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9188 Results

September 30, 2015

Overnight repos

The Bank conducts overnight repo (OR) operations to ensure the effective implementation of our monetary policy framework. These operations inject liquidity intraday, reinforcing the Bank’s target for the overnight rate.
November 5, 2010

Bank of Canada holdings

This document sets out the policy governing the acquisition and management of domestic financial assets for the Bank of Canada’s balance sheet.
January 22, 2010

Statistics

Find exchange rates, interest rates, price indexes, economic indicators and other statistical information.
May 14, 2020

Corporate Bond Purchase Program

The Corporate Bond Purchase Program (CBPP) supports the liquidity and proper functioning of the corporate debt market, by purchasing bonds through a tender process in the secondary market.
July 2, 2019

Interest rates posted for selected products by the major chartered banks

Weekly posted interest rates covering prime rate, conventional mortgages, guaranteed investment certificates, personal, daily interest savings, and non-chequable savings deposits, offered by chartered banks. Rates presented are the most typical of those offered by the six major chartered banks.
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