Month-end data on general public held unmatured direct securities (excluding retail instruments and perpetuals) and non-marketable securities by remaining term to maturity.
Month-end data on unmatured direct securities (excluding non-marketable securities) and non-marketable securities by the type of assets and by their remaining term to maturity.
Distribution of Government of Canada direct securities and loans among the Bank of Canada, Government of Canada and the general public as at weekly Wednesday and at month-end.
Selected monthly measures of the amount of money in circulation, covering currency, various types of deposits and other retail instruments. This includes M2, M3, M2+, M2++, M1+, M1++.
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.
Month-end statement of interest rates charged vis-à-vis new and existing loans, booked in Canada, in Canadian dollars only, to Canadian households and corporate sectors by chartered banks.
Month-end statement of funds advanced and outstanding balances vis-à-vis new and existing loans, booked in Canada, in Canadian dollars only, to Canadian households and corporate sectors by chartered banks.