October 12, 2017 Chartered bank selected assets: Month-end (formerly C1) Month-end data on chartered bank assets by level of liquidity.
October 12, 2017 Historical money market trading by type of security (formerly F11) Inactive: As of the end of 2017, the Bank of Canada no longer publishes this table. Starting from May 2018, a new version of the data is being published by the Investment Industry Regulatory Organization of Canada.
April 21, 2016 Term repos These operations, where assets are acquired temporarily through the secondary market, are conducted to manage the Bank’s balance sheet and to promote the orderly functioning of Canadian financial markets.
August 25, 2010 Indicators related to market operations A table of indicators related to the implementation of monetary policy that includes the operating band, settlement balances and other Bank of Canada operations.
August 6, 2010 Foreign exchange intervention Updated if and when the Bank intervenes in foreign exchange markets.
October 8, 2010 Senior Loan Officer Survey A quarterly survey of business-lending practices of major Canadian financial institutions.
September 24, 2024 Securities Lending Program The Bank of Canada’s Securities Lending Program (SLP) provides a temporary source of Government of Canada nominal bonds and treasury bills to primary dealers to support liquidity in the securities financing market.
January 28, 2022 Cash Management Bond Buybacks Access information about upcoming auctions, results, and find key contacts.
January 28, 2022 Nominal Bonds Access information about upcoming auctions and results, and find key contacts.
April 29, 2020 Provincial Bond Purchase Program The Provincial Bond Purchase Program (PBPP) aims to support the liquidity and efficiency of provincial government funding markets. It supplements the Provincial Money Market Purchase Program (PMMP).