Market Notices
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29 January 2016 Bank of Canada Announces Higher Target for Settlement Balances to Reinforce the Target for the Overnight Rate
Effective Friday, 29 January 2016, the Bank is increasing the target for the minimum daily level of settlement balances to $500 million, from its current level of $150 million. This measure will remain in effect until further notice. -
28 January 2016 Change to the Standard Terms for Auctions of Government of Canada Marketable Bonds and Terms and Conditions Governing the Morning Auction of Receiver General Cash Balances
The Department of Finance and the Bank of Canada have updated the rule for determining the coupon rates of Government of Canada nominal bonds. -
21 January 2016 Results of the 27-day and 84-day 21 January 2016 Term Repo Operation
Results of today's term repo operation. -
21 January 2016 Bank of Canada Announces the Minimum Bid Rate for Today's Term Repo Operation
Bank of Canada Announces the Minimum Bid Rate for Today's Term Repo Operation. -
20 January 2016 Bank of Canada Announces Details of its Term Repo Operations
The Bank of Canada announced today that it will conduct term repo operations. -
5 January 2016 Results of the 28-day 5 January 2016 Term Repo Operation
Results of today's term repo operation. -
5 January 2016 Bank of Canada Announces the Minimum Bid Rate for Today's Term Repo Operation
Bank of Canada Announces the Minimum Bid Rate for Today's Term Repo Operation. -
4 January 2016 Bank of Canada Announces Details of its Term Repo Operations
The Bank of Canada announced today that it will conduct term repo operations.