications, Historical: Banking and Financial Statistics
November 22, 2013 Weekly Financial Statistics - 22 November 2013 Content Type(s): Publications, Historical: Weekly Financial Statistics
November 15, 2013 Weekly Financial Statistics - 15 November 2013 Content Type(s): Publications, Historical: Weekly Financial Statistics
November 14, 2013 Monetary Policy Decision Making at the Bank of Canada Bank of Canada Review - Autumn 2013 John Murray The process that the Bank of Canada follows to make its monetary policy decisions has evolved over time. This process is very information-intensive and collaborative, drawing on the expertise, judgment and analysis of many people. This article describes monetary policy decision making at the Bank, and discusses some common misconceptions about monetary policy and the process. Content Type(s): Publications, Bank of Canada Review articles Topic(s): Monetary policy framework, Monetary policy implementation
November 14, 2013 Assessing Financial System Vulnerabilities: An Early Warning Approach Bank of Canada Review - Autumn 2013 Gurnain Pasricha, Tom Roberts, Ian Christensen, Brad Howell This article focuses on a quantitative method to identify financial system vulnerabilities, specifically, an imbalance indicator model (IIM) and its application to Canada. An IIM identifies potential vulnerabilities in a financial system by comparing current economic and financial data with data from periods leading up to past episodes of financial stress. It complements other sources of information - including market intelligence and regular monitoring of the economy - that policy-makers use to assess vulnerabilities. Content Type(s): Publications, Bank of Canada Review articles Topic(s): Econometric and statistical methods, Financial stability, Monetary and financial indicators JEL Code(s): E, E6, E66, G, G0, G01