Content
2003, Volume 2002-2003, Issue Winter
- 3-16 Recent Changes to Canada's Financial Sector Legislation
by Fred Daniel - 17-27 Exchange Rate Regimes in Emerging Markets
by Jeannine Bailliu & John Murray - 29-34 Transparency and the Response of Interest Rates to the Publication of Macroeconomic Data
by Nicolas Parent
2002, Volume 2002, Issue Summer
- 3-10 Monetary Policy and Uncertainty
by Paul Jenkins & David Longworth - 11-18 Information and Analysis for Monetary Policy: Coming to a Decision
by Tiff Macklem
2002, Volume 2002, Issue Spring
- 3-18 Inflation and the Macroeconomy: Changes from the 1980s to the 1990s
by David Longworth - 19-26 Models in Policy-Making
by Donald Coletti & Stephen Murchison - 19-32 Trends in Productivity Growth in Canada
by Allan Crawford - 27-35 The Role of Simple Rules in the Conduct of Canadian Monetary Policy
by Denise Côté & Jean-Paul Lam & Ying Liu & Pierre St-Amant - 33-43 Private Capital Flows to Emerging-Market Economies
by Jean-François Perrault - 45-50 Foreign Takeovers and the Canadian Dollar: Evidence and Implications
by Lawrence L. Schembri
2002, Volume 2002, Issue Autumn
- 3-11 CLS Bank: Managing Foreign Exchange Settlement Risk
by John Murray & James Powell - 13-25 CLS Bank: Managing Foreign Exchange Settlement Risk
by Paul Miller & Carol Ann Northcott - 27-33 Purchasing-Power Parity: Definition, Measurement, and Interpretation
by Robert Lafrance & Lawrence L. Schembri
2002, Volume 2001-2002, Issue Winter
- 3-13 The Resolution of International Financial Crises: Private Finance and Public Funds
by Andy Haldane & Mark Kruger - 15-25 The Canadian Fixed-Income Market: Recent Developments and Outlook
by Éric Chouinard & Zahir Lalani - 27-36 Risk Management in the Exchange Fund Account
by Michel Rochette
2001, Volume 2001, Issue Summer
- 3-14 The Changing Effects of Energy-Price Shocks on Economic Activity and Inflation
by Gerald Stuber - 15-30 Innovation and Competition in Canadian Equity Markets
by Serge Boisvert & Charles Gaa - 31-43 Analyzing the Monetary Aggregates
by Dinah Maclean
2001, Volume 2001, Issue Spring
- 7-18 Reforming the International Financial System
by James Powell - 19-31 Core Principles for Systemically Important Payments Systems and Their Application in Canada
by Clyde Goodlet - 33-37 www.bankofcanada.ca—The Bank on the World Wide Web
by Brent Eades
2001, Volume 2001, Issue Autumn
- 3-12 A New Measure of Core Inflation
by Tiff Macklem - 13-20 Predictability of Average Inflation over Long Time Horizons
by Allan Crawford - 21-29 Factors Affecting Regional Economic Performance in Canada
by Brigid Brady & Farid Novin - 31-37 Conference Summary: Revisiting the Case for Flexible Exchange Rates
by Lawrence L. Schembri
2001, Volume 2000-2001, Issue Winter
- 3-12 Dynamic General-Equilibrium Models and Why the Bank of Canada is Interested in Them
by Kevin Moran - 13-21 The Bank of Canada's Management of Foreign Currency Reserves
by Jacobo De Leon - 23-34 The Federal Government’s Use of Interest Rate Swaps and Currency Swaps
by John Kiff & Uri Ron & Shafiq K. Ebrahim
2000, Volume 2000, Issue Summer
- 3-13 The Changing Face of Central Banking in the 1990s
by Graydon Paulin - 15-26 Restructuring in the Canadian Economy: A Survey of Firms
by Carolyn Kwan - 27-36 Approaches to Current Stock Market Valuations
by Bob Hannah
2000, Volume 2000, Issue Spring
- 3-10 Recent Developments in the Monetary Aggregates and Their Implications
by Joseph Atta-Mensah - 11-17 Credibility and Monetary Policy
by Patrick Perrier & Robert Amano
2000, Volume 2000, Issue Autumn
- 3-11 Credit Derivatives
by John Kiff & Ron Morrow - 13-23 Recent Performance of the Canadian Economy: A Regional View
by David Amirault & Louis-Robert Lafleur - 25-31 Conference Summary: Money, Monetary Policy, and Transmission Mechanisms
by Kevin Clinton & Walter Engert - 33-41 Seminar Summary: Price Stability and the Long-Run Target for Monetary Policy
by Allan Crawford
2000, Volume 1999-2000, Issue Winter
- 3-15 Recent Developments: An Update to the Monetary Policy Report
by Governing Council - 17-28 The Exchange Rate, Productivity, and the Standard of Living
by Robert Lafrance & Lawrence L. Schembri - 29-41 Trends in Canada's Merchandise Trade
by Richard Dion - 43-54 Feedback Rules for Inflation Control: An Overview of Recent Literature
by Jamie Armour & Agathe Côté
1999, Volume 1999, Issue Summer
- 3-14 Recent Developments: An Update to the Monetary Policy Report
by Bank staff - 15-25 Passive Money, Active Money, and Monetary Policy
by David Laidler - 27-35 Recent Initiatives in the Canadian Market for Government of Canada Securities
by Nancy Harvey - 37-45 Recent Developments in Global Commodity Prices: Implications for Canada
by Farid Novin & Gerald Stuber - 47-50 Preparations by the Canadian Financial Sector for the Year 2000
by Clyde Goodlet
1999, Volume 1999, Issue Spring
- 5-19 Recent developments in the monetary aggregates and their implications
by Joseph Atta-Mensah & Loretta Nott - 21-39 Open outcry and electronic trading in futures exchanges
by Raymond Tsang
1999, Volume 1999, Issue Autumn
- 3-8 The Corporate Bond Market in Canada
by Martin Miville & André Bernier - 9-18 Markets for Government of Canada Securities in the 1990s: Liquidity and Cross-CountryComparisons
by Toni Gravelle - 19-28 Real Exchange Rate Indexes for the Canadian Dollar
by Robert Lafrance & Pierre St-Amant
1999, Volume 1998-1999, Issue Winter
- 3-27 Recent economic and financial developments
by Bank staff - 29-48 Downward wage rigidity
by Allan Crawford & Seamus Hogan - 49-79 Survey of the Canadian foreign exchange and derivatives markets
by Robert Ogrodnick & Judy DiMillo - 81-87 Conference summary: Information in financial asset prices
by Kevin Clinton & Mark Zelmer
1998, Volume 1998, Issue Summer
- 3-27 Recent economic and financial developments
by Bank staff - 29-52 Labour force participation in Canada: Trends and shifts
by Irene Ip - 53-69 The declining supply of treasury bills and the Canadian money market
by Serge Boisvert & Nancy Harvey
1998, Volume 1998, Issue Spring
- 3-15 Recent developments in the monetary aggregates and their implications
by Bank staff - 17-38 Canada-U.S. long-term interest differentials in the 1990s
by Kevin Clinton - 39-56 Measurement biases in the Canadian CPI: An update
by Allan Crawford - 57-71 The use of forward rate agreements in Canada
by Jean-Yves Paquette & David Stréliski
1998, Volume 1998, Issue Autumn
- 3-21 Lower inflation: Benefits and costs
by Donald Coletti & Brian O'Reilly - 23-38 Currency crises and fixed exchange rates in the 1990s: A review
by Patrick Osakwe & Lawrence L. Schembri - 39-55 The LVTS-Canada's large-value transfer system
by James Dingle - 57-66 A primer on the implementation of monetary policy in the LVTS environment
by Donna Howard
1998, Volume 1997-1998, Issue Winter
- 3-26 Recent economic and financial developments
by Bank staff - 27-42 The overnight market in Canada
by Eugene Lundrigan & Sari Toll - 43-59 Potential output growth: Some long-term projections
by John Kuszczak & Richard Dion - 61-77 Price stability, inflation targets, and monetary policy: Conference summary
by Tiff Macklem
1997, Volume 1997, Issue Summer
- 25-40 The fiscal impact of privatization in Canada
by Mylène Levac & Philip Wooldridge - 41-54 The new bank note distribution system
by Gerrit Bilkes
1997, Volume 1997, Issue Spring
- 11-38 The changing business activities of banks in Canada
by Jim Armstrong - 39-56 Capacity constraints, price adjustment, and monetary policy
by Tiff Macklem
1997, Volume 1997, Issue Autumn
- 3-28 European economic and monetary union: Background and implications
by Chantal Dupasquier & Jocelyn Jacob - 29-47 Statistical measures of the trend rate of inflation
by Thérèse Laflèche - 49-64 Clearing and settlement systems and the Bank of Canada
by Clyde Goodlet
1997, Volume 1996-1997, Issue Winter
- 21-32 The impact of exchange rate movements on consumer prices
by Thérèse Laflèche - 33-46 The maturity structure of household financial assets and liabilities
by Marie-Claude Montplaisir - 47-62 The Canadian market for zero-coupon bonds
by Miles Whittingham
1996, Volume 1996, Issue Summer
- 23-39 Real short-term interest rates and expected inflation: Measurement and interpretation
by Nicholas Ricketts - 41-53 Inflation expectations and Real Return Bonds
by Agathe Côté & Jocelyn Jacob & John Nelmes & Miles Whittingham
1996, Volume 1996, Issue Spring
- 3-11 Recent developments in monetary aggregates and their implications
by Louis-Robert Lafleur & Walter Engert - 13-29 Financing activities of provincial governments and their enterprises
by Philip Wooldridge - 31-44 The role of inventory management in Canadian economic fluctuations
by Hung-Hay Lau
1996, Volume 1996, Issue Autumn
- 3-18 Productivity growth in the commercial service sector
by Dinah Maclean - 19-36 The market for futures contracts on Canadian bankers' acceptances
by Nancy Harvey - 37-61 Canada and international financial institutions
by Robert Lafrance & James Powell - 63-71 Money markets and central bank operations: Conference summary
by Mark Zelmer
1996, Volume 1995-1996, Issue Winter
- 23-44 Developments in trusteed pension funds
by Jacobo De Leon - 45-71 Survey of the Canadian foreign exchange and derivatives markets
by Martin Miville
1995, Volume 1995, Issue Summer
- 23-34 Aspects of economic restructuring in Canada, 1989-1994
by Ron Parker - 41-58 Uncertainty and the transmission of monetary policy in Canada (HERMES-Glendon Lecture) [speech]
by Gordon Thiessen
1995, Volume 1995, Issue Spring
- 3-16 Interpreting recent changes in monetary aggregates
by Kevin Clinton - 17-33 Exchange rate fundamentals and the Canadian dollar
by Robert Lafrance & Simon van Norden - 35-53 Disinflation in the 1990s: The experience of the industrialized world
by Graydon Paulin - 55-69 Managing the federal government's cash balances: A technical note
by Daryl Merrett & Serge Boisvert & Philippe Côté
1995, Volume 1995, Issue Autumn
- 3-21 The Government of Canada bond market since 1980
by Andrew Branion - 23-32 The effect of foreign demand shocks on the Canadian economy: An analysis using QPM
by Benjamin Hunt - 53-59 The role of monetary conditions and the monetary conditions index in the conduct of policy [speech]
by Charles Freedman
1995, Volume 1994-1995, Issue Winter
- 23-40 The term structure of interest rates as a leading indicator of economic activity: A technical note
by Kevin Clinton - 41-60 Some macroeconomic implications of rising levels of government debt
by Tiff Macklem - 61-70 Repo, reverse repo and securities lending markets in Canada
by Ron Morrow
1994, Volume 1994, Issue Autumn
- 23-38 The Bank of Canada's new Quarterly Projection Model (QPM): An introduction
by Stephen S. Poloz & David Rose & Robert Tetlow - 39-58 The demand for currency and the underground economy
by Thérèse Laflèche - 59-69 The use of Canadian bank notes
by Louise Hyland