Bank of Canada Banking Statistiques bancaires et financières and Financial Statistics

Bank of Canada Banking Statistiques bancaires et financières and Financial Statistics
Bank of Canada Banking
Statistiques bancaires et financières
and Financial Statistics
de la Banque du Canada
October 2007
Octobre 2007
Statistics Canada information is used with the permission
of Statistics Canada. Users are forbidden to copy this
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modified form, for commercial purposes, without the
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Canada can be obtained from Statistics Canada’s Regional
Offices, its World Wide Web site at http://www.statcan.ca,
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S1
Statistical tables
Tableaux statistiques
* indicates occasional tables that are published in the K section. Latest publication date
is in parentheses.
† Source: (If appropriate "Adapted from") the Statistics Canada CANSIM database
http://cansim2.statcan.ca, compiled on 5 October 2007.
* désignent les tableaux de la section K, qui sont publiés à des fréquences variables. La date la plus
récente de publication de ces tableaux est indiquée entre parenthèses.
† Source : (ou, selon le cas, « D’après : ») la base de données CANSIM de Statistique Canada
http://cansim2.statcan.ca, date de compilation : le 5 octobre 2007.
A. Summary tables S5
A. Tableaux synoptiques S5
A1†
A2†
A1†
A2†
Summary of key monetary policy variables
Major financial and economic indicators
Sommaire des variables clés relatives à la politique monétaire
Principaux indicateurs financiers et économiques
B. Bank of Canada S10
B. Banque du Canada S10
B1
B2
B3
B4
K1*
B1
B2
B3
B4
K1*
Bank of Canada: Monthly series
Bank of Canada: Weekly series
Bank of Canada: Weekly series
Statistics pertaining to counterfeit Bank of Canada notes
Bank of Canada note liabilities (February 2007)
Banque du Canada : Séries mensuelles
Banque du Canada : Séries hebdomadaires
Banque du Canada : Séries hebdomadaires
Statistiques relatives aux billets de la Banque du Canada contrefaits
Passif-billets de la Banque du Canada (Février 2007)
C. Chartered banks S16
C. Banques à charte S16
C1
C2
C3
C4
C5
C6
C7
C1
C2
C3
C4
C5
C6
C7
K12*
C8
Chartered bank selected assets — Monthly average series
Chartered bank selected liabilities — Monthly average series
Chartered bank assets — Month-end series
Chartered bank liabilities — Month-end series
Chartered banks: Regional distribution of assets
Chartered banks: Regional distribution of liabilities
Chartered banks: Quarterly classification of non-mortgage
loans
K12* Chartered banks: Quarterly classification of deposit
liabilities (March 2007)
C8
Selected seasonally adjusted series: Chartered bank assets
and liabilities
C9
Chartered banks: Total foreign currency assets and liabilities
C10 Chartered banks: Total claims and liabilities booked worldwide
vis-à-vis non-residents
C11 Canadian Bankers Association: Credit extended to businesses
in Canada (As of January 2002, this table has been discontinued.)
K2* Total chartered banks: Consolidated statement of revenue,
expense, and shareholders’ equity (April 2007)
C9
C10
C11
K2*
Banques à charte : Quelques éléments de l’actif — Moyenne mensuelle
Banque à charte : Quelques éléments du passif — Moyenne mensuelle
Banques à charte : Actif — Séries de fin de mois
Banques à charte : Passif — Séries de fin de mois
Banques à charte : Répartition régionale de l’actif
Banques à charte : Répartition régionale du passif
Banques à charte : Ventilation trimestrielle des prêts non hypothécaires
Banque à charte : Répartition trimestrielle du passif-dépôts (Mars 2007)
Quelques statistiques bancaires désaisonnalisées : Avoirs et engagements des
banques à charte
Banques à charte : Avoirs et engagements en monnaies étrangères
Banques à charte : Ensemble des créances et engagements comptabilisés
dans le monde au nom de non-résidents
Association des banquiers canadiens : Crédit consenti aux entreprises au
Canada (Ce tableau a été supprimé en janvier 2002.)
Ensemble des banques à charte : État consolidé des revenus, des dépenses et
de l’avoir propre des actionnaires (Avril 2007)
Banking and Financial Statistics October 2007
Statistiques bancaires et financières Octobre 2007
D. Other financial institutions S40
D. Autres institutions financières S40
D1†
D1†
D2†
K4*
D3†
D4†
D5†
Trust and mortgage loan companies excluding bank trust and
mortgage subsidiaries: Quarterly statement of estimated assets
and liabilities
Local credit unions and caisses populaires: Quarterly statement
of estimated assets and liabilities
Deposits with government savings institutions (March 2007)
Non-depository credit intermediation: Quarterly statement of
assets and liabilities
Life insurers (including accident and sickness branches) and
segregated funds
Investment funds: Quarterly statement of estimated assets
and liabilities
D2†
K4*
D3†
D4†
D5†
Sociétés de fiducie ou de prêt hypothécaire, à l’exception des filiales de
banques à charte : Situation trimestrielle (estimations)
Caisses populaires et crédit unions locales : Situation trimestrielle
(estimations)
Dépôts dans les caisses d’épargne publiques (Mars 2007)
Intermédiation financière non financée au moyen de dépôts :
Situation trimestrielle
Compagnies d’assurance vie (y compris leurs divisions d’assurance accidents
et d’assurance maladie) et caisses séparées
Sociétés de placement : Situation trimestrielle (estimations)
E. Financial aggregates S50
E. Agrégats financiers S50
E1† Selected monetary aggregates and their components
E2† Selected credit measures
K7*† Monetary aggregates and credit measures (March 2007)
E1† Agrégats monétaires et leurs composantes
E2† Quelques indicateurs du crédit
K7*† Agrégats monétaires et mesures du crédit (Mars 2007)
F. Financial markets S60
F. Marchés financiers S60
F1
F2
F3
F4
F5
F1
F2
F3
F4
F5
F6
F7
F8
F9
F10
K8*
K9*
F11
Financial market statistics
Corporate short-term paper outstanding
Stock market statistics: Canada and United States
Net new security issues placed in Canada and abroad
Net new security issues placed in Canada (includes foreign
currency issues placed in Canada)
Net new security issues placed abroad (includes Canadian
dollar issues placed in overseas markets)
Gross new bond issues and retirements: Government of
Canada and provinces
Gross new bond issues and retirements: Municipalities
Gross new issues and retirements: Corporations, other
institutions, and foreign borrowers
Net new issues of securities by financial and non-financial
corporations
Bonds outstanding: Government of Canada, provincial,
municipal, corporate and other bonds (March 2007)
Net new issues of corporate securities: Industrial
classification (March 2007)
Money market trading by type of security
F6
F7
F8
F9
F10
K8*
K9*
F11
S 2
Statistiques du marché financier
Encours des effets à court terme des sociétés
Statistiques boursières : Canada et États-Unis
Émissions nettes de titres placés au Canada et à l’étranger
Émissions nettes de titres placés au Canada (y compris les titres libellés
en monnaies étrangères placés au Canada)
Émissions nettes de titres placés à l’étranger (y compris les titres libellés
en dollars canadiens placés sur les marchés d’outre-mer)
Émissions brutes d’obligations et remboursements : Gouvernement
canadien et provinces
Émissions brutes d’obligations et remboursements : Municipalités
Émissions brutes de titres, remboursements et rachats : Sociétés, autres
institutions et emprunteurs étrangers
Émissions nettes de titres : Sociétés financières ou non financières
Encours des obligations : Gouvernement canadien, provinces,
municipalités, sociétés et autres emprunteurs (Mars 2007)
Émissions nettes des sociétés : Répartition selon la branche d’activité
économique (Mars 2007)
Répartition des opérations conclues sur le marché monétaire, par catégorie de
titres
Banking and Financial Statistics October 2007
Statistiques bancaires et financières Octobre 2007
F12
F13
Bond market trading by type of security
Government of Canada treasury bill and bond trading with
counterparties
F14 Strip bond trading and repos by type of security
F15 Financial futures
K14 * Bank of Canada transactions (par value) (April 2007)
F12
G. Government of Canada S83
G. Gouvernement du Canada S83
G1
G2
G1
G2
G3
G4
G5†
G6
G7
Government of Canada fiscal position
Government of Canada direct marketable bonds:
New issues and retirements
Government of Canada direct marketable bonds:
Details of unmatured outstanding issues
Government of Canada direct securities and loans:
Distribution of holdings
Government of Canada direct securities and loans:
Distribution by type of holder
Government of Canada direct securities and loans:
Classified by remaining term to maturity and type of asset
Government of Canada direct securities and loans:
Holdings of general public classified by remaining term
to maturity
Répartition des opérations conclues sur le marché obligataire, par catégorie de
titres
F13 Répartition des opérations conclues sur bons du Trésor et obligations du
gouvernement canadien, par partie contractante
F14 Répartition des opérations sur obligations coupons détachés et opérations
avec clause de réméré, par catégorie de titres
F15 Contrats à terme sur instruments financiers
K14 * Opérations de la Banque du Canada (valeur nominale) (Avril 2007)
G3
G4
G5†
G6
G7
Trésorerie du gouvernement canadien
Obligations négociables émises par le gouvernement canadien :
Émissions et remboursements
Obligations négociables émises par le gouvernement canadien :
Description des titres non échus en circulation
Titres et emprunts émis par le gouvernement canadien :
Répartition des portefeuilles
Titres et emprunts émis par le gouvernement canadien :
Répartition des portefeuilles par type de détenteur
Titres et emprunts émis par le gouvernement canadien :
Répartition par terme à courir et catégorie d’avoirs
Titres et emprunts émis par le gouvernement canadien :
Répartition, par terme à courir, des portefeuilles du public
H. General economic statistics S94
H. Statistiques économiques diverses S94
H1†
H2†
H3†
H4†
H5†
H6†
H7†
H8†
H9†
K13*
H1†
H2†
H3†
H4†
H5†
H6†
H7†
H8†
H9†
K13*
National accounts
Gross domestic product at constant prices
Gross domestic product: Price indexes
Gross domestic product at factor cost by industry
Labour force status of the population
Labour force status of the population by region
Residential construction
Consumer price index
Other prices and costs
Consumer price index excluding the effect of indirect taxes
Contribution of indirect taxes to changes in the consumer price
index (February 2007)
S 3
Comptes nationaux
Produit intérieur brut à prix constants
Produit intérieur brut : Indices des prix
Produit intérieur brut au coût des facteurs, par branche d’activité
Répartition de la population active
Répartition de la population active par région
Construction résidentielle
Indice des prix à la consommation
Autres prix et coûts
Indice des prix à la consommation hors effets des impôts indirects
Contribution des impôts indirects aux variations de l’indice des prix
à la consommation (Février 2007)
Banking and Financial Statistics October 2007
I.
Foreign exchange market and reserves S106
Statistiques bancaires et financières Octobre 2007
I.
Marché des changes et réserves de change S106
I1
Exchange rates
I2
Canada’s official international reserves
K11* Exchange Fund Account: Assets and liabilities (December 2006)
I1
Cours du change
I2
Réserves officielles de liquidités internationales du Canada
K11* Fonds des changes : Avoirs et engagements (Décembre 2006)
J. Balance of payments and external trade S108
J. Balance des paiements et commerce extérieur S108
J1†
J1†
J2†
J3†
J2†
J3†
J4†
J5†
Canadian balance of international payments: Current
account
Canadian balance of international payments: Capital
account
Exports and imports by area (balance of payments basis)
Commodity classification of merchandise exports: Price and
volume (balance of payments basis)
Commodity classification of merchandise imports: Price and
volume (balance of payments basis)
K. Tables published occasionally. This issue:
None
J4†
J5†
Balance canadienne des paiements : Balance courante
Balance canadienne des paiements : Balance des capitaux
Répartition des exportations et importations par région (sur la base
de la balance des paiements)
Répartition des exportations par catégorie de produits : Prix et volume
(sur la base de la balance des paiements)
Répartition des importations par catégorie de produits : Prix et volume
(sur la base de la balance des paiements)
K. Tableaux à fréquence variable publiés dans la présente
livraison :
Aucun
Notes to the tables S115
Notes relatives aux tableaux S115
Subject index S123
Index des sujets S123
S 4
A1
Summary of key monetary policy variables
Sommaire des variables clés relatives à la politique monétaire
Monthly
Données
mensuelles
Inflation-control target
(12-month rate)
Cible de maîtrise
de l’inflation
(taux sur douze mois)
Target
range
Fourchette
cible
CPI Core
IPC CPI*
Indice
de
référence*
Policy instrument
Instrument de politique
monétaire
Operating band
for overnight rate
(end of month)
Fourchette
opérationnelle
pour le taux
du financement
à un jour
(fin du mois)
Low
Bas
High
Haut
Monetary conditions indicators
Indicateurs des conditions monétaires
Overnight
money
market
rate
Taux du
financement
à un jour
90-day
commercial
paper rate
Taux
du papier
commercial
à 90
jours
Canadian dollar
effective
exchange
rate index
(CERI)
1992=100**
Indice de
taux de
change
effectif du
dollar
canadien
(TCEC)
1992 = 100**
S5
Monetary aggregates
(12-month growth rate)
Agrégats monétaires
(taux de croissance
sur 12 mois)
M1+
(gross)
M1+
(brut)
M1++
(gross)
M1++
(brut)
M2++
(gross)
M2++
(brut)
Inflation indicators
Indicateurs de l’inflation
Yield
spread
between
conventional
and Real
Return
Bonds
Écart de
rendement
entre les
obligations
classiques
et à
rendement
réel
Total CPI
excluding
food,
energy, and
the effect of
changes in
indirect taxes
IPC
global hors
alimentation,
énergie et
effet des
modifications
des impôts
indirects
CPIW
IPCP
Unit
labour
costs
Coûts
unitaires
de maind’œuvre
IPPI
(finished
products)
IPPI
(produits
finis)
Average
hourly
earnings of
permanent
workers
Gains
horaires
moyens
des
travailleurs
permanents
(1)
(2)
(3)
(4)
(5)
(6)
(7)
(8)
(9)
(10)
(11)
(12)
(13)
(14)
(15)
(16)
(17)
2004 M
A
M
J
J
A
S
O
N
D
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
0.8
1.7
2.4
2.5
2.3
1.8
1.8
2.3
2.4
2.1
1.3
1.8
1.5
1.7
1.9
1.6
1.5
1.4
1.7
1.8
2.00
1.75
1.75
1.75
1.75
1.75
2.00
2.25
2.25
2.25
2.50
2.25
2.25
2.25
2.25
2.25
2.50
2.75
2.75
2.75
2.2482
1.9959
1.9985
2.0005
1.9973
1.9979
2.2496
2.4960
2.4977
2.4999
2.10
2.05
2.07
2.10
2.12
2.22
2.50
2.60
2.74
2.57
93.19
90.01
89.68
91.55
92.41
94.19
96.41
99.54
102.62
99.41
8.6
10.2
11.2
10.7
9.2
8.3
8.2
8.9
7.9
9.1
10.5
12.0
13.1
13.0
11.7
10.7
10.5
10.6
9.7
10.4
5.1
5.5
5.7
5.6
5.4
5.2
5.1
5.3
5.1
5.5
2.65
2.85
3.00
2.96
2.98
2.93
2.72
2.72
2.73
2.81
1.1
1.2
1.2
1.3
1.4
1.0
1.0
0.9
1.2
1.3
1.2
1.8
1.8
1.8
1.9
1.7
1.6
1.7
1.8
1.7
1.9
2.2
2.5
2.8
0.9
1.7
3.1
2.4
2.4
3.0
-3.5
-1.3
2.8
3.1
0.6
0.3
0.7
-0.6
-0.7
2.8
3.0
2.8
3.3
2.4
2.1
1.9
2.2
3.1
2.7
2005 J
F
M
A
M
J
J
A
S
O
N
D
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1.9
2.1
2.3
2.4
1.6
1.7
2.0
2.6
3.2
2.6
2.0
2.1
1.7
1.7
1.8
1.6
1.6
1.5
1.3
1.7
1.7
1.7
1.5
1.5
2.25
2.25
2.25
2.25
2.25
2.25
2.25
2.25
2.50
2.75
2.75
3.00
2.75
2.75
2.75
2.75
2.75
2.75
2.75
2.75
3.00
3.25
3.25
3.50
2.4980
2.4971
2.4794
2.4954
2.4866
2.4936
2.4922
2.4882
2.7421
2.9873
2.9883
3.2437
2.56
2.57
2.68
2.58
2.59
2.58
2.64
2.83
2.98
3.14
3.37
3.52
98.56
97.88
100.02
97.47
96.51
99.96
99.49
102.90
104.24
105.03
105.69
105.92
8.7
8.1
8.0
7.5
6.6
6.2
5.7
5.3
6.6
7.0
7.5
6.7
10.1
9.4
8.9
8.1
7.0
6.4
6.1
5.9
7.0
7.6
8.0
7.5
5.4
5.4
5.3
5.2
5.2
5.2
5.2
5.3
5.8
6.1
6.3
6.3
2.71
2.69
2.69
2.67
2.60
2.42
2.38
2.39
2.57
2.67
2.53
2.58
1.1
1.4
1.5
1.1
1.2
1.4
1.1
1.5
1.5
1.4
1.4
1.3
1.6
1.7
1.9
1.8
1.6
1.6
1.7
1.9
2.1
1.9
1.7
1.7
2.2
2.2
3.9
3.2
2.4
3.2
3.8
3.0
3.0
3.4
3.7
3.0
-0.5
-0.7
-0.5
-2.2
-1.5
-0.7
-0.3
0.8
0.6
1.5
0.9
3.0
2.5
3.2
3.2
2.4
2.9
3.1
3.4
3.6
3.7
3.6
3.6
2006 J
F
M
A
M
J
J
A
S
O
N
D
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
2.8
2.2
2.2
2.4
2.8
2.4
2.3
2.1
0.7
1.0
1.4
1.7
1.6
1.7
1.7
1.6
2.0
1.7
2.0
2.0
2.3
2.4
2.2
2.1
3.25
3.25
3.50
3.75
4.00
4.00
4.00
4.00
4.00
4.00
4.00
4.00
3.75
3.75
4.00
4.25
4.50
4.50
4.50
4.50
4.50
4.50
4.50
4.50
3.2961
3.4765
3.7269
3.8182
4.2126
4.2455
4.2442
4.2427
4.2465
4.2335
4.2476
4.2482
3.67
3.80
4.00
4.19
4.33
4.51
4.35
4.34
4.30
4.34
4.30
4.33
106.75
107.24
105.04
108.73
110.60
109.03
107.50
109.93
109.59
108.75
107.04
104.79
6.1
6.8
7.2
7.3
7.7
7.9
9.2
10.1
9.7
9.6
10.6
10.9
6.8
7.1
7.2
7.3
6.8
6.8
7.7
8.2
7.9
7.7
8.6
9.1
6.3
6.4
6.6
6.7
6.6
6.6
7.1
7.4
7.5
7.6
8.0
8.5
2.66
2.71
2.64
2.78
2.67
2.77
2.65
2.59
2.41
2.46
2.39
2.37
1.4
1.3
1.4
1.7
1.8
1.4
1.9
2.0
2.2
2.4
2.1
2.1
2.0
1.8
1.8
1.7
2.0
1.8
1.5
1.5
1.3
1.4
1.6
1.5
3.3
3.0
5.7
2.3
3.5
3.5 R
2.4
3.4
3.5
3.2
4.2
3.6
0.7
-0.8
0.3
-1.2
-0.9
0.5
-0.7
-2.5
-1.7
-0.4
1.0
3.2
3.2
3.1
3.1
4.0
3.7
4.0
4.0
3.4
3.1
2.8
2.3
2007 J
F
M
A
M
J
J
A
S
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1-3
1.1
2.0
2.3
2.2
2.2
2.2
2.2
1.7
2.3
2.3
2.3
2.5
2.2
2.5
2.3
2.2
4.00
4.00
4.00
4.00
4.00
4.00
4.25
4.25
4.25
4.50
4.50
4.50
4.50
4.50
4.50
4.75
4.75
4.75
4.2447
4.2504
4.2432
4.2471
4.2352
4.2536
4.5041
4.4158
4.4637
4.33
4.35
4.35
4.35
4.43
4.58
4.70
5.10
5.40
103.41
103.95
104.86
108.68
112.92
113.33
116.05
114.12
119.87
10.6
9.7
9.9
9.8
9.2
9.8
9.7
10.1
9.0
8.3
8.8
8.7
9.1
9.6
9.7 R
10.0
8.6
8.5
8.7
8.7
8.8
9.0
9.1
2.43
2.34
2.44
2.44
2.37
2.41
2.40
2.29
2.35
2.3
2.4
2.4
2.5
2.4
2.7
2.4
2.2
1.5
1.8
1.8
2.0
1.7
1.8
2.3
2.1
4.2
3.8
2.0
5.4
3.7
4.3
0.7
2.1
2.0
1.0
1.4
0.1
-1.6 R
-1.1
2.0
2.7
2.1
2.6
2.8
3.2
3.5
3.8
4.1
* New definition for core CPI as announced on 18 May 2001: CPI excluding eight of the most volatile components:
fruit, vegetables, gasoline, fuel oil, natural gas, intercity transportation, tobacco, and mortgage-interest costs, as well
as the effect of changes in indirect taxes on remaining CPI components
**The CERI replaces the C-6 index as the Bank of Canada’s new measure of the value of the Canadian dollar
vis-à-vis the currencies of its most important trading partners (October 2006). For more information:
www.bankofcanada.ca/en/rates/ceri.html
* Indice de référence selon la nouvelle définition annoncée le 18 mai 2001 : IPC hors huit des composantes les plus
volatiles, à savoir les fruits, les légumes, l’essence, le mazout, le gaz naturel, le transport interurbain, le tabac et les
intérêts sur prêts hypothécaires de même que l’effet des modifications des impôts indirects sur les composantes restantes
de l’IPC
**Le nouvel indice de taux de change effectif du dollar canadien (TCEC) remplace l’indice C-6 et devient ainsi
l’instrument dont se servira la Banque du Canada pour mesurer la valeur du dollar canadien par rapport aux
monnaies des principaux partenaires commerciaux du Canada (octobre 2006). Pour plus de renseignements :
www.banqueducanada.ca/fr/taux/ceri-f.html
A2
Major financial and economic indicators
Principaux indicateurs financiers et économiques
S6
Rates of change based on seasonally adjusted data, percentage rates unless otherwise indicated Variations calculées sur la base de données désaisonnalisées : en %, sauf indication contraire
Year,
quarter,
and
month
Année,
trimestre
ou
mois
Annual rates
Taux annuels
Monnaie et crédit
Monetary aggregates
Agrégats monétaires
Output and employment
Business credit
Crédits aux entreprises
Household credit
Crédits aux ménages
Short-term
business
credit
À court
terme
Total
business
credit
Total
Consumer
credit
Crédit à
la consommation
Residential
mortgage
credit
Crédit
hypothécaire
à
l’habitation
(4)
(5)
(6)
(7)
1.9
3.9
4.3
0.8
-1.2
4.2
5.9
6.6
7.2
4.8
4.9
4.7
6.2
6.8
4.1
6.8
7.2
5.4
5.7
7.0
7.6
6.2
3.5
5.2
5.6
7.1
1.6
5.5
1.5
7.7
11.5
2.4
6.5
-2.1
-6.1
-3.2
-1.0
5.7
11.9
4.8
5.1
5.5
10.0
11.4
6.2
7.1
5.3
4.4
1.8
4.4
6.2
5.6
14.1
7.6
6.3
2.9
6.1
4.0
-7.6
-6.2
11.0
13.4
5.1
5.3
12.8
16.5
7.0
5.0
5.4
6.5
4.1
3.1
5.6
6.8
4.6
4.3
2005 I
II
III
IV
9.6
7.0
1.6
10.2
9.6
7.1
3.7
10.6
6.1
5.5
2.6
5.7
2006 I
II
III
IV
8.1
11.0
9.4
13.1
6.8
6.9
7.4
12.9
2007 I
II
III
6.9
9.1
Production et emploi
GDP in
current
prices
PIB à
prix
courants
GDP volume,
(millions of
chained 2002
dollars,
quarterly)
Volume
du PIB
(en millions
de dollars
enchaînés
de 2002,
données
trimestrielles)
GDP by
industry,
(millions of
2002 dollars,
monthly)
PIB par
branche
d’activité
(millions
de dollars
de 2002,
données
mensuelles)
Employment
(Labour
Force
Information)
Emploi
(Information
population
active)
Unemployment
rate
Taux de
chômage
(8)
(9)
(10)
(11)
(12)
(13)
7.9
7.5
6.5
10.0
10.1
7.1
12.6
6.8
6.5
9.2
10.6
11.8
10.1
6.4
3.7
4.2
5.6
4.9
4.3
4.8
4.0
7.4
8.2
9.8
9.9
10.8
6.0
5.1
3.3
5.5
3.7
7.4
9.6
2.9
4.0
5.2
6.4
6.5
5.2
4.8
2.8
1.6
4.2
4.1
5.5
5.2
1.8
2.9
1.9
3.1
3.1
2.8
3.8
5.6
5.5
1.6
2.9
1.8
3.0
2.8
2.8
2.1
1.8
0.9
2.1
2.5
2.6
2.5
1.2
2.4
2.4
1.8
1.4
1.9
10.4
9.5
9.6
9.1
8.3
7.6
6.8
7.2
7.7
7.6
7.2
6.8
6.3
1.9
4.1
12.4
8.0
9.0
9.6
6.8
4.2
1.3
3.6
2.3
4.3
1.2
3.1
7.8
7.5
-5.0
8.1
7.9
3.7
3.8
6.5
6.9
5.5
9.2
12.5
12.8
11.4
9.2
10.9
10.7
10.6
7.9
11.0
6.0
4.6
2.7
4.9
4.2
2.2
3.0
3.9
3.1
1.3
1.6
2.4
0.9
1.4
7.3
7.2
7.0
7.1
5.8
6.2
5.4
7.4
3.2
6.2
8.1
8.5
6.4
5.7
6.6
6.3
10.8
11.6
13.0
11.9
8.8
9.2
10.6
11.2
4.6
6.7
10.6
8.2
1.7
3.5
4.1
3.5
2.3
3.5
3.7
3.1
0.9
1.4
2.0
2.3
7.0
6.9
6.7
6.5
5.4
7.1
9.0
9.8
6.6
7.1
8.1
10.3
19.4
9.6
12.3
11.4
5.4
5.1
5.5
4.4
8.9
8.0
10.0
9.5
11.0
11.5
10.0
10.0
3.6
3.1
2.9
1.9
3.4
1.5
1.3
1.5
3.5
1.8
1.7
1.1
1.7
2.9
0.6
2.4
6.4
6.2
6.4
6.2
7.8
8.5
6.7
7.1
8.9
8.1
14.1
12.0
7.3
10.1
9.6
10.5
11.3
12.0
10.5
9.5
3.9
3.4
4.1 R
3.0 R
3.9
1.3
1.7
6.1
6.1
6.0
M1+
(gross)
M1+
(brut)
M1++
(gross)
M1++
(brut)
M2+
(gross)
M2+
(brut)
M2++
(gross)
M2++
(brut)
(1)
(2)
(3)
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
8.4
0.8
8.2
11.2
7.0
6.0
10.6
10.3
10.9
5.0
8.9
7.0
8.6
1.4
-2.6
3.3
7.2
3.1
4.3
8.8
9.6
13.7
6.3
10.8
7.6
7.6
2003 III
IV
13.7
5.0
2004 I
II
III
IV
Last three months
Trois derniers mois
Monthly rates
Taux mensuels
Money and credit
9.9
9.4
6.9
8.2
10.8
8.9
10.5
12.0
2.7
1.7
5.9
2006 S
O
N
D
1.1
1.0
1.2
1.2
1.0
1.0
1.2
1.2
0.9
0.7
0.9
0.8
0.8
0.8
0.8
1.2
-0.1
0.3
2.9
1.1
0.2
-0.1
1.0
0.7
0.9
0.6
0.9
0.6
0.8
0.8
0.8
0.9
-0.4
0.1
0.3
0.4
0.1
0.3
0.1
0.3
6.4
6.1
6.2
6.1
2007 J
F
M
A
M
J
J
A
S
-0.1
0.3
1.1
1.1
-0.1
1.2
0.9
0.8
0.1
0.2
1.1
0.7
0.3
1.0 R
0.9 R
0.9
0.2
0.5
0.8
0.6
0.3
0.7
0.8
0.4
0.6
0.7
0.7
0.5
0.8
0.8
0.3
1.8
0.4
1.1
1.5
-0.2
1.2
0.2
0.7
0.8
1.0
0.9
0.3
0.5
0.8
0.7
0.8
0.7
1.1
0.8
0.9
1.0
0.8
1.1
0.8
1.1
0.5
0.1
0.3
0.1
0.2
0.1
0.1
0.3
6.2
6.1
6.1
6.1
6.1
6.1
6.0
6.0
5.9
0.2
0.4 R
0.4
0.3
0.2
0.2
S7
Prices and costs Prix et coûts
Capacity utilization rate
Taux d’utilisation des capacités
CPI
IPC
Core
CPI
Indice
de
référence
Wage settlements
Accords salariaux
GDP
chain
price
index
Indice
de prix
en chaîne
du PIB
Unit
labour
costs
Coûts
unitaires
de
maind’œuvre
(19)
(20)
Total
industrial
Ensemble
des industries
productrices
de biens non
agricoles
Manufacturing
industries
Industries
manufacturières
(14)
(15)
(16)
(17)
(18)
83.0
82.1
82.0
83.6
84.6
86.0
87.0
84.3
84.9
83.8
85.4
85.3
84.1
83.5
83.9
82.8
83.6
84.3
85.8
86.0
81.7
82.6
81.2
83.5
83.7
82.9
0.1
2.2
1.5
1.7
1.0
1.8
2.7
2.5
2.2
2.8
1.8
2.2
2.0
1.8
2.2
1.7
1.9
1.3
1.4
1.3
2.1
2.4
2.2
1.5
1.6
1.9
1.1
2.3
1.6
1.2
-0.5
1.7
4.2
1.1
1.1
3.3
3.2
3.4
2.4
83.1
85.2
80.4
83.6
2.1
1.7
1.4
2.5
85.1
85.4
85.8
85.2
82.9
83.6
84.3
83.1
2.0
3.1
1.0
3.1
84.7
84.9
85.6
86.0
83.1
83.0
83.8
84.8
85.8
84.6
83.5
82.4
82.8 R
83.0
Public
sector
Secteur
public
Private
sector
Secteur
privé
Bank of Canada
commodity price index
(unadjusted)
Indice des prix des
produits de base
établi par la Banque
du Canada (données
non désaisonnalisées)
Securities mid-market yield
Moyenne des cours acheteur
et vendeur des titres
Treasury
bills
3-month
Bons
du
Trésor
à
3 mois
Canada
10-year
benchmark
bonds
Obligations
de référence
à 10 ans du
gouvernement
canadien
Canada
30-year
Real Return
Bonds
Obligations à
rendement
réel à
30 ans du
gouvernement
canadien
Year,
quarter
and
month
Année,
trimestre
ou
mois
Total
Total
Nonenergy
Produits
de base non
énergétiques
(21)
(22)
(23)
(24)
(25)
(26)
1.0
0.1
3.0
3.1
1.4
2.6
2.3
3.1
3.5
0.7
0.5
1.1
1.6
1.9
2.5
3.3
2.9
2.9
1.4
2.2
2.6
1.2
1.4
1.8
1.9
1.7
2.7
2.4
3.0
2.6
1.2
2.3
2.4
2.1
3.3
8.3
3.8
-3.7
-15.3
6.7
18.4
-5.2
-5.9
20.1
20.5
23.1
6.9
7.5
11.1
-1.2
-4.3
-12.6
1.5
3.5
-6.9
-6.6
8.8
21.4
3.9
18.1
7.14
5.54
2.85
3.99
4.66
4.85
5.49
1.95
2.63
2.57
2.47
3.37
4.16
9.07
7.11
6.37
5.61
4.89
6.18
5.35
5.44
4.88
4.66
4.39
3.93
4.05
4.92
4.42
4.09
4.14
4.11
4.01
3.42
3.76
3.33
2.79
2.11
1.44
1.73
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
5.2
0.8
4.3
-0.5
3.2
2.2
2.3
1.6
0.6
17.6
20.8
19.5
2.58
2.57
4.64
4.66
3.08
2.79
2003 III
IV
1.0
1.8
1.3
2.1
4.7
5.8
1.9
2.3
3.3
2.9
1.8
2.4
2.8
-0.3
1.8
2.3
2.6
2.6
1.1
2.7
45.3
36.7
5.4
13.7
38.9
34.4
1.5
-15.7
1.98
2.01
2.45
2.47
4.33
4.83
4.58
4.39
2.39
2.37
2.32
2.11
2004 I
II
III
IV
1.0
2.7
3.9
1.4
1.8
1.4
1.3
1.9
2.6
3.4
6.0
4.8
3.9
3.6
3.2
2.7
2.6
2.6
2.9
1.6
2.3
2.6
2.8
2.1
16.3
24.0
62.5
27.7
25.6
-0.7
-10.2
14.0
2.56
2.48
2.86
3.37
4.39
3.81
3.94
3.93
2.08
1.87
1.64
1.44
2005 I
II
III
IV
84.9 R
83.3
82.2 R
81.0 R
2.0
3.1
0.2
1.9
2.0
2.6
2.1
1.8
1.4
0.4
6.5
0.1
3.2
5.1
2.2
2.7
2.7
2.9
2.5
2.2
2.5
1.4
-26.9
19.6
1.4
-9.1
28.7
47.4
12.4
6.5
3.86
4.32
4.15
4.16
4.23
4.63
3.98
4.05
1.59
1.90
1.66
1.73
2006 I
II
III
IV
81.0 R
81.3
4.5
3.4
2.4
2.5
6.5
5.7
5.0
4.6 R
3.3
3.0
2.6
3.1
7.7
30.7
-6.1
10.6
26.7
-18.1
4.16
4.42
3.97
4.10
4.62
4.41
1.77
2.15
2.15
2007 I
II
III
0.6
2.0
4.6
-6.1
-18.1
3.97
4.41
2.15
-0.3
-0.1
0.4
0.3
0.4
0.2
0.1
0.9
-0.1
1.3
-0.4
-9.2
0.4
4.9
-0.1
0.1
0.6
1.1
0.8
4.15
4.16
4.18
4.16
3.98
4.17
3.94
4.05
1.66
1.78
1.63
1.73
2006 S
O
N
D
0.3
0.5
0.5
0.2
0.3
-0.1 R
-0.1
0.3
0.3
0.2
0.3
0.1
0.2
0.2
0.1
0.5
1.8
-0.7
1.2
-4.2
7.4
-0.3
4.6
0.4
-0.6
-0.5
-2.7
3.2
-0.8
2.6
2.3
4.0
1.0
-3.1
-0.9
-3.9
1.1
4.17
4.19
4.16
4.16
4.29
4.42
4.57
3.83
3.97
4.17
4.03
4.10
4.15
4.48
4.62
4.58
4.38
4.41
1.79
1.75
1.77
1.76
2.02
2.15
2.09
2.15
2.15
2007 J
F
M
A
M
J
J
A
S
A2
Continued
Suite
Year,
quarter
and
month
Année,
trimestre
ou
mois
Balance of payments
(as a percentage of GDP)
Balance des paiements
(en pourcentage du PIB)
Merchandise
trade
Solde de
la balance
commerciale
Current
account
Solde de
la balance
courante
U.S. dollar,
in Canadian
dollars,
average
noon
spot rate
Cours
moyen au
comptant
du dollar
É.-U. en
dollars
canadiens
à midi
Total, all levels
of government
Ensemble des
administrations
publiques
(27)
(28)
(29)
(30)
(31)
-4.6
-3.9
-2.0
0.7
0.8
0.9
1.9
1.1
0.8
0.3
0.8
0.1
0.6
-6.7
-5.3
-2.8
0.2
0.1
1.6
2.9
0.7
-0.1
-0.1
0.8
1.6
1.0
2.6
4.4
5.1
2.9
2.6
4.3
6.2
6.4
5.0
4.7
5.1
4.6
3.5
-2.3
-0.8
0.5
-1.3
-1.2
0.3
2.7
2.3
1.7
1.2
2.3
2.0
1.6
1.3659
1.3726
1.3636
1.3844
1.4831
1.4858
1.4852
1.5484
1.5704
1.4015
1.3015
1.2116
1.1341
2003 III
IV
0.6
0.9
-0.2
0.3
4.9
4.7
1.6
1.7
1.3799
1.3160
2004 I
II
III
IV
0.7
0.3
1.0
1.1
0.2
0.6
1.0
1.2
5.1
6.1
5.1
4.2
2.2
2.7
2.2
1.9
1.3179
1.3592
1.3072
1.2203
2005 I
II
III
IV
-1.3
0.7
0.1
1.0
1.1
1.4
1.6
2.1
3.7
4.0
4.9
5.7
1.1
1.2
2.4
3.4
1.2267
1.2439
1.2012
1.1733
2006 I
II
III
IV
0.8
1.0
-0.4
1.0
0.8
1.4
0.9
1.0
4.3
3.4
3.1
3.4
2.5
1.2
1.6
1.3
1.1547
1.1213
1.1211
1.1388
2007 I
II
III
1.0
1.0
1.1
1.7
3.9
4.2
1.6
2.2
1.1716
1.0981
1.0446
Last three months
Trois derniers mois
Monthly rates
Taux mensuels
Government surplus or
deficit (-) on a
national accounts basis
(as a percentage of GDP)
Excédent ou déficit (-) des
administrations publiques sur
la base des comptes nationaux
(en pourcentage du PIB)
Government
of Canada
Gouvernement
du Canada
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Annual rates
Taux annuels
S8
1.0446
2006 S
O
N
D
1.1162
1.1286
1.1362
1.1530
2007 J
F
M
A
M
J
J
A
S
1.1759
1.1707
1.1682
1.1343
1.0949
1.0652
1.0503
1.0582
1.0254
B1
Bank of Canada: Monthly series
Banque du Canada : Séries mensuelles
End
of period
En fin
de période
Assets
Millions of dollars
S 10
En millions de dollars
Actif
Government of Canada direct and guaranteed securities
Titres émis ou garantis par le gouvernement canadien
Treasury
bills
Bons
du
Trésor
Bonds
Obligations
3 years
and under
3 ans
ou moins
3-5
years
De 3 à
5 ans
5-10
years
De 5 à
10 ans
V36657
Loans and receivables
Prêts et créances
Total
Total
Over
10 years
Plus de
10 ans
Total
Total
Advances to
members of
the Canadian
Payments
Association
Avances aux
membres de
l’Association
canadienne
des paiements
Securities
purchased
under resale
agreements
Titres
achetés
dans le
cadre de
conventions
de revente
Other loans
and
receivables
Autres
prêts et
créances
V36670
V41550172
Other
investments
Autres
placements
Foreign
currency
deposits
Dépôts
en
monnaies
étrangères
All other
assets
Autres
éléments
de l’actif
Total
assets or
liabilities
and capital
Total
de l’actif
ou du
passif et
capital
V36653
V36655
V36656
V36658
V36654
V36652
V36663
V36660
V36661
V36659
V36651
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
14,394
16,816
19,147
18,072
17,417
14,065
10,564
12,021
9,135
12,606
13,113
12,511
13,629
16,385
18,121
3,210
2,368
1,879
1,524
2,328
4,166
6,302
7,515
8,343
8,800
8,571
8,534
9,154
10,337
10,972
983
773
879
913
2,167
3,423
3,686
3,650
3,703
3,683
4,599
5,760
5,910
5,768
6,639
1,938
1,903
1,831
1,627
1,519
2,393
3,767
5,414
6,859
9,046
9,226
9,028
8,954
8,128
6,439
1,843
1,578
1,340
1,228
1,949
2,984
3,427
3,912
4,732
4,248
4,823
5,342
5,543
5,793
6,097
7,973
6,622
5,929
5,292
7,963
12,965
17,182
20,491
23,636
25,777
27,220
28,665
29,562
30,026
30,147
22,367
23,437
25,076
23,364
25,380
27,030
27,746
32,511
32,771
38,382
40,333
41,176
43,191
46,411
48,268
224
131
447
545
554
363
656
561
952
647
535
12
-
4,178
4,685
3,575
5,293
3,942
3,434
4,456
5,131
3,167
431
3
3
3
38
38
173
307
525
548
239
386
327
610
747
396
679
541
513
88
3
500
484
427
450
469
535
624
4,250
1,911
1,948
2,410
2,398
3,024
1,783
3,305
27,442
29,045
30,050
30,201
30,584
31,749
33,809
43,063
39,548
41,804
43,959
44,118
46,731
48,320
51,625
2004 O
N
D
13,775
14,246
13,629
9,549
9,549
9,154
5,912
5,911
5,910
8,640
8,954
8,954
5,544
5,544
5,543
29,645
29,958
29,562
43,420
44,204
43,191
1
-
-
3
3
3
252
250
513
803
923
3,024
44,478
45,380
46,731
2005 J
F
M
A
M
J
J
A
S
O
N
D
12,864
12,624
12,790
12,687
13,919
14,659
14,701
15,378
14,846
14,924
15,336
16,385
9,154
9,154
9,380
9,380
9,380
10,588
10,587
10,587
10,618
10,643
10,643
10,337
5,910
5,909
5,891
5,891
5,890
5,946
5,947
5,947
5,769
5,768
5,768
5,768
8,954
9,258
9,233
9,233
9,539
8,580
8,580
9,103
7,873
7,847
8,128
8,128
5,687
5,899
5,899
5,898
6,112
5,445
5,590
5,589
5,589
5,588
5,794
5,793
29,705
30,221
30,403
30,402
30,922
30,560
30,704
31,226
29,848
29,846
30,333
30,026
42,569
42,845
43,193
43,089
44,841
45,218
45,405
46,604
44,693
44,770
45,669
46,411
5
1
1
5
-
-
3
3
3
3
38
38
38
38
38
38
38
38
261
255
256
262
226
218
221
216
212
216
328
88
1,210
752
686
814
1,316
968
644
777
674
816
948
1,783
44,042
43,860
44,140
44,169
46,421
46,442
46,308
47,635
45,617
45,840
46,988
48,320
2006 J
F
M
A
M
J
J
A
S
O
N
D
14,479
14,199
14,168
14,921
15,981
16,592
16,547
16,939
17,333
17,563
17,853
18,121
10,337
10,336
10,290
10,290
10,289
11,409
11,408
11,408
11,574
11,559
11,797
10,972
5,768
5,768
5,957
5,957
5,958
6,821
6,821
6,821
6,675
6,638
6,639
6,639
8,127
8,406
8,200
8,200
8,506
6,787
6,787
7,320
6,141
6,141
6,439
6,439
5,943
6,139
6,138
6,359
6,358
5,733
5,873
5,873
5,872
6,099
6,098
6,097
30,175
30,650
30,586
30,805
31,111
30,750
30,889
31,421
30,262
30,437
30,973
30,147
44,654
44,849
44,753
45,726
47,092
47,342
47,437
48,360
47,595
47,999
48,826
48,268
59
35
23
25
33
14
15
19
12
-
38
38
38
38
38
38
38
38
38
38
38
38
87
87
91
87
86
88
90
2
5
4
4
3
622
732
688
816
959
1,189
606
1,459
1,809
3,317
2,179
3,305
45,400
45,706
45,629
46,703
48,199
48,681
48,203
49,872
49,462
51,358
51,066
51,625
2007 J
F
M
A
M
J
J
A
S
17,016
16,768
17,087
17,460
19,093
20,893
20,034
21,414
20,324
11,114
11,157
11,118
11,158
11,553
11,341
11,390
11,438
11,503
6,723
6,751
6,700
6,729
6,759
7,100
7,131
7,456
6,201
6,494
6,518
6,542
6,568
6,895
5,400
5,422
5,696
5,712
6,570
6,599
6,638
6,929
6,961
6,088
6,270
6,300
6,327
30,901
31,025
30,998
31,385
32,168
29,929
30,213
30,889
29,743
47,917
47,793
48,085
48,845
51,261
50,822
50,248
52,303
50,067
54
18
159
15
14
13
-
18
2
18
18
18
19
18
15
32
38
38
38
38
38
38
38
38
38
2
4
7
4
4
4
3
4
7
219
216
214
215
213
215
214
215
214
48,249
48,070
48,521
49,134
52,230
51,952
50,536
52,587
51,906
696
854
1,548
S 11
Liabilities and capital Passif et capital
Notes in
circulation
Billets en
circulation
Canadian dollar deposits
Dépôts en dollars canadiens
Foreign
currency
liabilities
Engagements
en monnaies
étrangères
All other
liabilities
Autres
éléments
du passif
Securities
sold under
repurchase
agreements
Titres
vendus dans
le cadre de
conventions
de rachat
Capital
Capital
V36684
V41886562
V41886563
End of
period
En fin
de période
Government
of Canada
Gouvernement
canadien
Members of
the Canadian
Payments
Association
Membres de
l’Association
canadienne
des paiements
Other
Autres
V36672
V36677
V41886561
V36681
V36682
25,609
27,237
28,329
28,778
29,109
30,542
32,638
40,143
36,775
38,821
41,147
42,191
44,241
46,078
48,762
20
9
26
18
11
41
11
12
16
1,005
535
533
1,063
911
2,228
1,206
1,094
619
518
960
564
652
1,947
1,771
1,331
1,191
500
501
50
12
513
499
640
629
348
278
244
428
267
290
415
337
383
422
444
28
157
373
185
91
231
162
455
584
225
516
403
384
-
66
49
62
73
65
94
103
79
134
134
155
154
160
859
180
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
41,706
41,671
44,241
1,274
2,618
1,063
601
200
501
352
361
383
123
124
384
422
406
160
2004 O
N
D
41,382
41,398
41,753
41,983
42,794
43,813
44,190
43,784
43,591
43,567
43,788
46,078
1,664
1,345
1,221
1,041
2,488
1,373
969
2,723
937
344
1,593
911
200
206
202
201
200
300
223
200
200
400
54
50
386
380
384
367
363
368
362
346
346
366
347
422
128
123
127
129
129
128
129
127
125
126
240
-
282
408
454
449
446
461
435
455
417
1,037
966
859
2005 J
F
M
A
M
J
J
A
S
O
N
D
43,439
43,309
43,568
44,182
44,717
45,952
45,637
46,143
45,807
45,910
46,356
48,762
1,205
1,475
1,041
1,590
2,483
1,774
1,613
2,789
2,177
2,655
3,762
2,228
50
50
59
35
23
25
33
13
563
1,871
19
12
415
453
469
429
507
423
415
415
396
409
405
444
-
292
420
492
467
470
507
505
512
519
514
524
180
2006 J
F
M
A
M
J
J
A
S
O
N
D
45,772
45,719
46,008
46,632
47,305
48,437
47,921
48,711
47,980
1,625
1,393
1,354
1,502
3,909
2,555
1,581
2,622
1,908
54
18
160
15
25
25
40
264
1,039
454
449
450
448
449
443
474
451
439
-
344
491
549
537
541
474
505
497
391
2007 J
F
M
A
M
J
J
A
S
-
17
16
43
149
B2
Bank of Canada: Assets and liabilities
Banque du Canada : Actif et passif
Average
of Wednesdays
and
Wednesday
Moyenne
mensuelle
des mercredis
ou données
du mercredi
Assets
S 12
Millions of dollars En millions de dollars
Actif
Government of Canada
direct and guranteed securities
Titres émis ou garantis par
le gouvernement canadien
Advances
Avances
Total
assets or
liabilities
and capital
Total de
l’actif
ou du
passif et
capital
Notes in
circulation
Billets
en
circulation
Canadian dollar deposits
Dépôts en dollars canadiens
Government
of Canada
Gouvernement
canadien
Members
of the
Canadian
Payments
Association
Membres de
l’Association
canadienne
des
paiements
V36649
V36635
V36596
V36610
V36639
V36625
V36642
V36628
V36650
V36636
All other assets
Autres éléments
de l’actif
Liabilities and capital Passif et capital
All other
liabilities
and capital
Autres
éléments
du passif
et capital
Treasury
bills
Bons
du Trésor
Total bonds
Total des
obligations
V36598
V36612
V36599
V36613
2005 S
O
N
D
15,050
14,892
15,036
16,039
29,680
29,847
30,124
29,907
1
12
1
4
875
1,103
1,232
1,562
45,605
45,854
46,393
47,512
43,567
43,647
43,679
44,977
1,111
1,234
1,262
1,343
51
62
51
54
876
911
1,402
1,139
2006 J
F
M
A
M
J
J
A
S
O
N
D
15,301
14,418
14,158
14,387
15,518
16,162
16,264
16,709
17,138
17,587
17,460
18,013
30,101
30,392
30,586
30,640
30,927
30,580
30,784
31,191
30,262
30,324
30,770
30,147
13
88
33
22
119
20
30
57
46
16
16
25
1,099
793
741
1,003
1,021
532
665
789
838
786
1,123
1,675
46,514
45,690
45,517
46,051
47,584
47,294
47,743
48,747
48,284
48,713
49,369
49,860
43,901
43,336
43,224
44,011
44,480
44,828
45,409
45,696
45,696
45,920
46,060
47,460
1,433
887
1,051
1,152
2,015
1,543
1,416
1,906
1,654
1,879
2,397
1,702
64
43
33
22
19
20
30
19
46
16
16
25
1,116
1,424
1,209
866
1,070
903
888
1,125
888
897
895
673
2007 J
F
M
A
M
J
J
A
S
17,273
16,838
16,815
17,304
17,955
18,994
19,905
20,289
20,860
30,595
30,978
30,939
31,120
31,766
29,876
30,033
30,597
29,420
36
140
242
16
28
105
2
8
1
649
273
261
583
271
772
277
435
268
48,554
48,230
48,257
49,024
50,020
49,747
50,217
51,330
50,549
46,276
45,679
45,588
46,386
46,939
47,229
47,760
47,949
47,950
1,525
1,368
1,002
1,668
1,975
1,460
1,465
2,210
1,444
36
16
107
16
18
130
27
229
201
717
1,167
1,559
953
1,088
929
965
942
954
V36648
V36634
V36646
V36632
2007 J
6
13
20
27
18,605
18,616
19,368
19,385
29,832
29,861
29,891
29,921
22
397
-
708
710
707
965
49,166
49,584
49,967
50,270
47,149
46,989
47,051
47,726
1,023
1,193
2,020
1,603
46
422
25
25
949
980
870
915
J
4
11
18
25
20,405
19,920
19,642
19,654
29,950
29,980
30,010
30,192
7
279
282
271
275
50,634
50,182
49,923
50,128
48,356
47,713
47,472
47,498
1,358
1,506
1,387
1,610
25
25
25
32
894
938
1,039
988
A
1
8
15
22
29
20,037
20,053
20,200
20,238
20,919
30,218
30,499
30,529
30,854
30,885
9
33
-
751
269
615
270
271
51,015
50,821
51,377
51,362
52,075
48,077
48,310
47,724
47,573
48,060
2,037
1,519
2,223
2,508
2,765
35
25
533
300
250
866
966
897
982
1,001
S
5
12
19
26
21,426
20,843
20,856
20,317
29,288
29,317
29,340
29,735
2
3
267
267
268
269
50,981
50,427
50,465
50,323
48,539
47,867
47,644
47,752
1,260
1,341
1,737
1,438
250
250
152
152
932
970
933
980
O
3
20,334
29,722
-
1,027
51,083
48,214
1,524
300
1,045
B3
Bank of Canada: Monthly and weekly series
Banque du Canada : Séries mensuelles et hebdomadaires
Millions of dollars
Monthly and
week ending
Wednesday
Données
mensuelles
et de la
semaine se
terminant
le mercredi
S 13
En millions de dollars
Positions of members of the Canadian Payments Association with the Bank of Canada
Positions des membres de l’Association canadienne des paiements à la Banque
du Canada
Total overdraft loans
Total des prêts pour
découvert
Total
amount
Montant
total
Days
transacted
Nombre
de jours
V41838377
V41838391
V41838378
V41838392
Total positive balances1
Total soldes créditeurs1
Special deposit accounts
Comptes spéciaux de dépôt
Total
amount
Montant
total
Days
transacted
Nombre
de jours
Total
amount
Montant
total
Days
transacted
Nombre
de jours
V41838379
V41838393
V41838380
V41838394
V41838381
V41838395
V41838382
V41838396
Bank of Canada special purchase and resale agreements/
sale and repurchase agreements intervention
Intervention de la Banque du Canada dans le cadre
de prises en pension spéciales ou de cessions en pension
Special purchase and
resale agreements
Prises en pension spéciales
Sale and repurchase
agreements
Cessions en pension
Total
amount
Montant
total
Days
transacted
Nombre
de jours
Total
amount
Montant
total
Days
transacted
Nombre
de jours
V41838383
V41838397
V41838384
V41838398
V41838385
V41838399
V41838386
V41838400
Other Bank of Canada operations
Autres opérations de la Banque du Canada
Term purchase and resale
Prises en pension à plus
d’un jour
Total
amount
Montant
total
Days
transacted
Nombre
de jours
V41838387
V41838401
V41838388
V41838402
Securities leanding operations
Opérations de prêt de titres
Total
amount
Montant
total
Days
transacted
Nombre
de jours
V41838389
V41838403
V41838390
V41838404
2005 S
O
N
D
2006 J
F
M
A
M
J
J
A
S
O
N
D
2007 J
F
M
A
M
J
J
A
S
464
195
109
67
6
6
7
6
1,513
2,885
8,299
5,284
21
21
21
19
-
-
5,015
7,543
6,143
2,072
8
11
6
2
-
-
450
-
1
-
1,595
1,278
-
5
4
-
2007 J
6
13
20
27
36
408
21
2
2
2
247
533
126
582
5
5
5
5
-
-
2,655
445
1,170
4
1
2
-
-
450
-
1
-
1,175
-
4
-
J
4
11
18
25
168
11
2
2
415
1,750
196
459
4
5
5
5
-
-
1,988
2,945
2,160
1,060
3
3
4
2
-
-
-
-
855
843
-
2
3
-
A
1
8
15
22
29
25
2
44
40
-
3
1
3
2
-
151
177
4,183
1,940
1,451
5
5
5
5
5
-
-
970
1,073
4,345
370
-
2
2
4
1
-
-
-
-
-
-
-
S
5
12
19
26
22
24
7
2
2
2
1,023
1,250
873
757
4
5
5
5
-
-
-
-
-
-
-
-
-
-
O
3
826
3
3,593
5
-
-
4,337
5
-
-
-
-
-
-
1. Excludes special deposit accounts.
1. Ne comprend pas les comptes spéciaux de dépôt.
B4
Statistics pertaining to counterfeit Bank of Canada notes
Statistiques relatives aux billets de la Banque du Canada contrefaits
S 14
Total
average
notes in
circulation,
excluding
$1, $2 and
$1000 notes
(millions)
Nombre
moyen
de
billets
en
circulation,
1 $, 2 $ et
1 000 $
exclus
(millions)
Counterfeits
detected in
circulation,
excluding
$1, $2 and
$1000 notes
Billets
contrefaits
trouvés en
circulation,
1 $, 2 $ et
1 000 $
exclus
Counterfeits
seized
by
police,
excluding
$1, $2 and
$1000 notes
Billets
contrefaits
saisis
par la
police,
1 $, 2 $ et
1 000 $
exclus
Number of counterfeit notes detected in circulation
782
785
812
851
916
947
1,002
1,078
1,119
1,175
1,233
1,300
49,331
70,826
95,335
121,544
94,492
94,132
128,857
208,451
443,257
552,691
402,561
287,088
6,266
15,977
11,528
9,086
16,656
10,252
8,120
15,349
54,486
86,713
19,921
26,119
392
965
1,896
2,029
4,448
4,673
5,306
14,783
18,800
13,916
13,323
16,801
375
954
1,838
2,022
4,443
4,669
5,299
14,121
9,484E
6,896
2,980
1,315
2000 I
II
III
IV
897
936
960
996
28,134
22,884
20,282
22,832
5,514
2,215
1,044
1,479
1,292
1,259
991
1,131
1,292
1,256
990
1,131
7,751
6,985
5,454
8,778
7,731
6,916
5,407
8,747
2001 I
II
III
IV
943
997
1,016
1,053
19,263
36,263
39,313
34,018
1,924
2,153
2,909
1,134
908
1,105
1,585
1,708
908
1,104
1,579
1,708
8,242
9,984
9,646
12,918
8,087
9,473
8,661
10,165
2002 I
II
III
IV
1,012
1,056
1,123
1,119
54,808
50,109
49,556
53,978
7,772
2,697
3,782
1,098
2,676
3,355
3,505
5,247
2,668
3,305
3,335
4,813
48
170
432
33,913
24,671
26,137
24,247
2003 I
II
III
IV
1,067
1,106
1,142
1,160
114,461
93,977
105,020
129,799
5,097
4,248
3,531
41,610
6,100
5,167
3,224
4,309
4,403E
2,067E
1,290E
1,724E
1,697 E
3,100 E
1,934 E
2,585 E
2004 I
II
III
IV
1,112
1,165
1,197
1,227
160,311
134,434
139,729
118,217
15,874
5,755
63,819
1,265
3,765
3,554
3,426
3,171
2,262
1,695
1,539
1,400
2005 I
II
III
IV
1,188
1,211
1,253
1,282
105,240
100,634
90,251
106,436
11,178
3,866
1,907
2,970
3,184
3,826
2,765
3,548
2006 I
II
III
IV
1,240
1,292
1,313
1,355
94,217
73,485
54,694
64,692
7,001
15,034
3,135
949
2007 I
II
1,293
1,353
55,280
39,365
1,470
587
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
By denomination:
$5
5$
Total
Total
Nombre de billets contrefaits trouvés en circulation
Par coupure :
$10
10 $
Of which:
Dont :
1986
design
Conception
de 1986
Total
Total
2002
design
Conception
de 2002
$20
20 $
Of which:
Dont :
1989
design
Conception
de 1989
6,070
38,844
31,744
31,348
22,178
28,801
36,386
50,223
47,700E
9,902
4,011
1,781
2001
design
Conception
de 2001
2005
design
Conception
de 2005
Of which
Dont :
1979
design
Conception
de 1979
2004
design
Conception
de 2004
726
1,959
21,790
34,418
17,271
18,219
18,157
32,943
145,418E
351,439
128,447
88,519
7,417
6,143
5,310
4,804
1,488
1,916
1,111
887
5,918
4,203
4,190
3,908
126
500
947
2,700
3,445
8,422
8,861
10,110
667
2,687
4,943
3,908
2,760
5,608
3,721
6,068
18,245
13,115
10,977
7,886
15,636
11,524
15,141
16,350
10,619
14,260
13,813
16,410
5,071
4,553
5,881
6,434
5,477
9,640
7,904
9,922
58,934
37,992
34,617
27,455
17,680E
11,398E
10,385E
8,237E
41,254E
26,594E
24,232E
19,219E
21,723
22,702
42,533
74,617
2,173E
2,270E
4,253E
7,462E
1,499
1,853
1,856
1,769
26,348
22,247
35,606
39,068
3,945
2,427
1,907
1,623
22,388
19,795
33,024
37,423
111,585
95,271
89,003
64,223
1,904
1,630
2,434
2,284
109,631
93,565
86,437
61,806
82
760
1,174
571
475
2,424
2,650
2,173
3,066
42,451
45,156
41,834
35,556
853
1,280
625
1,253
41,574
43,862
41,190
34,279
8
11
47,112
38,034
28,886
52,202
1,450
2,030
927
1,011
45,293
35,670
25,090
22,394
322
284
2,714
28,680
4,487
4,711
3,713
3,890
437
354
253
271
4,040
4,355
3,459
3,618
25,775
19,345
11,087
8,095
528
580
346
327
24,713
15,166
6,679
5,512
520
3,589
4,050
2,247
51,914
41,089
32,557
46,128
1,077
636
393
412
18,283
17,049
16,293
36,894
32,460
23,379
15,845
8,798
4,210
5,516
285
164
3,922
5,341
4,790
4,331
238
227
3,520
3,201
1,024
865
40,779
24,824
254
431
26,616
14,584
13,892
9,791
4,273
58,651
111,299E
112,630
160,905
52,070
19
10,406
40,049
23,158
36,662
43,869
24,884
23,674
30,838
55,102
161,575
360,082
166,234
171,688
1991
design
Conception
de 1991
39,290
21,186
14,712
9,351
7,558
5,402
12,205
21,939
16,158E
8,252
5,418
2,518
650
9,316 E
6,977
10,313
15,472
6,116
38,863
31,784
31,401
22,216
28,968
40,790
108,968
158,998
123,269
164,997
64,302
Total
Total
82
32,000
80,482
19,551E
20,432E
38,280E
67,155E
S 15
$50
50 $
Total
Total
$100
100 $
Of which:
Dont :
1975
design
Conception
de 1975
Total
Total
1988
design
Conception
de 1988
2004
design
Conception
de 2004
Of which:
Dont :
1975
design
Conception
de 1975
1988
design
Conception
de 1988
811
2,409
5,806
26,917
24,777
18,544
46,648
22,303
51,224
33,405
29,065
15,529
616
1,683
1,055
5,654
5,540
8,461
3,602
2,444
7,684E
15,050
7,974
5,112
192
722
4,719
21,261
19,235
10,076
43,045
19,858
43,541E
16,668
12,751
6,177
2004
design
Conception
de 2004
Total,
excluding
$1, $2 and
$1000 notes
Total,
billets de
1 $, 2 $ et
1 000 $
exclus
Value,
excluding
$1, $2 and
$1000 notes
(thousands
of dollars)
Valeur,
billets de
1 $, 2 $ et
1 000 $
exclus
(en
milliers
de dollars)
49,331
70,826
95,335
121,544
94,492
94,132
128,857
208,451
443,257
552,691
402,561
287,088
1,043
1,369
2,601
4,760
4,128
3,555
5,980
4,861
12,671
12,946
9,395
6,652
1,963
5,431
19,187
17,328
18,167
18,273
5,275
7,295
52,660
22,019
28,942
18,768
1,577
2,058
342
1,769
1,070
780
324
1,389
5,267E
1,845
2,265
404
384
3,367
18,787
15,522
17,093
17,477
4,930
5,886
47,394E
19,948
15,607
12,732
6,477
4,003
5,067
2,726
170
232
201
177
6,307
3,757
4,865
2,548
5,197
4,494
3,460
5,393
2,216
3,107
1,875
1,263
2,980
1,386
1,585
4,125
28,134
22,884
20,282
22,832
1,076
849
765
865
2000 I
II
III
IV
1,403
1,459
1,410
1,003
49
65
53
157
1,337
1,394
1,355
844
5,265
15,293
17,811
8,279
749
1,222
905
726
4,515
14,071
16,906
7,553
19,263
36,263
39,313
34,018
753
1,876
2,133
1,218
2001 I
II
III
IV
1,279
1,298
1,125
3,593
471
473
260
185
792
822
864
3,408
6,321
6,525
4,976
4,481
534
585
802
523
5,787
5,940
4,174
3,957
54,808
50,109
49,556
53,978
1,261
1,266
1,109
1,225
2002 I
II
III
IV
13,246
16,152
12,925
10,337
1,325E
1,615E
1,293E
1,034E
11,921E
14,537E
11,633E
9,303E
14,458
11,964
11,721
13,081
2,169E
1,795E
1,758E
1,962E
12,289E
10,170E
9,963E
11,119E
114,461
93,977
105,020
129,799
3,162
2,864
3,031
3,613
2003 I
II
III
IV
7,700
5,099
4,552
4,668
594
435
274
542
7,106
4,663
4,053
4,126
10,913
8,263
7,142
7,087
3,682
4,579
4,584
2,205
6,890
3,676
2,479
3,623
5
27
13
160,311
134,434
139,729
118,217
3,990
3,227
3,095
2,633
2004 I
II
III
IV
4,548
5,591
9,873
8,930
900
915
210
240
3,646
3,927
4,339
3,695
2
748
5,322
4,995
7,945
8,027
6,893
6,200
2,601
1,991
1,753
1,629
4,980
3,373
2,258
2,140
362
2,660
2,882
2,431
105,240
100,634
90,251
106,436
2,405
2,314
2,193
2,484
2005 I
II
III
IV
6,803
4,542
3,723
3,700
163
107
91
43
3,479
3,441
2,789
3,023
3,155
994
840
634
5,238
3,798
3,614
2,879
1,658
1,102
1,199
1,153
1,819
1,598
1,603
1,157
1,754
1,098
812
569
94,217
73,485
54,694
64,692
2,182
1,646
1,328
1,496
2006 I
II
III
IV
3,485
2,867
25
38
2,841
2,324
618
505
2,016
1,827
308
383
971
872
737
571
55,280
39,365
1,260
893
2007 I
II
11,067
5,623
45
8,335
4,233
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
C1
Chartered bank selected assets — Monthly average series
Banques à charte : Quelques éléments de l’actif — Moyenne mensuelle
S 16
Millions of dollars En millions de dollars
Canadian dollar assets Avoirs en dollars canadiens
Monthly
Average
Moyenne
mensuelle
Liquid assets Avoirs de première liquidité
Bank
of Canada
notes and
coin
Pièces
et
billets de
la Banque
du Canada
Bank
of
Canada
deposits
Dépôts à
la Banque
du Canada
Treasury
bills
(amortized
value)
Bons
du
Trésor
(valeur
après
amortissement)
V36690
V36691
2003 A
S
O
N
D
3,571
3,489
3,413
3,390
4,029
2004 J
F
M
A
M
J
J
A
S
O
N
D
Less liquid assets Avoirs de seconde liquidité
Government of Canada
direct and guaranteed bonds
Obligations émises ou
garanties par le
gouvernement canadien
Call and
short
loans
Prêts à
vue ou
à court
terme
Holdings of selected
short-term assets
Divers avoirs à
court terme
Short-term
paper
Papier
à court
terme
Other
Autres
3 years
and under
3 ans
ou moins
Over
3 years
Plus
de 3 ans
V36693
V36695
V36696
V36697
V36702
V36882
519
430
382
195
62
32,153
32,190
29,433
31,647
32,374
41,289
45,693
45,538
45,059
42,471
22,400
22,779
23,943
24,020
26,844
581
513
407
792
1,236
14,393
13,851
14,491
13,839
15,203
3,616
3,227
3,296
3,309
3,445
3,463
3,606
3,584
3,635
3,571
3,567
3,991
94
67
63
47
58
73
106
71
63
79
130
73
31,426
31,118
31,918
32,047
32,810
32,618
30,540
30,470
29,447
28,835
29,592
32,128
43,148
44,057
45,275
38,706
40,196
38,846
33,076
33,044
32,396
32,809
34,235
34,833
27,459
26,768
25,846
26,049
25,405
25,536
30,096
29,341
29,404
29,227
30,566
33,055
869
995
1,599
1,767
1,936
2,422
2,141
2,694
2,523
2,153
1,369
1,508
2005 J
F
M
A
M
J
J
A
S
O
N
D
3,790
3,446
3,622
3,329
3,680
3,555
3,724
3,769
3,693
3,648
3,534
4,045
89
301
294
163
185
325
205
137
169
176
488
90
30,614
30,176
35,191
36,966
35,239
33,185
33,690
34,947
35,600
32,945
32,653
34,751
28,289
27,484
30,274
28,464
27,929
29,329
30,051
30,691
30,398
28,766
27,748
27,854
35,741
33,142
34,340
35,024
40,063
40,225
37,719
35,012
40,833
41,147
41,705
44,132
2006 J
F
M
A
M
J
J
A
S
O
N
D
3,714
3,488
3,242
3,491
3,641
3,530
3,663
4,210
3,626
3,672
3,647
4,112
59
51
47
35
243
127
382
231
67
99
280
255
31,525
30,454
33,844
32,447
34,038
32,757
30,314
28,944
28,290
29,172
34,535
34,154
28,086
29,675
32,233
34,093
33,206
33,875
34,005
34,097
35,546
39,034
38,829
37,910
2007 J
F
M
A
M
J
J
A
3,741
3,625
3,534
3,692
3,799
3,729
3,914
3,867
68
174
292
252
308
183
454
495
30,475
31,941
35,532
32,664
29,973
29,019
28,587
25,500
40,089
38,586
39,465
35,613
34,258
37,680
33,431
34,424
Total
Total
Non-mortgage loans
Prêts non hypothécaires
Personal
Personnels
Federal
government,
provinces and
municipalities
Gouvernement
fédéral, provinces
et municipalités
Personal
loan
plans
Prêts
personnels
à
tempérament
Credit
cards
Cartes
de
crédit
Personal
lines of
credit
Marges
de
crédit
personnelles
Other
Autres
Total
Total
V36853
V36867
V36868
V36869
V36870
V36717
V36720
14,406
15,757
16,844
16,552
17,673
129,312
134,703
134,451
135,494
139,891
38,166
38,284
38,229
38,114
37,956
31,097
31,846
30,922
31,313
33,370
65,362
66,795
68,237
69,806
71,011
19,387
19,188
19,139
18,744
18,636
154,012
156,113
156,527
157,977
160,973
2,475
2,504
2,463
2,510
2,610
13,564
13,555
13,468
13,214
14,977
16,405
16,570
16,479
16,413
17,473
21,398
21,244
16,819
16,309
16,918
15,000
15,301
14,512
13,876
14,007
13,895
13,374
14,667
15,165
136,995
136,096
138,383
130,138
134,128
133,875
130,011
129,690
127,775
127,521
135,525
141,996
37,760
37,839
38,402
38,744
38,848
39,524
39,630
39,876
39,685
39,938
41,965
42,227
33,179
32,226
31,949
32,569
33,068
34,017
34,564
35,106
35,823
35,402
34,883
36,671
72,077
73,736
76,571
77,820
79,645
81,440
83,399
85,325
87,439
89,253
90,779
92,344
18,446
18,182
18,310
18,291
18,476
18,341
18,183
18,063
17,843
17,777
17,820
17,929
161,462
161,982
165,232
167,424
170,037
173,322
175,775
178,371
180,791
182,370
185,447
189,171
2,734
2,817
2,473
2,235
2,197
2,292
2,335
2,331
2,327
2,361
2,366
2,414
1,123
1,271
1,086
1,063
1,498
2,012
1,786
1,757
2,079
1,970
2,047
2,382
16,038
16,232
17,395
17,151
18,124
17,786
18,544
19,380
19,712
21,124
21,320
24,003
14,855
15,630
16,620
15,849
15,744
20,084
20,821
20,574
21,406
21,702
21,553
20,444
130,538
127,683
138,822
138,010
142,463
146,500
146,539
146,266
153,891
151,479
151,047
157,701
41,227
41,540
42,164
42,490
42,574
42,765
41,366
41,527
41,548
41,395
41,241
40,901
36,967
35,967
35,350
35,385
34,948
35,464
35,535
35,972
36,834
35,898
35,471
37,050
93,525
95,447
97,960
97,920
99,739
101,591
103,639
105,300
107,311
108,970
109,995
111,186
18,691
18,830
19,436
19,532
19,520
19,745
19,812
19,914
19,940
19,950
19,996
19,962
190,410
191,783
194,909
195,328
196,782
199,565
200,352
202,712
205,633
206,212
206,703
209,099
2,540
2,565
2,559
2,451
2,369
2,389
2,464
2,598
2,476
2,468
2,460
2,610
46,003
41,658
45,306
46,324
45,941
51,502
54,208
55,755
50,471
49,322
50,150
56,165
2,239
2,313
2,467
2,522
2,576
2,363
2,428
2,967
3,787
3,885
3,710
3,947
22,125
22,777
24,029
24,812
23,034
24,811
25,129
23,665
22,943
23,653
23,820
26,562
19,996
21,033
24,256
23,608
23,844
23,949
22,969
23,959
23,055
24,279
22,881
23,743
153,746
151,449
165,425
167,332
166,521
172,913
173,099
173,827
167,786
173,117
177,852
186,848
40,452
40,391
40,689
40,734
40,885
41,093
41,273
41,252
41,252
41,264
40,936
40,773
36,569
34,697
34,675
35,269
36,473
37,374
37,350
38,571
39,646
39,561
38,627
39,917
112,033
113,122
115,030
116,005
117,693
119,212
120,730
121,650
123,413
122,462
123,310
124,087
20,034
19,937
20,580
20,718
21,578
21,734
21,390
20,945
20,913
20,568
20,908
20,910
209,087
208,146
210,974
212,726
216,630
219,413
220,742
222,417
225,225
223,855
223,781
225,686
2,738
2,841
2,922
2,787
2,610
2,627
2,724
2,762
2,789
2,703
2,762
2,976
54,986
54,990
57,774
56,193
57,697
56,333
54,142
59,176
3,308
2,902
3,254
3,548
3,875
3,722
2,756
3,470
25,432
24,781
27,698
28,424
27,555
29,071
29,934
32,976
22,845
24,494
25,643
26,083
28,039
28,111
27,262 R
31,159
180,942
181,493
193,191
186,470
185,504
187,849
180,481 R
191,068
40,630
40,748
41,003
41,258
41,683
42,244
42,703
43,071
40,037
38,672
39,229
39,988
41,434
42,343
42,637
43,147
124,486
125,629
127,910
128,798
130,525
132,295
133,933
135,329
21,020
21,110
21,900
21,744
22,161
22,118
22,487
22,553
226,173
226,159
230,043
231,788
235,804
239,000
241,760
244,100
2,966
3,124
3,062
3,019
2,912
2,998
3,208
3,423
S 17
Mortgages
Prêts hypothécaires
To Canadian residents
for business purposes
À des résidents canadiens à
des fins commerciales
Reverse
repos
Prises
en
pension
Business loans
Prêts aux entreprises
V36862
V36863
54,809
59,518
54,305
53,235
49,948
121,241 R
120,830 R
121,668 R
120,180 R
120,993 R
52,918
52,391
53,819
53,554
54,029
51,066
54,484
59,182
57,967
58,232
62,871
69,892
Leasing
receivables
Créances
résultant
du
crédit-bail
To non-residents
for business
purposes
À des non-résidents
à des fins
commerciales
Canadian securities
Titres canadiens
Total
Total
Total
Total
Residential
À
l’habitation
Nonresidential
Sur
immeubles
non
résidentiels
Total
Total
Provincial
and
municipal
Provinces
et
municipalités
Corporate
Sociétés
Total
Total
V36728
V36725
Total
Canadian
dollar
assets
Ensemble
des avoirs
en dollars
canadiens
Net foreign
currency
assets
Avoirs
nets en
monnaies
étrangères
V36852
V36686
Monthly
average
Moyenne
mensuelle
Reverse
repos
Prises
en
pension
Business
loans
Prêts aux
enterprises
V36719
V36859
V36860
V36855
V36724
V36718
V36857
V36865
363
352
276
455
429
4,934
4,943
4,926
4,860
4,855
19,926
14,446
13,988
13,914
14,242
1,687
2,030
1,568
2,336
2,193
359,084 R
360,385 R
355,445 R
355,012 R
355,814 R
335,056 R
336,545 R
336,650 R
341,322 R
340,707 R
17,022
17,056
17,294
17,406
17,404
352,078 R
353,600 R
353,944 R
358,728 R
358,111 R
15,475
15,379
15,466
15,680
15,224
87,388
88,229
88,813
92,571
94,345
102,863
103,608
104,279
108,251
109,569
814,024
817,593
813,667
821,990
823,494
1,090,844
1,114,760
1,102,926
1,121,214
1,134,055
-21,600
-23,600
-20,604
-14,077
-13,113
2003 A
S
O
N
D
119,706 R
120,827 R
122,903 R
121,688 R
122,623 R
125,409 R
128,089 R
127,274 R
127,766 R
130,103 R
131,083 R
130,783 R
577
619
666
710
783
1,242
1,345
1,442
1,543
1,502
1,660
1,527
4,871
4,851
4,878
4,864
4,918
4,972
5,051
5,076
5,184
5,200
5,422
5,548
14,698
17,243
14,683
17,428
19,299
20,662
20,698
21,032
20,721
19,017
19,391
17,017
1,893
1,956
1,922
1,871
1,864
1,930
1,977
1,779
2,146
1,928
2,399
2,431
358,283 R
362,067 R
365,910 R
369,063 R
374,968 R
379,652 R
388,409 R
395,046 R
396,902 R
399,210 R
408,980 R
417,256 R
340,619 R
341,730 R
340,491 R
342,616 R
347,174 R
349,761 R
352,948 R
357,547 R
358,641 R
361,825 R
367,359 R
367,781 R
17,367
17,193
17,324
17,425
17,484
17,670
17,946
18,138
18,194
18,042
17,950
18,044
357,986 R
358,922 R
357,815 R
360,041 R
364,658 R
367,431 R
370,894 R
375,685 R
376,835 R
379,867 R
385,309 R
385,825 R
15,089
14,981
16,104
16,237
17,398
17,156
16,802
16,712
16,765
16,724
16,986
17,914
97,531
96,711
97,559
98,463
95,839
95,882
96,056
97,711
99,120
102,470
105,753
108,528
112,620
111,692
113,663
114,700
113,237
113,038
112,858
114,423
115,885
119,194
122,739
126,442
828,889
832,681
837,388
843,804
852,863
860,121
872,161
885,155
889,622
898,272
917,027
929,523
1,119,857
1,135,123
1,143,534
1,125,888
1,130,937
1,143,887
1,152,790
1,173,161
1,182,179
1,201,839
1,246,629
1,263,929
-14,825
-14,116
-8,325
-8,907
-7,423
-13,503
-15,963
-19,625
-21,314
-18,805
-12,397
-10,155
2004 J
F
M
A
M
J
J
A
S
O
N
D
67,413
67,265
69,926
67,522
71,181
73,418
74,596
73,348
69,767
67,271
68,164
66,208
127,666 R
131,284 R
134,970 R
134,015 R
132,260 R
135,065 R
137,281 R
136,798 R
138,226 R
141,250 R
139,017 R
141,251 R
1,472
1,309
1,387
1,461
1,445
1,384
1,562
1,744
1,688
1,838
1,558
2,140
5,317
5,373
5,348
5,363
5,362
5,433
5,500
5,609
5,727
5,809
5,865
5,951
14,319
17,584
19,756
19,863
19,574
19,934
20,477
18,886
19,095
17,854
18,363
17,390
2,274
2,352
2,287
2,663
2,581
2,751
2,868
3,248
3,212
3,584
3,442
4,060
409,939 R
418,207 R
429,756 R
427,204 R
430,109 R
438,555 R
443,536 R
443,198 R
444,136 R
444,448 R
444,013 R
446,568 R
366,681 R
367,977 R
366,998 R
368,090 R
372,518 R
375,307 R
380,052 R
384,758 R
385,384 R
386,194 R
390,913 R
391,341 R
18,166
18,255
18,379
18,394
18,196
18,316
18,579
18,834
19,085
18,986
18,930
19,330
384,847 R
386,232 R
385,377 R
386,484 R
390,714 R
393,623 R
398,630 R
403,592 R
404,469 R
405,179 R
409,843 R
410,671 R
18,179
18,643
18,493
18,239
18,475
19,493
19,733
19,703
20,914
21,727
21,952
22,577
111,522
113,572
119,286
121,628
123,830
127,872
127,407
127,110
129,623
132,144
131,663
137,044
129,701
132,215
137,779
139,867
142,305
147,365
147,140
146,813
150,537
153,871
153,615
159,621
924,487
936,653
952,913
953,556
963,128
979,543
989,307
993,603
999,142
1,003,498
1,007,471
1,016,860
1,225,415
1,246,151
1,279,261
1,263,453
1,262,366
1,294,575
1,303,423
1,312,751
1,328,679
1,316,704
1,324,699
1,353,126
-12,441
-9,332
-12,751
-11,382
-8,540
-9,647
-11,209
-17,234
-23,101
-28,317
-19,519
-24,935
2005 J
F
M
A
M
J
J
A
S
O
N
D
69,940
71,259
74,625
82,427
78,386
83,144
81,027
84,104
84,934
90,196
92,559
101,143
140,905 R
141,632 R
144,262 R
144,545 R
146,513 R
148,994 R
151,248 R
152,007 R
151,953 R
151,629 R
152,994 R
152,151 R
1,616
1,059
814
906
1,259
855
1,137
890
793
810
1,118
1,104
6,040
6,105
6,080
6,201
6,270
6,368
6,467
6,521
6,589
6,659
6,655
6,653
16,148
18,615
16,719
17,989
18,585
17,963
17,014
19,106
19,542
18,090
17,232
15,661
3,579
3,839
3,604
4,442
4,184
4,921
5,277
5,316
4,725
4,865
5,088
5,526
448,436 R
452,437 R
459,187 R
471,117 R
473,178 R
483,431 R
484,501 R
492,234 R
495,756 R
497,997 R
501,071 R
509,795 R
390,133 R
392,107 R
392,050 R
395,732 R
400,651 R
403,340 R
407,939 R
411,725 R
415,085 R
417,378 R
420,830 R
420,819 R
19,601
19,793
19,597
19,507
19,471
19,555
19,474
19,580
19,642
19,707
19,808
19,813
409,734 R
411,900 R
411,648 R
415,239 R
420,122 R
422,895 R
427,412 R
431,304 R
434,728 R
437,085 R
440,638 R
440,632 R
21,232
20,931
20,682
19,432
19,997
19,861
19,414
19,541
19,882
20,050
21,222
20,801
138,672
142,248
141,790
144,072
142,778
141,021
145,738
146,321
147,236
151,633
156,721
160,629
159,904
163,179
162,472
163,504
162,775
160,881
165,153
165,861
167,118
171,684
177,943
181,430
1,018,075
1,027,516
1,033,307
1,049,860
1,056,075
1,067,207
1,077,066
1,089,399
1,097,602
1,106,765
1,119,652
1,131,858
1,361,274
1,385,214
1,370,069
1,418,077
1,432,370
1,457,949
1,424,085
1,447,202
1,455,541
1,451,669
1,466,089
1,466,515
-28,608
-25,841
-27,548
-35,237
-25,174
-35,981
-38,555
-35,594
-32,473
-27,957
-24,555
-14,989
2006 J
F
M
A
M
J
J
A
S
O
N
D
96,849
100,862
100,604
99,558
101,349
102,989
98,508
103,957
150,418 R
153,377 R
157,302 R
160,732 R
163,515 R
166,555 R
169,667 R
172,253
721
489
613
764
792
864
1,220
1,309
6,722
6,757
6,790
6,867
6,922
7,002
7,120
7,180
14,773
15,526
15,820
15,256
15,857
17,449
18,456
19,228
5,281
4,890
5,435
5,582
4,927
5,360
5,291
5,783
503,182 R
510,694 R
519,054 R
522,801 R
531,286 R
541,353 R
544,009 R
555,924
419,367 R
423,152 R
424,526 R
430,390 R
437,075 R
441,812 R
449,258 R
454,608
19,884 R
19,978 R
19,961 R
20,113 R
20,347 R
20,422 R
20,460 R
20,358
439,250 R
443,131 R
444,487 R
450,503 R
457,422 R
462,234 R
469,718 R
474,965
21,022
21,525
21,394
21,112
21,374
21,338
22,715
22,528
164,844
168,537
171,799
172,794
177,688
182,545
185,410
185,578
185,867
190,063
193,194
193,906
199,062
203,884
208,125
208,107
1,128,299
1,143,888
1,156,735
1,167,211
1,187,769
1,207,470
1,221,852
1,238,997
1,451,553
1,478,168
1,520,382
1,554,589
1,589,552
1,612,742
1,614,920 R
1,635,596
-11,453
-13,897
-23,635
-24,748
-28,700
-40,561
-36,446
-40,050
2007 J
F
M
A
M
J
J
A
Of which:
Inter-bank loans
Dont :
Prêts
interbancaires
V36864
V36703
C2
Chartered bank selected liabilities — Monthly average series
Banques à charte : Quelques éléments du passif — Moyenne mensuelle
S 18
Millions of dollars En millions de dollars
Monthly
average
Moyenne
mensuelle
Canadian dollar deposits Dépôts en dollars canadiens
Personal deposits
Dépôts des particuliers
Chequable
Transférables
par chèque
V41552775
Non-personal deposits
Dépôts autres que ceux des particuliers
Total
Total
Chequable
Transférables par
chèque
Nonchequable
Non
transférables par
chèque
Fixed term
À terme
fixe
Total
Total
Total
deposits
held by
general
public
Ensemble
des dépôts
du public
V36825
V41552774
V41552777
V36828
V36830
V41552776
V41552773
Non-chequable
Non transférables
par chèque
Fixed term
À terme
fixe
Tax sheltered
Abris
fiscaux
Other
Autres
Tax sheltered
Abris
fiscaux
Other
Autres
V36821
V36822
V36824
Government
of Canada
deposits
Dépôts du
gouvernement
canadien
Gross
deposits
Montant
brut des
dépôts
V36811
V36808
2003 A
S
O
N
D
103,030
102,957
102,410
103,827
104,596
9,328
9,400
9,656
9,641
9,699
54,813
55,418
56,282
57,129
57,752
84,788
84,626
84,504
84,012
83,735
163,959
164,000
164,330
165,809
166,415
415,918
416,401
417,181
420,419
422,197
126,796
127,071
127,377
129,476
134,248
5,316
5,298
5,345
5,676
6,079
139,982
143,011
143,532
146,533
149,070
272,094
275,379
276,254
281,685
289,396
688,012
691,780
693,435
702,104
711,593
2,306
2,057
2,176
2,521
2,208
690,318
693,837
695,611
704,625
713,801
2004 J
F
M
A
M
J
J
A
S
O
N
D
104,434
105,351
104,245
107,301
109,379
110,975
111,722
111,721
110,709
111,559
111,625
113,897
9,966
10,736
12,214
11,921
11,726
12,190
11,807
11,450
11,718
11,786
11,942
11,968
58,780
59,445
60,177
61,856
63,522
64,716
65,023
65,570
65,407
65,284
65,765
66,303
83,160
82,906
83,017
82,472
82,014
81,744
81,783
81,729
81,542
81,397
81,352
81,079
166,809
166,682
165,845
164,528
163,411
163,513
164,650
165,379
165,850
166,638
168,085
169,442
423,148
425,119
425,498
428,079
430,052
433,138
434,985
435,848
435,225
436,664
438,770
442,689
132,040
131,274
130,089
134,238
136,428
139,063
138,666
137,533
138,088
139,223
140,065
147,662
6,303
6,597
6,581
6,816
7,214
7,748
7,709
7,596
7,569
7,579
7,633
7,716
151,497
154,912
163,530
163,045
166,399
162,976
165,577
170,068
175,618
180,192
187,613
193,504
289,840
292,782
300,200
304,099
310,041
309,786
311,952
315,197
321,275
326,993
335,311
348,882
712,988
717,901
725,698
732,178
740,093
742,924
746,937
751,045
756,501
763,657
774,081
791,571
2,328
2,576
2,479
2,239
2,547
1,925
2,298
2,432
2,371
2,661
2,615
2,477
715,316
720,477
728,177
734,418
742,641
744,849
749,235
753,477
758,871
766,318
776,696
794,048
2005 J
F
M
A
M
J
J
A
S
O
N
D
113,792
113,896
112,699
115,664
116,417
117,631
119,365
118,252
118,769
119,477
120,261
122,612
12,190
12,980
14,148
13,296
12,677
12,524
12,389
12,090
12,130
12,188
12,136
11,987
67,187
67,472
67,010
67,865
68,663
69,465
70,027
70,665
71,000
71,515
71,985
72,320
80,706
80,822
81,350
81,244
81,079
80,762
80,518
80,455
79,998
79,803
79,693
79,344
169,999
170,660
170,955
171,392
171,377
171,691
171,904
172,472
172,512
172,694
173,330
174,687
443,874
445,829
446,161
449,462
450,214
452,073
454,202
453,933
454,410
455,677
457,406
460,950
143,975
142,367
141,288
145,816
147,966
150,757
147,890
146,106
149,102
151,785
153,183
159,424
8,018
8,146
8,077
8,316
8,654
8,681
8,631
8,899
9,053
9,724
9,863
10,564
190,547
206,049
214,352
212,346
216,317
224,664
228,202
231,155
229,037
227,110
227,512
224,575
342,540
356,561
363,718
366,478
372,937
384,103
384,722
386,160
387,192
388,619
390,558
394,563
786,414
802,391
809,879
815,940
823,151
836,176
838,925
840,093
841,602
844,296
847,964
855,513
2,279
2,489
2,931
2,803
2,748
2,242
2,216
2,277
2,284
1,502
1,843
2,549
788,693
804,880
812,809
818,743
825,899
838,419
841,141
842,370
843,886
845,798
849,807
858,062
2006 J
F
M
A
M
J
J
A
S
O
N
D
121,968
121,717
119,712
123,053
124,391
124,537
125,059
124,352
124,413
124,403
126,078
129,534
12,074
12,673
13,605
12,857
12,541
12,299
12,183
12,232
12,260
12,408
12,783
12,915
73,120
73,022
72,413
73,249
70,614
70,734
70,691
71,139
71,223
71,624
72,731
73,718
78,939
79,295
80,118
80,196
80,081
79,974
79,909
79,958
80,036
79,893
79,898
79,611
176,276
178,679
181,450
184,456
185,731
188,119
191,448
194,347
197,152
197,719
198,818
199,590
462,378
465,385
467,297
473,810
473,358
475,662
479,290
482,028
485,084
486,047
490,308
495,369
154,276
154,368
154,619
159,384
161,921
167,109
169,731
169,122
171,801
175,373
178,987
185,622
9,603
9,612
8,927
9,187
9,033
9,286
9,054
8,849
9,297
9,280
8,992
9,384
221,844
226,694
231,474
224,201
229,492
232,186
229,130
236,446
240,608
242,023
244,297
245,212
385,723
390,674
395,019
392,772
400,445
408,582
407,915
414,417
421,707
426,676
432,276
440,219
848,101
856,059
862,317
866,583
873,804
884,244
887,205
896,445
906,791
912,723
922,584
935,587
2,199
2,230
2,941
2,266
2,429
1,653
2,053
1,953
2,201
1,532
2,381
2,048
850,300
858,288
865,258
868,849
876,233
885,897
889,257
898,398
908,992
914,254
924,966
937,635
2007 J
F
M
A
M
J
J
A
127,598
127,870
126,491
130,733
131,892
134,357
134,751
134,051
12,826
13,477
14,959
13,971
13,811
13,777
13,564
13,579
74,904
74,994
74,727
75,895
76,541
77,210
77,337
77,748
79,020
79,099
79,423
79,205
78,973
78,754
78,627
78,430
200,462
201,414
202,915
203,298
202,010
202,673
205,218
206,714
494,809
496,855
498,515
503,103
503,226
506,771
509,496
510,522
179,762
176,915
177,163
181,356
182,561
189,205
192,584 R
192,744
9,328
9,096
9,205
9,295
9,148
9,282
9,328
9,709
244,442
253,487
252,565
248,889
254,385
252,242
254,965
278,209
433,532
439,498
438,932
439,539
446,094
450,728
456,877 R
480,662
928,341
936,353
937,448
942,641
949,320
957,499
966,373 R
991,185
1,441
2,288
2,990
2,362
2,620
1,826
1,920
2,255
929,783
938,641
940,438
945,004
951,939
959,325
968,293 R
993,440
S 19
Bankers’
acceptances
outstanding
Acceptations
bancaires
en circulation
Subordinated
debt payable
in Canadian
dollars
Dette
subordonnée
payable
en dollars
canadiens
Foreign currency business with Canadian residents
Opérations en monnaies étrangères avec des résidents canadiens
Securities
Titres
Loans
Prêts
Monthly
average
Moyenne
mensuelle
Deposits
Dépôts
Total
Total
Of which:
Reverse repos
Dont : Prises
en pension
Deposits of banks
Dépôts des banques
Other
Autres
Total
Total
V36876
V36872
V36856
V36871
V36846
V36877
V36878
V36875
39,221
38,834
38,109
37,556
35,644
18,254
18,188
19,129
20,038
20,644
19,598
19,149
20,590
21,973
22,943
19,015
17,998
17,791
16,676
18,975
714
870
873
909
3,044
2,840
2,942
3,014
2,658
3,243
71,120
71,234
72,310
75,597
75,414
73,960
74,175
75,324
78,255
78,656
2003 A
S
O
N
D
34,745
34,605
35,519
36,577
35,148
36,909
36,383
36,798
36,137
35,922
36,854
35,550
20,611
20,771
20,536
21,085
22,090
22,119
22,238
22,241
22,512
22,398
22,064
22,337
25,038
26,347
25,655
27,743
29,627
28,534
27,942
26,333
26,239
26,498
29,525
31,914
20,095
19,469
19,404
19,585
21,019
21,713
21,603
21,883
20,762
19,930
19,182
20,683
3,944
2,949
2,535
2,189
1,816
1,859
2,053
2,505
2,251
2,040
2,207
2,219
3,223
3,683
3,513
4,219
3,544
3,689
3,394
3,321
3,456
3,533
3,688
4,282
75,464
74,321
72,886
75,049
77,422
78,091
77,032
79,424
77,992
79,003
78,485
80,029
78,687
78,004
76,399
79,268
80,967
81,780
80,426
82,745
81,448
82,536
82,173
84,311
2004 J
F
M
A
M
J
J
A
S
O
N
D
34,269
34,896
35,666
37,038
37,238
37,463
38,206
39,323
40,372
39,648
40,069
40,353
23,474
23,669
23,558
23,343
23,364
23,009
23,607
23,111
23,629
23,990
24,850
24,318
29,847
29,645
28,778
27,112
26,343
26,462
25,628
23,741
22,719
22,584
24,800
25,277
22,327
21,725
20,234
20,256
20,290
19,656
19,861
19,418
18,444
18,626
18,576
20,203
2,330
2,436
2,346
1,883
1,554
1,878
2,206
1,910
1,879
1,887
2,209
2,657
4,070
4,215
3,647
4,598
5,119
5,040
4,715
4,014
3,089
2,759
2,352
2,608
78,153
75,790
74,569
77,977
77,159
77,027
79,123
78,864
79,321
81,779
81,737
83,994
82,223
80,005
78,216
82,575
82,278
82,067
83,838
82,877
82,410
84,538
84,089
86,601
2005 J
F
M
A
M
J
J
A
S
O
N
D
41,862
44,655
44,874
46,377
47,575
47,395
49,360
50,186
49,813
50,061
53,848
54,339
25,127
25,150
25,156
26,503
26,902
26,663
26,589
25,937
25,682
25,350
25,596
27,133
26,299
27,684
26,855
26,645
25,614
25,499
25,938
25,840
25,772
27,411
29,363
32,840
20,526
23,096
22,721
22,966
22,188
22,533
22,288
21,157
20,561
21,233
23,065
24,550
2,990
3,043
2,699
2,704
1,901
1,729
1,539
1,360
1,324
1,399
1,851
1,985
2,790
2,611
2,028
2,308
2,261
2,408
2,816
3,319
2,980
3,108
2,762
2,701
80,372
84,341
86,687
84,531
86,743
87,965
89,268
88,575
90,437
93,156
97,831
103,081
83,162
86,952
88,715
86,840
89,004
90,373
92,084
91,894
93,417
96,264
100,593
105,782
2006 J
F
M
A
M
J
J
A
S
O
N
D
54,741
57,627
58,917
58,856
59,899
59,431
59,248
60,784
28,272
28,199
28,268
28,823
28,749
28,448
29,550
29,740
34,892
33,089
35,903
34,611
35,655
37,356
36,417
36,208
23,831
24,295
24,375
24,720
23,714
22,316
24,873
28,759
1,730
1,847
1,994
2,463
2,026
1,902
1,714
1,358
2,186
2,812
2,946
4,036
4,011
3,365
3,006
2,700
102,865
102,551
107,662
109,281
114,155
117,581
117,798 R
117,588
105,050
105,364
110,608
113,317
118,165
120,946
120,804 R
120,288
2007 J
F
M
A
M
J
J
A
C3
Chartered bank assets — Month-end series
Banques à charte : Actif — Séries de fin de mois
S 20
Millions of dollars En millions de dollars
End of
period
En fin de
période
Canadian dollar liquid assets
Avoirs de première liquidité en dollars canadiens
Less liquid Canadian dollar assets
Avoirs de seconde liquidité en dollars canadiens
Bank of
Canada
deposits,
notes and
coin
Dépôts à
la Banque
du Canada,
billets et
pièces
Treasury
bills
(amortized
value)
Bons du
Trésor
(valeur
après
amortissement)
Government of Canada
direct and guaranteed bonds
Obligations émises
ou garanties par le
gouvernement canadien
3 years
and
under
3 ans
ou moins
Over 3
years
Plus
de
3 ans
Call and
short loans
Prêts à
vue ou à
court terme
Total
Total
Loans in Canadian dollars Prêts en dollars canadiens
Federal
government
provinces and
municipalities
Gouvernement
fédéral,
provinces et
municipalités
Total
Total
General loans Prêts généraux
Personal
loans
Prêts
personnels
Business loans
Prêts aux
entreprises
Reverse repos
Prises
en pension
Other
Autres
prêts
V36927
Total
Total
Residential
mortgages
Prêts
hypothécaires à
l’habitation
Non-residential
mortgages
Prêts hypothécaires sur
immeubles
non
résidentiels
Leasing
receivables
Créances
résultant
du créditbail
Total
Total
V36923
V36888
V36892
V36894
V36895 V36893
V36896
V36887
V36921
V36924
V36926
V36917
V36918
V36919
V36920
2003 J
A
S
O
N
D
4,212
4,407
3,814
4,548
3,713
5,097
31,520
33,842
30,987
29,559
35,412
31,916
40,301
43,743
44,396
44,902
45,924
45,065
21,861
23,961
26,495
23,326
25,293
26,332
62,162
67,704
70,891
68,229
71,217
71,396
469
543
439
974
1,263
984
98,363
106,496
106,132
103,311
111,606
109,393
2,870
2,881
2,891
2,813
2,572
2,846
156,604
158,225
160,854
160,708
163,176
165,841
69,528
72,516
71,076
60,893
66,352
62,010
124,408
123,684
124,011
120,625
121,162
122,748
350,540
354,426
355,941
342,226
350,690
350,599
334,839
339,327
336,332
340,453
344,389
341,583
16,993
17,103
17,171
17,424
17,547
17,630
4,891
4,911
4,920
4,852
5,048
4,829
710,133
718,648
717,255
707,768
720,246
717,486
2004 J
F
M
A
M
J
J
A
S
O
N
D
3,389
3,379
3,366
3,214
3,727
4,818
4,005
3,747
3,708
3,908
4,023
5,413
30,101
30,523
34,121
31,182
33,183
30,173
29,529
30,613
27,437
29,724
34,011
32,752
43,286
44,577
44,616
44,246
44,471
38,767
38,375
39,164
37,166
37,968
40,424
37,306
26,389
24,463
23,861
19,451
20,837
23,797
23,819
23,978
25,707
24,636
25,955
28,647
69,676
69,040
68,477
63,697
65,308
62,563
62,194
63,143
62,873
62,605
66,379
65,952
818
1,737
1,695
1,690
1,947
2,297
2,657
2,103
2,367
2,141
1,455
1,300
103,984
104,678
107,659
99,783
104,165
99,851
98,386
99,606
96,386
98,378
105,868
105,417
2,873
2,842
2,351
2,453
2,218
2,238
2,490
2,328
2,381
2,426
2,459
2,542
162,541
165,191
168,458
170,709
174,695
177,703
179,691
182,286
185,294
185,011
189,402
193,893
73,406
73,667
67,171
73,682
76,439
77,768
74,502
84,764
78,920
76,019
88,462
83,743
124,105
127,605
130,217
128,000
130,343
132,866
131,954
131,035
133,431
131,166
134,503
131,519
360,052
366,462
365,846
372,391
381,477
388,336
386,147
398,086
397,645
392,196
412,367
409,155
342,712
344,034
342,540
346,522
351,529
352,939
357,330
361,700
360,998
365,077
370,624
366,551
17,281
17,255
17,434
17,449
17,696
17,874
18,111
18,278
18,076
17,935
18,004
18,171
4,784
4,825
4,830
4,848
4,873
5,005
5,032
5,134
5,187
5,189
5,217
5,316
727,702
735,418
733,000
743,663
757,792
766,393
769,110
785,526
784,287
782,823
808,671
801,734
2005 J
F
M
A
M
J
J
A
S
O
N
D
3,840
3,922
3,950
4,420
4,481
4,933
4,784
5,006
3,836
4,081
3,688
5,445
30,210
31,455
38,607
35,521
37,533
34,136
33,059
35,993
33,853
32,401
35,055
33,444
35,180
35,148
35,359
34,855
27,853
33,052
31,120
32,735
29,459
28,296
27,595
28,324
27,532
26,121
26,572
30,935
39,741
40,798
36,814
37,710
41,981
42,023
42,172
43,291
62,712
61,270
61,932
65,789
67,595
73,851
67,933
70,445
71,441
70,318
69,767
71,615
1,289
1,100
1,212
1,401
1,800
2,196
1,734
1,786
2,042
2,121
2,644
2,296
98,051
97,747
105,701
107,131
111,409
115,116
107,511
113,230
111,172
108,922
111,153
112,800
2,668
2,551
2,564
2,498
2,451
2,372
2,589
2,604
2,572
2,455
2,530
2,711
192,830
196,171
196,728
196,313
199,265
201,865
202,477
205,687
207,443
207,205
208,573
210,240
78,526
89,232
81,588
82,667
85,744
91,362
89,580
90,539
83,821
82,334
85,577
85,563
134,378
138,253
142,067
137,053
140,178
145,093
142,816
142,693
145,773
148,707
146,497
145,413
405,734
423,655
420,383
416,033
425,186
438,320
434,873
438,918
437,037
438,246
440,647
441,216
369,031
370,093
368,244
372,015
376,209
378,906
384,412
389,453
386,569
390,492
395,100
391,219
18,267
18,319
18,505
18,225
18,298
18,604
18,745
19,065
19,374
18,902
19,221
19,530
5,305
5,310
5,321
5,289
5,368
5,431
5,520
5,626
5,754
5,810
5,826
5,948
801,005
819,928
815,017
814,060
827,512
843,633
846,140
855,667
851,306
855,905
863,323
860,624
2006 J
F
M
A
M
J
J
A
S
O
N
D
3,856
3,568
4,252
4,329
4,296
4,333
4,191
5,946
3,769
5,131
4,932
6,225
30,017
31,986
38,418
31,713
36,482
30,549
30,661
29,326
30,246
34,686
36,580
32,457
29,174
30,098
33,999
33,852
33,765
32,945
34,088
35,360
37,070
39,230
39,941
39,475
42,410
40,487
42,766
45,236
47,739
51,472
50,548
52,353
48,805
47,313
47,268
56,343
71,584
70,585
76,764
79,088
81,503
84,417
84,637
87,712
85,875
86,543
87,209
95,818
2,733
2,220
2,795
2,637
2,859
2,279
2,627
3,764
3,833
4,525
3,982
3,789
108,190
108,359
122,229
117,766
125,141
121,577
122,116
126,749
123,723
130,885
132,703
138,289
3,030
3,109
2,940
2,755
2,726
2,659
2,795
2,879
2,784
2,717
2,945
2,934
208,262
210,743
211,690
215,100
218,660
220,785
222,211
224,632
227,331
224,421
225,277
227,219
84,713
86,077
94,558
98,756
95,945
100,067
100,249
103,066
112,092
107,753
111,032
119,400
148,539
151,853
153,193
154,625
157,276
157,694
157,357
159,943
157,617
157,365
158,204
157,402 R
441,514
448,673
459,441
468,481
471,881
478,545
479,818
487,641
497,039
489,539
494,512
504,020R
392,797
394,973
395,487
399,209
405,739
408,161
411,355
417,281
417,280
421,154
424,431
420,193
19,801
19,581
19,811
19,490
19,629
19,511
19,586
19,762
19,638
19,722
19,839
19,849
5,972
6,017
6,132
6,202
6,271
6,397
6,443
6,504
6,608
6,609
6,664
6,683
863,114
872,352
883,811
896,136
906,246
915,274
919,996
934,068
943,349
939,741
948,391
953,679 R
2007 J
F
M
A
M
J
J
3,787
4,566
4,377
4,377
4,935
5,258
4,647
31,610
33,348
37,339
30,845
29,135
30,169
27,871
39,447
36,369
38,476
33,115
36,190
34,313 R
34,026
54,356
57,222
55,932
57,510
56,600
52,211 R
54,233
93,804
93,590
94,408
90,624
92,789
86,524 R
88,259
3,085
3,123
3,398
3,773
3,771
3,780
2,918
132,285
134,628
139,522
129,620
130,630
125,731 R
123,695
3,357
3,184
3,246
2,932
2,988
3,321
3,947
226,543
229,522
230,991
234,760
237,856
241,466
243,474
114,630
119,454
115,487
113,513
118,737
116,682
114,748
156,646
163,629
170,294
168,868 R
171,518
177,319 R
174,354
497,819
512,605
516,771R
517,141
528,111
535,468R
532,575
422,330
426,537
428,282
436,319
442,944
446,955
454,710
20,045
19,864
20,142
20,262
20,455
20,321
20,219
6,660
6,692
6,813
6,835
6,921
7,061
7,124
950,211
968,882
975,255
983,490
1,001,419
1,013,126 R
1,018,576
S 21
Less liquid Canadian dollar assets
Avoirs de seconde liquidité en dollars canadiens
Total of
foregoing
Ensemble
des avoirs
précédents
Canadian securities
Titres canadiens
Total
Total
Canadian
dollar deposits
with other
regulated
financial
institutions
Dépôts
en dollars
canadiens
auprès d’autres
institutions
financières
réglementées
Canadian
dollar items
in transit
(net)
Solde des
effets en
dollars
canadiens en
compensation
Customers’
liability
under
acceptances
Engagements
de clients
au titre des
acceptations
Other
Canadian
dollar
assets
Autres
avoirs
en dollars
canadiens
Total
Canadian
dollar
assets
Ensemble
des avoirs
en dollars
canadiens
Total foreign
currency assets
Ensemble des
avoirs en
monnaies
étrangères
Total
assets
Ensemble
de l’actif
V36884
V36883
End of
period
En fin de
période
Provincial
and
municipal
Provinces et
municipalités
Corporate
Sociétés
Shares
Actions
Other
Autres
titres
V36906
V36907
V36908
V36902
V36935
V36928
V36933
V36934
V36885
21,278
20,109
21,577
20,932
21,894
19,804
68,397
69,373
69,776
72,475
73,543
78,929
28,045
27,136
29,016
27,992
28,961
28,881
117,720
116,619
120,369
121,399
124,397
127,613
926,216
941,762
943,756
932,478
956,249
954,493
14,769
11,946
14,821
14,210
14,299
14,244
-2,049
-1,587
-1,788
-1,232
-3,093
2,172
37,661
38,068
36,006
36,048
35,859
32,234
122,139
103,580
119,356
116,804
131,008
125,135
1,098,736
1,093,770
1,112,151
1,098,308
1,134,322
1,128,278
648,837
642,107
643,816
618,968
628,720
639,377
1,747,573
1,735,878
1,755,967
1,717,276
1,763,042
1,767,655
2003 J
A
S
O
N
D
21,108
21,094
20,348
22,316
23,229
23,029
22,106
21,595
21,477
21,445
22,462
22,708
77,190
79,576
78,558
72,635
73,498
75,122
74,455
74,465
77,650
80,521
81,885
84,204
28,835
29,008
29,257
31,440
34,228
34,871
36,083
36,339
38,350
37,895
44,332
43,194
127,133
129,679
128,163
126,392
130,955
133,022
132,644
132,399
137,476
139,861
148,679
150,106
958,819
969,774
968,822
969,838
992,913
999,266
1,000,141
1,017,531
1,018,148
1,021,062
1,063,219
1,057,257
14,241
14,576
14,000
12,732
13,414
12,788
12,075
12,596
12,249
12,390
12,674
11,506
526
84
-2,186
-3,883
-3,179
-7,054
-4,604
-5,404
-6,140
-3,880
-591
-735
34,340
34,264
33,383
34,598
33,276
33,786
35,502
34,618
32,990
35,583
35,402
32,482
114,529
119,043
118,139
95,192
89,224
100,348
91,004
110,929
122,871
143,228
152,094
149,444
1,122,455
1,137,741
1,132,158
1,108,476
1,125,648
1,139,134
1,134,117
1,170,269
1,180,118
1,208,383
1,262,797
1,249,954
668,130
677,298
673,262
700,367
697,696
682,493
666,959
638,624
617,871
606,101
656,455
645,793
1,790,585
1,815,039
1,805,420
1,808,843
1,823,344
1,821,627
1,801,076
1,808,893
1,797,989
1,814,484
1,919,252
1,895,747
2004 J
F
M
A
M
J
J
A
S
O
N
D
23,911
23,946
23,204
23,486
24,549
24,955
25,968
25,946
28,226
27,691
29,154
28,697
83,823
86,777
89,073
90,415
93,105
96,450
93,833
96,692
98,937
94,808
98,793
102,822
39,391
43,394
44,946
44,169
46,848
45,660
46,896
48,450
47,329
49,764
54,779
50,666
147,126
154,117
157,224
158,069
164,502
167,065
166,697
171,088
174,492
172,263
182,726
182,186
1,046,181
1,071,792
1,077,941
1,079,260
1,103,423
1,125,813
1,120,348
1,139,984
1,136,970
1,137,090
1,157,202
1,155,611
14,115
15,902
13,598
13,277
15,042
18,876
19,192
19,304
20,030
17,292
19,471
17,142
2,352
1,519
-266
-735
-387
666
1,009
-1,673
2,319
648
201
-133
32,742
33,881
34,598
37,232
35,286
35,319
37,546
38,230
38,182
38,762
38,801
39,032
142,685
142,345
152,552
92,886
114,573
146,142
121,499
145,127
136,647
109,229
142,205
126,920
1,238,076
1,265,439
1,278,423
1,221,921
1,267,937
1,326,816
1,299,593
1,340,971
1,334,148
1,303,020
1,357,880
1,338,573
662,438
682,026
656,085
735,010
725,605
705,406
728,266
707,993
695,863
709,495
708,844
712,388
1,900,514
1,947,465
1,934,508
1,956,931
1,993,542
2,032,222
2,027,859
2,048,964
2,030,010
2,012,515
2,066,724
2,050,961
2005 J
F
M
A
M
J
J
A
S
O
N
D
28,486
28,008
28,597
28,589
28,032
27,752
26,436
26,995
26,844
26,256
28,958
26,584
105,449
104,514
107,129
105,836
101,968
102,379
105,282
107,759
110,855
113,515
117,686
122,912
52,078
55,075
53,365
52,474
53,558
58,619
59,494
57,880
57,568
59,387
63,885
62,980
186,013
187,598
189,092
186,899
183,558
188,750
191,213
192,634
195,267
199,158
210,530
212,477
1,157,316
1,168,309
1,195,132
1,200,802
1,214,945
1,225,601
1,233,325
1,253,450
1,262,339
1,269,784
1,291,623
1,304,444 R
18,495
20,874
22,957
21,831
22,759
20,780
20,726
22,730
23,528
22,602
24,633
22,963
-67
2,773
-663
-962
599
1,654
-1,168
-702
607
777
-651
-2,160
42,026
42,764
44,292
45,834
45,691
45,788
49,056
48,365
47,569
49,283
52,622
52,494
127,992
123,883
76,502
128,903
119,678
123,741
120,913
149,251
135,788
136,690
108,431
81,638 R
1,345,763
1,358,602
1,338,221
1,396,408
1,403,673
1,417,563
1,422,851
1,473,094
1,469,831
1,479,136
1,476,659
1,459,380 R
738,327
744,248
806,734
761,975
767,339
765,711
769,806
746,126
769,395
785,310
861,765
925,164 R
2,084,089
2,102,851
2,144,955
2,158,383
2,171,012
2,183,274
2,192,658
2,219,219
2,239,227
2,264,446
2,338,424
2,384,544 R
2006 J
F
M
A
M
J
J
A
S
O
N
D
28,074
28,700
28,586
28,519
28,905
31,371
30,831
124,578
125,459
128,475
130,102
137,304
138,822
137,817
62,232
67,057
65,678 R
69,058
67,799
67,066 R
68,263
214,884
221,216
222,739 R
227,680
234,008
237,259 R
236,910
1,297,380
1,324,726
1,337,516 R
1,340,789
1,366,057 R
1,376,116 R
1,379,181
21,577
24,251
24,141
25,103
25,907
24,254 R
23,981
-455
1,307
126
-632
-524
-3,512
-1,807
55,861
56,661
55,056
58,674
58,535
56,330
57,975
98,925
105,390
128,365 R
162,797
168,351
160,136 R
130,566
1,473,289
1,512,334
1,545,203 R
1,586,730 R
1,618,326 R
1,613,325 R
1,589,895
922,659
938,417
903,148
867,675
875,839
861,935 R
896,869
2,395,948
2,450,751
2,448,351
2,454,406
2,494,166
2,475,260 R
2,486,764
2007 J
F
M
A
M
J
J
V36886
C4
Chartered bank liabilities — Month-end series
Banques à charte : Passif — Séries de fin de mois
End of
period
En fin de
période
Canadian dollar deposits
Dépôts en dollars canadiens
S 22
Millions of dollars En millions de dollars
Personal savings deposits
Dépôts d’épargne des particuliers
Chequable
Transférables
par
chèque
Nonchequable
Non
transférables
par chèque
Fixed
term
À terme
fixe
Total
Total
Non-personal term and
notice deposits
Dépôts à terme ou à préavis
autres que ceux des particuliers
Notice
À préavis
Fixed term
À terme
fixe
Total
Total
Gross demand deposits
Dépôts à vue (montant brut)
Personal
chequing
Comptes
de chèques
personnels
Other
Autres
Total
Total
Government
of Canada
Gouvernement
canadien
Total
Total
V36939
Advances
from Bank
of Canada
Avances de
la Banque
du Canada
Bankers’
acceptances
Acceptations
bancaires
Liabilities of
subsidiaries
other than
deposits
Engagements
des filiales,
dépôts
exclus
V36943
V36944
V36945
V36942
V36954
V36955
V36953
V36949
V36951
V36952
V36940
V36965
V36971
V36972
2003 J
A
S
O
N
D
73,661
74,635
72,446
73,932
74,541
74,092
63,121
64,069
64,350
65,712
66,505
67,540
248,951
248,976
248,847
249,215
249,323
249,550
385,732
387,680
385,642
388,859
390,369
391,182
56,323
57,114
56,782
57,708
57,744
58,316
142,522
136,043
141,774
138,630
149,356
146,053
198,845
193,157
198,556
196,338
207,100
204,368
32,353
32,584
32,282
32,217
32,701
33,193
77,508
76,842
78,481
76,778
80,572
82,911
109,860
109,425
110,763
108,995
113,273
116,104
1,778
2,390
2,149
2,649
2,438
3,478
696,216
692,652
697,109
696,841
713,180
715,133
287
723
435
710
4
4
37,707
38,119
36,056
36,096
35,908
32,274
359
431
426
443
559
494
2004 J
F
M
A
M
J
J
A
S
O
N
D
74,706
74,473
72,899
78,134
77,611
79,677
80,117
78,618
78,464
79,095
77,889
79,181
69,191
71,062
72,088
73,641
75,294
75,856
75,435
75,806
75,642
76,415
77,161
78,138
249,445
248,806
247,035
245,181
244,006
245,095
246,016
245,848
246,675
247,014
248,945
249,377
393,341
394,341
392,022
396,956
396,911
400,628
401,569
400,272
400,781
402,524
403,994
406,696
57,125
57,216
56,732
59,518
60,446
63,293
60,959
60,697
61,719
60,698
63,266
62,482
149,009
156,775
161,461
162,858
166,376
159,939
164,586
170,280
175,305
179,271
191,169
186,131
206,134
213,991
218,193
222,376
226,822
223,232
225,544
230,977
237,024
239,970
254,436
248,613
34,737
35,226
34,782
35,993
35,727
36,972
36,931
36,369
36,873
37,717
38,110
38,813
82,543
84,933
84,408
87,367
89,206
91,403
89,848
89,574
91,825
90,027
95,102
94,783
117,280
120,159
119,189
123,360
124,934
128,374
126,779
125,943
128,698
127,744
133,212
133,596
2,340
2,432
2,077
1,905
3,505
1,611
2,134
2,850
2,899
2,955
3,320
2,448
719,094
730,922
731,481
744,597
752,172
753,846
756,026
760,042
769,402
773,192
794,962
791,353
13
43
4
33
33
2
84
16
34,391
34,303
33,422
34,648
33,326
33,836
35,551
34,667
33,039
35,625
35,444
32,524
428
561
611
598
697
646
586
601
553
552
446
398
2005 J
F
M
A
M
J
J
A
S
O
N
D
78,444
77,696
77,379
81,949
79,957
82,759
82,211
80,743
81,149
80,709
80,980
82,334
79,483
80,870
80,112
80,643
81,207
82,064
82,439
82,860
83,318
84,347
83,979
84,729
249,611
250,712
250,967
251,036
250,850
250,767
251,185
250,528
250,324
250,376
251,220
251,906
407,537
409,278
408,458
413,628
412,014
415,591
415,835
414,131
414,791
415,432
416,179
418,968
62,024
63,119
61,503
63,600
64,508
65,135
62,138
62,399
64,448
65,187
71,276
65,870
199,291
212,795
211,767
210,448
216,524
218,406
228,029
230,748
222,112
225,765
231,056
216,603
261,316
275,914
273,270
274,048
281,032
283,542
290,167
293,146
286,560
290,952
302,332
282,473
39,492
39,989
39,472
40,100
39,316
41,349
40,704
40,415
41,896
42,452
42,057
43,131
95,117
97,830
94,589
96,997
99,952
102,067
98,027
97,757
102,841
103,027
105,720
104,912
134,609
137,819
134,060
137,097
139,268
143,416
138,731
138,172
144,738
145,479
147,777
148,043
2,090
3,268
3,510
2,217
2,746
2,209
2,137
3,097
2,175
1,792
3,206
2,455
805,552
826,279
819,298
826,990
835,060
844,757
846,869
848,546
848,263
853,655
869,494
851,940
55
44
41
8
19
80
15
17
29
47
41
8
32,769
33,908
34,625
37,268
35,322
35,352
37,580
38,264
38,216
38,789
38,828
39,059
526
546
553
604
523
562
542
553
385
338
330
310
2006 J
F
M
A
M
J
J
A
S
O
N
D
81,250
80,761
81,652
85,052
85,155
86,945
85,419
85,666
85,468
84,198
85,956
87,248
86,275
86,954
85,759
86,096
83,262
82,981
83,320
83,407
83,662
85,023
86,279
87,438
253,846
257,217
261,095
262,240
263,581
267,058
269,878
272,188
273,637
277,847
278,861
279,258
421,371
424,932
428,506
433,388
431,997
436,984
438,617
441,261
442,767
447,068
451,096
453,944
62,998
64,113
65,017
64,644
67,904
67,874
66,896
68,557
68,222
67,548
70,075
73,665
221,233
224,720
228,554
222,955
232,369
225,762
226,609
240,912
244,483
240,602
242,658
236,172
284,230
288,833
293,571
287,599
300,272
293,636
293,505
309,469
312,705
308,150
312,733
309,837
43,738
43,216
42,944
43,452
42,057
42,846
42,843
42,637
43,326
43,959
45,398
45,800
102,875
108,796
108,916
109,106
113,676
115,704
115,566
115,130
117,462
124,031
123,296
120,358
146,613
152,012
151,860
152,558
155,733
158,550
158,409
157,767
160,788
167,990
168,694
166,158
1,842
3,017
2,776
2,446
2,379
1,325
2,829
2,089
1,284
656
2,589
1,389
854,056
868,793
876,713
875,990
890,382
890,495
893,360
910,587
917,544
923,865
935,111
931,327
61
47
31
41
66
90
73
61
16
27
58
31
42,056
42,794
44,322
45,866
45,728
45,820
49,091
48,400
47,604
49,326
52,658
52,530
412
358
344
357
432
359
561
618
706
402
413
483
2007 J
F
M
A
M
J
J
85,178
84,822
86,246
89,655
89,905
92,139
90,436
88,580
90,040
89,377
90,182
91,035
91,066
91,399
280,065
280,994
282,018
280,726
280,328
281,703
282,975
453,823
455,856
457,642
460,563
461,268
464,907
464,810
69,711
69,471
71,452
72,616
71,636
73,932
74,057
239,044
251,985
243,111
246,406
250,843
247,086
253,368
308,755
321,456
314,563
319,023
322,479
321,018
327,425
45,844
45,961
45,902
46,753
46,749
47,728
46,988
120,867
124,215
124,224
124,110
125,088
131,839 R
128,135
166,710
170,177
170,127
170,863
171,837
179,568 R
175,123
2,114
2,751
2,503
4,824
1,958
1,933
1,693
931,403
950,240
944,834
955,272
957,541
967,426 R
969,051
64
102
171
92
79
17
22
55,900
56,700
55,095
58,712
58,573
56,368
57,735
335
639
870
885
760
374
392
S 23
Other
liabilities
Autres
engagements
Non-controlling
interest in
subsidiaries
Participation
non majoritaire
dans les
filiales
Subordinated
debt
Dette
subordonnée
V36956
V36957
225,331
224,029
239,208
228,416
250,720
243,178
Shareholders’ equity
Avoir propre des actionnaires
Capital stock
Capital-actions
Contributed
surplus
Surplus
d’apport
Retained
earnings
Bénéfices
non répartis
Foreign currency
translation
adjustments
Redressement
des conversions
en devise
étrangère
Accumulated
other
comprehensive
income (loss)
Cumul des
autres éléments
de résultat
étendu (perte)
V36962
V36964
V29785526
V41598372
Total
Total
Total foreign
currency
liabilities
Ensemble du
passif en
monnaies
étrangères
et avoir
propre des
actionnaires
Total
liabilities
and
shareholders’
equity
Ensemble
du passif
V36938
V36937
V36936
End of
period
En fin de
période
Common
Actions
ordinaires
Preferred
Actions
privilégiées
V36968
V36960
V36961
7,317
7,327
7,332
7,412
7,419
7,373
18,162
18,162
19,060
19,019
20,031
20,602
25,715
25,739
25,802
25,928
26,004
26,110
7,524
7,531
7,831
7,831
7,841
7,765
455
458
463
467
477
529
48,581
48,402
48,116
48,879
48,747
48,475
1,067,654
1,063,572
1,081,839
1,072,042
1,110,889
1,101,938
679,919
672,306
674,128
645,234
652,153
665,717
1,747,573
1,735,878
1,755,967
1,717,276
1,763,042
1,767,655
2003 J
A
S
O
N
D
230,364
235,572
229,142
194,783
196,834
211,294
202,347
232,334
236,585
258,467
305,891
296,188
7,345
7,370
7,405
7,384
7,373
7,257
7,301
7,319
7,924
7,894
3,497
2,705
20,730
20,440
20,517
21,264
22,063
22,208
22,075
22,081
22,503
21,957
22,029
22,545
25,665
25,875
26,030
26,303
26,343
26,506
26,507
26,516
26,547
26,657
26,674
26,880
7,634
7,632
7,649
7,742
7,528
7,570
7,571
7,276
6,891
6,742
4,118
4,113
638
610
618
615
611
619
639
645
652
646
720
725
50,802
50,743
50,496
52,553
52,424
52,043
53,160
52,938
52,714
52,190
51,940
52,260
1,097,091
1,114,040
1,107,415
1,090,491
1,099,405
1,115,825
1,111,764
1,144,420
1,156,842
1,183,925
1,245,806
1,229,707
693,494
700,999
698,005
718,353
723,939
705,803
689,312
664,473
641,147
630,559
673,446
666,040
1,790,585
1,815,039
1,805,420
1,808,843
1,823,344
1,821,627
1,801,076
1,808,893
1,797,989
1,814,484
1,919,252
1,895,747
2004 J
F
M
A
M
J
J
A
S
O
N
D
271,088
281,059
294,397
225,095
266,738
314,902
287,106
318,935
308,561
271,796
307,031
300,184
1,646
1,858
1,904
2,273
2,509
2,614
2,623
2,591
2,778
4,027
3,952
3,868
23,664
23,539
23,535
23,266
23,302
23,241
23,482
22,736
23,801
24,169
24,326
24,257
27,439
27,507
29,596
29,774
29,827
29,952
30,161
30,216
30,311
30,389
30,395
30,227
4,101
4,120
5,027
5,187
5,195
5,204
5,079
4,915
4,922
4,785
5,389
5,388
703
711
718
746
755
762
772
778
784
795
794
799
58,390
58,267
58,480
59,812
59,705
59,942
58,808
58,769
59,039
60,466
61,026
60,059
-4,045
-4,094
-4,251
-3,696
-3,708
-3,889
-4,330
-4,564
-4,705
-5,396
-5,485
-5,517
1,221,887
1,253,744
1,263,923
1,207,329
1,255,247
1,313,481
1,288,708
1,321,756
1,312,382
1,283,861
1,336,120
1,310,583
678,627
693,721
670,585
749,602
738,295
718,741
739,151
727,208
717,628
728,654
730,604
740,378
1,900,514
1,947,465
1,934,508
1,956,931
1,993,542
2,032,222
2,027,859
2,048,964
2,030,010
2,012,515
2,066,724
2,050,961
2005 J
F
M
A
M
J
J
A
S
O
N
D
299,905
296,920
261,421
311,586
317,803
316,762
313,137
352,895
340,627
342,978
326,675
311,878R
3,809
3,774
3,840
3,983
3,895
3,883
3,885
3,905
3,906
3,869
3,851
3,779
24,644
24,164
25,434
26,267
25,959
25,920
25,072
25,071
24,668
24,137
24,984
27,305
30,432
30,495
30,575
30,760
30,834
30,854
30,948
31,006
31,234
31,181
31,303
31,070
5,394
5,413
5,403
5,713
5,719
5,727
5,981
5,992
6,028
5,775
6,271
6,516
843
820
836
840
852
870
900
903
906
927
961
912
64,207
63,902
64,107
66,137
66,066
66,368
68,519
68,428
68,771
71,072
68,831
68,823
-6,067
-6,090
-5,875
-6,499
-6,603
-6,510
-6,619
-6,790
-6,718
-6,566
-
1,319,753
1,331,390
1,307,151
1,361,042
1,381,133
1,380,636
1,384,909
1,441,075
1,435,292
1,446,995
1,451,118
1,434,655 R
764,337
771,461
837,804
797,341
789,879
802,638
807,749
778,144
803,934
817,451
887,306
949,889 R
2,084,089
2,102,851
2,144,955
2,158,383
2,171,012
2,183,274
2,192,658
2,219,219
2,239,227
2,264,446
2,338,424
2,384,544 R
2006 J
F
M
A
M
J
J
A
S
O
N
D
315,604
335,601
361,321
386,778
411,064
390,265R
374,910
4,022
3,923
3,328
3,385
3,416
3,438
3,451
27,368
27,373
27,579
27,930
27,699
28,292
28,795
31,211
31,225
31,369
31,424
31,543
31,594
31,635
7,055
7,358
7,564
8,153
8,163
8,191
7,796
928
930
919
979
1,001
987
984
1,443,319
1,483,540
1,502,632
1,544,189 R
1,570,460
1,557,683 R
1,544,628
952,629
967,211
945,719
910,216
923,706
917,577 R
942,136
2,395,948
2,450,751
2,448,351
2,454,406
2,494,166
2,475,260 R
2,486,764
2007 J
F
M
A
M
J
J
73,338
73,362
73,480
75,656
75,745
75,838 R
77,798
-3,908
-3,912
-3,898
-5,077
-5,126
-5,107
-7,941
C5
Chartered banks: Regional distribution of assets
Banques à charte : Répartition régionale de l’actif
S 24
Millions of dollars En millions de dollars
End
of
period
En fin
de
période
Newfoundland
Terre-Neuve
Canadian dollar assets
Avoirs canadiens
Coin and
Bank of Canada
notes
Pièces
et billets
de banque
canadiens
Securities
Provincial
Provinces
Titres
Municipal
Municipalités
Corporate
Sociétés
Call and
short loans
Prêts à vue
ou à court
terme
Loans to federal
government, provinces
and municipalities
Prêts au gouvernement fédéral,
aux provinces et
aux municipalités
Personal loans
Prêts personnels
Personal
loan plans
Prêts
personnels à
tempérament
Credit
cards
Cartes
de
crédit
Other
Autres
Total
Total
Residential
mortgages
Prêts
hypothécaires à
l’habitation
V38038
V38045-52
V38039-40
V38043
V38037
V38080
V38087-94
V38081-82
V38085
V38079
V38096
V38103-10
V38097-98
V38101
V38095
V38125
V38133-40
V38126-27
V38130
V38124
V37931
V37938-45
V37932-33
V37936
V37930
V38022
V38029-36
V38023-24
V38027
V38021
V37990
V37997-38004
V37991-92
V37995
V37989
V38006
V38013-20
V38007-08
V38011
V38005
V37973
V37981-88
V37974-75
V37978
V37972
V38174
V38182-89
V38175-76
V38179
V38173
V38142
V38148-55
V38143-44
V38147
V38141
2006 IV
2007 I
II
59
36
40
219
148
106
-
151
154
205
-
239
232
214
695
671
652
838
822
871
1,452
1,485
1,513
2,985
2,978
3,036
3,874
3,898
3,960
Prince Edward Island 2006 IV
Île-du-Prince-Édouard 2007 I
II
12
8
9
33
42
50
-
2
2
1
-
64
67
69
187
197
200
197
192
209
452
480
535
836
869
944
1,130
1,138
1,157
Nova Scotia
Nouvelle-Écosse
2006 IV
2007 I
II
173
126
142
217
102
75
-
770
720
742
-
32
117
120
2,024
2,036
2,116
1,533
1,502
1,585
4,190
4,282
4,373
7,747
7,820
8,074
10,254
10,356
10,626
New Brunswick
Nouveau-Brunswick
2006 IV
2007 I
II
66
46
52
266
103
209
-
27
46
41
-
43
42
31
1,014
993
980
999
966
1,020
2,285
2,332
2,378
4,298
4,290
4,378
5,360
5,407
5,556
Quebec
Québec
2006 IV
2007 I
II
814
487
623
1,996
2,468
2,081
35
45
34
10,408
10,402
11,042
3,313
617
744
1,248
1,222
1,225
7,768
7,923
8,386
5,594
5,382
5,808
16,954
17,649
18,187
30,316
30,954
32,381
52,509
53,151
55,814
Ontario
Ontario
2006 IV
2007 I
II
2,490
1,876
2,487
3,534
4,001
4,039
52
53
81
45,311
46,926
49,024
429
464
1,695
826
796
1,054
22,669
23,210
24,416
19,275
18,412
19,976
67,281
71,166
74,128
109,225
112,787
118,520
201,439
203,766
209,854
Manitoba
Manitoba
2006 IV
2007 I
II
90
66
84
237
265
353
11
6
11
400
392
399
1
1
1
73
86
93
1,183
1,165
1,148
1,325
1,278
1,358
3,009
3,080
3,157
5,516
5,523
5,663
6,796
6,828
7,041
Saskatchewan
Saskatchewan
2006 IV
2007 I
II
81
57
63
134
151
189
1
764
864
991
-
124
126
167
972
952
922
1,137
1,103
1,176
2,772
2,831
2,929
4,881
4,887
5,027
5,813
5,892
6,319
Alberta
Alberta
2006 IV
2007 I
II
574
264
290
126
195
126
15
7
7
8,293
8,428
8,970
1
43
94
39
3,819
3,790
3,797
5,028
4,870
5,257
16,967
18,025
19,451
25,814
26,685
28,505
52,626
55,192
59,430
British Columbia
2006 IV
Colombie-Britannique 2007 I
II
512
389
455
1,216
1,222
1,420
85
99
47
1,512
1,677
1,859
47
47
36
179
275
242
3,982
3,942
3,903
5,902
5,760
6,152
20,747
21,649
22,623
30,632
31,351
32,678
79,123
81,162
85,874
2006 IV
2007 I
II
16
12
15
-
-
-
-
56
55
51
129
127
121
145
140
152
260
270
272
535
537
544
1,438
1,629
1,463
Unallocated in Canada 2006 IV
and/or international
2007 I
Opérations non
II
réparties au Canada
et opérations
internationales
10
8
8
16,707
18,276
20,944
1,700
1,403
1,601
118,257
124,545
132,617
2,270
1,304
6
135
15
92
92
103
45
42
44
7,090
4,993
4,345
7,227
5,126
4,492
1
1
1
4,896
3,375
4,269
24,686
26,972
29,590
1,899
1,614
1,781
185,895
194,155
205,890
3,789
3,398
3,780
2,934
3,246
3,321
44,533
45,097
46,744
42,020
40,468
43,608
143,460
148,242
153,891
230,013
233,807
244,243
420,362
428,421
447,094
Yukon, N.W.T., and
Nunavut
Yukon, T. N.-O. et
Nunavut
Total
Total
2006 IV
2007 I
II
S 25
Agricultural
loans
Prêts
agricoles
Other
business
loans
Autres
prêts
commerciaux
Leasing
receivables
Créances
résultant du
crédit-bail
Customers’
liability
under
acceptances
Engagements
de clients
au titre
d’acceptations
V38476
V38484-91
V38477-78
V38481
V38475
V38191
V38199-206
V38192-93
V38196
V38190
V38208
V38216-23
V38209-10
V38213
V38207
V38225
V38232-39
V38226-27
V38230
V38224
V38318
V38326-33
V38319-20
V38323
V38317
173
167
186
843
876
878
10
10
11
170
200
182
11
13
12
126
149
208
53
50
23
46
46
46
8,832
8,832
8,967
5,801 R
5,907
6,049
14,633 R
14,739
15,016
124
115
116
85
91
107
339
345
363
156
147
138
72
78
75
1
1
1
62
60
70
4
4
3
10
10
10
2,788
2,842
2,966
1,394 R
1,454
1,446
4,182 R
4,296
4,412
257
269
282
710
748
854
898
967
1,125
2,508
2,636
2,925
259
242
234
599
565
586
36
36
35
1,483
1,520
1,962
303
198
149
64
65
64
24,662
24,712
25,948
11,288 R
11,658
11,519
35,950 R
36,370
37,467
182
195
181
151
154
125
350
345
305
577
524
361
1,477
1,438
1,195
185
183
201
196
196
201
19
20
22
451
374
224
74
96
63
31
31
31
12,714
12,501
12,437
7,072 R
7,450
7,268
19,785 R
19,950
19,705
1,608
1,855
1,815
1,995
1,946
2,035
1,706
1,716
1,798
5,643
5,465
5,698
9,100
8,528
9,496
20,052
19,511
20,843
2,835
2,910
2,874
4,153
4,237
4,712
531
534
578
5,753
6,642
6,376
4,823
4,336
3,771
763
753
776
142,894
141,642
147,196
80,079 R
81,503
82,552
222,973 R
223,145
229,748
8,712
8,813
8,733
4,881
4,857
4,553
3,293
3,433
3,524
3,083
3,228
3,274
9,908 R
10,704
11,168
27,966
31,103
35,442
49,131 R
53,325
57,959
4,057
4,074
4,104
14,120
18,096
16,220
4,743
4,799
4,911
27,990
28,163
29,032
36,612
41,324
41,476
5,112 R
5,474
5,549
513,782 R
534,739
554,739
363,689 R
378,324
386,643
877,471 R
913,063
941,382
411
396
404
277
289
257
180
199
178
180
195
192
679
746
654
690
723
717
2,006
2,151
1,999
1,533
1,279
1,609
368
321
404
96
104
109
671
764
668
231
297
276
66
67
68
18,506
18,546
19,182
13,573 R
13,514
13,810
32,080 R
32,059
32,992
537
497
511
290
337
291
163
175
171
112
136
131
361
421
403
414
443
469
1,341
1,512
1,466
1,354
1,327
1,318
239
156
261
75
80
78
265
285
342
85
81
64
59
59
60
15,752
15,975
16,857
12,448 R
13,050
13,306
28,200 R
29,025
30,163
2,839
2,856
2,995
1,281
1,246
1,221
1,031
1,090
1,125
1,109
1,172
1,222
3,608
3,860
3,812
8,341
9,011
9,765
15,369
16,379
17,145
2,893
2,804
2,801
2,134
1,965
2,350
629
664
724
10,694
11,710
11,791
2,232
1,708
1,461
448
449
450
124,731
129,400
137,083
65,952 R
70,977
72,485
190,683 R
200,377
209,568
3,494
2,660
3,836
1,408
1,391
1,300
1,465
1,541
1,563
1,578
1,641
1,665
4,748
4,842
5,090
6,134
6,743
7,240
15,332
16,159
16,857
1,013
1,057
1,090
2,580
2,347
2,459
487
506
535
5,420
5,988
6,006
3,621
1,628
1,173
471
475
482
145,723
147,042
155,048
80,633 R
86,157
86,651
226,356 R
233,198
241,700
42
1,071
41
25
27
24
24
24
23
20
21
24
55
55
59
47
44
22
171
171
151
-
19
20
20
2
1
1
27
29
54
-
6
6
6
2,312
3,532
2,348
1,632 R
1,662
1,772
3,944 R
5,193
4,120
7
-
83
2
1
4
3
5
6
8
5
37
41
32
299
448
393
428
503
436
26
24
29
7,211
9,911
9,773
64
64
64
-412
-589
-365
498,041
492,556
460,179
4,147
3,942
3,658
653,416
658,181
634,754
74,861 R
78,745
74,226
728,277 R
736,926
708,980
19,933
20,230
20,408
10,658
10,814
10,273
8,808
9,098
9,284
8,354
8,691
8,878
14,322
14,057
14,409
31,861
38,091
37,244
6,694
6,822
7,071
52,530
55,095
56,368
546,089
542,285
508,649
11,222 R
11,375
11,201
1,666,114 R
1,697,943
1,717,524
718,421 R
750,399
757,727
2,384,535 R
2,448,341
2,475,251
Non-residential
mortgages
Prêts hypothécaires sur
immeubles
non
résidentiels
Loans to businesses Prêts aux entreprises
Less than 0.2
Moins de 0.2
0.2 to 0.5
0.2 - 0.5
0.5 to 1.0
0.5 - 1.0
1.0 to 5.0
1.0 - 5.0
5.0 or more
5.0 ou plus
Total
Total
V38157
V38164-71
V38158-59
V38162
V38156
V38352
V38360-67
V38353-54
V38357
V38351
V38386
V38394-401
V38387-88
V38391
V38385
V38403
V38411-18
V38404-05
V38408
V38402
V38420
V38428-35
V38421-22
V38425
V38419
V38284
V38292-99
V38285-86
V38289
V38283
46
44
44
167
169
165
147
154
136
123
116
123
233
270
268
67
72
76
59
63
63
41
42
39
30
34
37
217
209
214
358
356
360
285
296
304
223
229
234
218
221
222
3,346
3,376
3,320
Under authorized limits of (millions of dollars):
Consentis en vertu de crédits autorisés dont le plafond, en millions de dollars, est de :
26,455 R
27,611
28,459
54,725
58,793
65,323
108,999 R
115,007
122,217
Foreign
currency
loans
and
securities
Prêts et
titres en
monnaies
étrangères
Land, buildings
and equipment
less accumulated
depreciation
Terrains,
bâtiments et
matériel, moins
l’amortissement
cumulé
Total
assets
distributed
by
province
Ensemble
de l’actif
réparti
par province
Residual
assets
Autres
éléments
de l’actif
Total
assets
Ensemble
de l’actif
V38241
V38249-56
V38242-43
V38246
V38240
V38301
V38309-16
V38302-03
V38306
V38300
V38335
V38343-50
V38336-37
V38340
V38334
V38369
V38377-84
V38370-71
V38374
V38368
V37900
V37908-15
V37901-02
V37905
V37899
C6
Chartered banks: Regional distribution of liabilities
Banques à charte : Répartition régionale du passif
S 26
Millions of dollars En millions de dollars
End
of
period
En fin
de
période
Canadian dollar liabilities Dépôts en dollars canadiens
Personal savings deposits Dépôts d’épargne des particuliers
Chequable
Transférables
par chèque
V38643
V38651-58
V38644-45
V38648
V38642
Newfoundland
Terre-Neuve
Non-chequable
Non transférables par chèque
Fixed term
À terme fixe
Total
Total
Tax sheltered
Abris fiscaux
Other
Autres
Total
Total
Total
Total
Of which: Tax sheltered
Dont : Abris fiscaux
V38592
V38600-07
V38593-94
V38597
V38591
V38609
V38617-24
V38610-11
V38614
V38608
V38686
V38694-701
V38687-88
V38691
V38685
V38729
V38737-44
V38730-31
V38734
V38728
V38626
V38634-41
V38627-28
V38631
V38625
Non-personal term and notice deposits (excluding deposits of banks)
Dépôts à terme ou à préavis autres que ceux des particuliers
(dépôts interbancaires exclus)
Notice
À
préavis
Fixed term
À terme
fixe
Total
Total
V38746
V38754-61
V38747-48
V38751
V38745
V38545
V38553-60
V38546-47
V38550
V38544
V38575
V38583-90
V38576-77
V38580
V38574
V38528
V38536-43
V38529-30
V38533
V38527
2006 IV
2007 I
II
867
863
951
129
140
131
1,053
1,044
1,112
1,182
1,184
1,243
2,631
2,657
2,675
1,236
1,240
1,239
4,680
4,704
4,869
813
742
757
645
595
586
1,458
1,338
1,343
Prince Edward Island
2006 IV
Île-du-Prince-Édouard 2007 I
II
250
249
268
21
23
21
196
197
210
216
219
230
817
820
781
287
288
287
1,283
1,288
1,280
86
94
112
125
125
127
211
219
239
Nova Scotia
Nouvelle-Écosse
2006 IV
2007 I
II
2,355
2,366
2,474
158
179
170
1,652
1,689
1,774
1,810
1,867
1,944
5,201
5,213
4,909
1,756
1,745
1,738
9,366
9,446
9,328
1,365
1,345
1,424
889
877
886
2,253
2,222
2,310
New Brunswick
Nouveau-Brunswick
2006 IV
2007 I
II
1,339
1,344
1,397
99
109
101
1,101
1,128
1,143
1,200
1,236
1,244
3,422
3,415
3,399
1,342
1,332
1,318
5,961
5,995
6,040
660
698
711
964
1,090
996
1,625
1,788
1,707
Quebec
Québec
2006 IV 12,680
2007 I
12,694
II 13,576
607
792
738
6,158
6,106
7,080
6,765
6,898
7,818
38,756
39,008
38,886
13,631
13,623
13,470
58,200
58,600
60,280
12,485
9,863
11,748
15,114
15,782
16,322
27,599
25,645
28,070
Ontario
Ontario
2006 IV 40,222
2007 I
39,209
II 41,736
5,299
5,955
5,764
38,502
38,531
37,925
43,801
44,485
43,688
142,082
143,751
144,501
38,050
38,313
37,726
226,105
227,445
229,926
35,052
34,919
34,400
117,261
118,033
129,099
152,313
152,952
163,499
Manitoba
Manitoba
2006 IV
2007 I
II
2,659
2,655
2,785
149
168
167
1,769
1,803
1,888
1,918
1,971
2,055
6,250
6,068
6,169
2,182
1,990
2,128
10,827
10,695
11,008
1,982
1,791
1,889
1,308
1,131
1,100
3,290
2,921
2,989
Saskatchewan
Saskatchewan
2006 IV
2007 I
II
2,325
2,321
2,499
140
157
150
1,824
1,881
2,045
1,964
2,038
2,196
6,521
6,505
6,512
2,069
2,055
2,043
10,810
10,864
11,207
1,377
1,398
1,535
1,039
1,028
1,079
2,416
2,426
2,614
Alberta
Alberta
2006 IV 10,004
2007 I
10,150
II 11,025
861
1,009
976
8,273
8,489
9,137
9,135
9,498
10,113
26,115
26,691
26,604
8,098
8,135
8,080
45,254
46,339
47,742
8,628
8,718
9,490
11,072
12,277
12,309
19,700
20,996
21,799
British Columbia
2006 IV 13,418
Colombie-Britannique 2007 I
13,281
II 14,286
1,317
1,518
1,510
11,135
11,245
11,827
12,451
12,762
13,337
40,340
40,780
40,331
9,592
9,621
9,562
66,209
66,823
67,954
9,445
9,905
9,983
7,895
8,487
9,062
17,340
18,392
19,045
Yukon, N.W.T., and
Nunavut
Yukon, T. N.-O. et
Nunavut
2006 IV
2007 I
II
204
197
229
39
44
42
144
143
163
183
187
205
577
581
575
423
427
428
964
965
1,009
200
164
174
178
179
179
378
343
353
Unallocated in Canada
and/or international
Opérations non
réparties au Canada
et opérations
internationales
2006 IV
2007 I
II
923
916
912
3,824
3,897
3,809
2,989
3,134
3,184
6,813
7,030
6,993
6,548
6,531
6,361
617
616
567
14,284
14,477
14,265
801
826
820
55,182
55,421
51,692
55,983
56,247
52,512
Total
Total
2006 IV 87,248
2007 I
86,246
II 92,139
12,643
13,990
13,579
74,795
75,387
77,487
87,438
89,377
91,066
279,258
282,018
281,703
79,282
79,384
78,588
453,944
457,642
464,907
72,894
70,463
73,044
211,671
215,026
223,436
284,565
285,489
296,479
S 27
Gross demand deposits (excluding deposits of banks)
Montant brut des dépôts à vue (dépôts
interbancaires exclus)
Total
Total
Of which:
Dont :
Foreign currency deposit liabilities (excluding
banks and Government of Canada)
Dépôts en monnaies étrangères (sauf ceux
des banques et du gouvernement canadien)
Acceptances
Acceptations
Noncontrolling
interest in
subsidiaries
Participation
non
majoritaire
dans les
filiales
Liabilities of
subsidiaries
other than
deposits
Engagements
des filiales,
dépôts
exclus
Total
liabilities
distributed
by province
Ensemble
du passif
réparti
par
province
Residual
liabilities
Autres
éléments
du passif
Total liabilities and
shareholders’ equity
Ensemble
du passif
et avoir
propre des
actionnaires
V38798
V38806-13
V38799-800
V38803
V38797
V38854
V38862-69
V38855-56
V38859
V38853
V38871
V38879-86
V38872-73
V38876
V38870
V38888
V38896-903
V38889-90
V38893
V38887
V38905
V38913-20
V38906-07
V38910
V38904
V38493
V38501-08
V38494-95
V38498
V38492
Provincial
governments
Gouvernements
provinciaux
Demand
À vue
Notice
À
préavis
Fixed
term
À terme
fixe
Total
Total
V38969
V38975-82
V38970-71
V38974
V38968
V39014
V39022-29
V39015-16
V39019
V39013
V39031
V39039-46
V39032-33
V39036
V39030
V38781
V38789-96
V38782-83
V38786
V38780
V38997
V39005-12
V38998-99
V39002
V38996
271
150
262
93
100
106
32
32
33
36
30
22
161
161
161
126
149
208
-
-
7,523
7,406
7,806
7,494 R
7,555
7,662
15,017 R
14,962
15,467
1,739
1,746
1,778
55
55
55
16
18
17
8
6
8
14
14
13
38
39
38
62
60
70
-
-
1,839
1,845
1,886
1,801 R
1,859
1,832
3,639 R
3,704
3,717
2,463
2,338
2,524
14,082
14,006
14,162
136
130
170
155
180
182
119
125
137
122
114
113
396
418
432
1,490
1,525
1,967
-
-
15,968
15,949
16,561
14,584 R
14,912
14,589
30,552 R
30,861
31,150
970
900
907
1,237
1,167
1,188
8,822
8,950
8,936
86
210
121
78
81
88
55
50
61
58
53
99
191
184
248
456
374
224
-
-
9,469
9,509
9,407
9,137 R
9,529
9,205
18,606 R
19,037
18,613
2,959
3,134
3,405
11,146
10,543
9,737
14,104
13,677
13,141
99,904
97,922
101,491
803
1,073
675
3,213
3,442
3,599
1,080
1,172
1,168
3,750
4,114
4,018
8,043
8,727
8,786
5,812
6,690
6,438
393
388
359
117
116
2,306
114,268
113,842
119,379
103,461 R
104,253
104,555
217,729 R
218,095
223,934
18,013
18,136
19,053
57,296
56,001
62,869
75,309
74,137
81,922
453,727
454,534
475,347
2,585
2,444
2,597
10,614
11,484
12,443
5,174
5,548
5,303
43,018
48,748
49,122
58,806
65,781
66,867
28,699
28,861
29,721
1,066
1,065
1,064
8
7
514
542,305
550,249
573,513
469,881 R
483,922
489,700
1,012,186 R
1,034,171
1,063,213
438
441
485
2,379
2,179
2,495
2,817
2,620
2,981
16,934
16,236
16,978
217
325
190
371
349
359
125
122
125
625
295
373
1,122
765
858
689
772
669
-
-
18,745
17,774
18,505
17,537 R
17,286
17,491
36,281 R
35,060
35,996
525
522
576
1,780
1,866
1,963
2,304
2,388
2,538
15,530
15,678
16,359
56
64
85
211
171
196
70
65
82
79
83
92
360
318
369
265
285
342
-
-
16,156
16,282
17,070
16,083 R
16,692
16,853
32,238 R
32,974
33,923
2,764
2,881
3,125
14,561
15,060
16,448
17,326
17,941
19,574
82,280
85,275
89,114
210
474
592
1,653
1,633
1,754
1,087
950
1,096
1,480
1,817
1,952
4,220
4,401
4,803
10,795
11,832
11,867
-
-
97,295
101,508
105,784
85,210 R
90,788
91,805
182,505 R
192,296
197,589
3,389
3,452
3,734
13,657
14,846
15,798
17,046
18,298
19,532
100,595
103,512
106,531
484
485
206
3,180
3,149
4,100
1,960
1,991
2,012
6,198
6,055
5,951
11,338
11,195
12,063
5,514
6,104
6,108
430
430
430
142
117,877
121,241
125,274
104,176 R
110,205
109,748
222,053 R
231,446
235,022
53
54
60
640
634
756
693
688
816
2,036
1,996
2,178
93
75
196
7
6
7
8
6
7
3
4
4
17
17
18
27
29
54
-
-
2,080
2,042
2,251
2,108 R
2,125
2,244
4,188 R
4,167
4,495
16,660
16,271
16,205
6,032
6,816
9,005
22,692
23,087
25,209
92,958
93,812
91,986
-
59,150
62,065
58,329
61,522
63,077
59,137
274,823
287,130
286,647
395,495
412,272
404,112
534
479
614
5,389
5,518
3,536
6,512
7,258
5,334
500,888
519,339
505,583
108,661 R
112,239
106,557
609,549 R
631,577
612,140
45,800
45,902
47,728
111,534
111,733
123,183
157,334
157,635
170,911
895,843
900,766
932,298
4,997
5,484
5,149
78,741
82,678
81,181
71,240
73,144
69,170
330,206
348,455
348,404
480,187
504,278
498,755
54,468
57,160
58,282
7,277
7,402
5,390
6,637
7,381
8,296
1,444,407
1,476,980
1,503,012
940,131 R
971,365
972,241
2,384,538 R
2,448,345
2,475,253
Personal chequing
Comptes de chèques
personnels
Other
Autres
Total
Total
V38922
V38930-37
V38923-24
V38927
V38921
V38939
V38947-54
V38940-41
V38944
V38938
V38764
V38772-79
V38765-66
V38769
V38763
V38511
V38519-26
V38512-13
V38516
V38510
205
206
231
893
849
994
1,098
1,055
1,225
7,237
7,097
7,437
51
50
57
194
190
203
244
239
260
477
487
515
1,987
1,850
2,009
267
268
281
C7
Chartered banks: Quarterly classification of non-mortgage loans
Banques à charte : Ventilation trimestrielle des prêts non hypothécaires
S 28
Millions of dollars En millions de dollars
End of
period
En fin de
période
Canadian dollar loans Prêts en dollars canadiens
Loans to Canadian individuals for non-business purposes Prêts non commerciaux à des Canadiens
To purchase (or carry) securities
Pour le financement de titres
To purchase consumer goods and other personal services
Pour l’achat de biens de consommation et de services personnels
Total
Total
Tax-sheltered
plans
Régimes
d’abri
fiscal
Marketable
stocks
and bonds
Actions et
obligations
négociables
Private
passenger
vehicles
Voitures
particulières
Mobile
homes
Maisons
mobiles
Renovations of
residential
property
Rénovations
de logements
Other
Autres
Subtotal
Total
partiel
Credit
cards
Cartes
de crédit
Total
Total
V37758
V37760
V37759
V37755
V37756
V37757
V37754
V37753
V37752
V37751
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
1,315
1,580
1,646
2,136
2,119
1,785
1,563
1,455
1,262
1,300
1,841
1,920
2,256
2,660
2,231
2,541
2,540
2,792
3,476
3,714
10,687
11,494
13,367
14,235
14,497
14,964
15,658
18,872
15,577
16,218
612
609
604
592
570
519
498
476
460
422
1,392
1,514
1,566
1,779
1,910
1,960
2,177
2,455
2,824
3,178
61,403
63,966
65,631
82,439
83,666
92,899
106,281
127,102
146,231
158,824
74,095
77,584
81,168
99,045
100,643
110,342
124,613
148,906
165,092
178,642
16,500
12,141
14,194
20,551
23,911
29,852
34,710
39,417
38,922
41,998
90,595
89,725
95,362
119,596
124,553
140,194
159,323
188,323
204,014
220,640
93,751
93,225
99,264
124,392
128,903
144,519
163,426
192,571
208,752
225,654
1999 I
II
III
IV
2,988
2,293
1,903
1,646
1,846
2,013
1,862
2,256
12,132
12,438
12,573
13,367
597
604
606
604
1,492
1,540
1,578
1,566
65,396
66,962
65,148
65,631
79,617
81,544
79,905
81,168
10,484
12,116
12,609
14,194
90,102
93,661
92,514
95,362
94,935
97,966
96,278
99,264
2000 I
II
III
IV
3,521
2,825
2,387
2,136
2,509
2,527
2,676
2,660
14,174
14,762
14,555
14,235
576
601
599
592
1,631
1,723
1,763
1,779
73,002
75,686
78,163
82,439
89,383
92,773
95,080
99,045
14,061
15,916
19,539
20,551
103,444
108,689
114,618
119,596
109,474
114,041
119,681
124,392
2001 I
II
III
IV
3,497
2,978
2,411
2,119
2,446
2,452
2,108
2,231
14,627
15,097
14,745
14,497
578
581
582
570
1,837
1,910
1,912
1,910
81,494
81,768
83,593
83,666
98,537
99,356
100,832
100,643
19,542
20,658
22,416
23,911
118,078
120,014
123,249
124,553
124,021
125,444
127,768
128,903
2002 I
II
III
IV
3,382
2,761
2,005
1,785
2,271
2,252
2,427
2,541
15,268
15,265
14,476
14,964
649
576
529
519
1,975
1,974
1,934
1,960
85,895
88,043
91,955
92,899
103,788
105,858
108,895
110,342
23,466
25,206
27,526
29,852
127,254
131,064
136,421
140,194
132,907
136,077
140,853
144,519
2003 I
II
III
IV
2,630
2,144
1,785
1,563
2,390
2,470
2,648
2,540
15,052
15,737
15,637
15,658
508
512
516
498
1,964
2,062
2,155
2,177
95,686
99,153
103,091
106,281
113,211
117,464
121,398
124,613
30,393
31,680
32,714
34,710
143,603
149,144
154,112
159,323
148,623
153,757
158,545
163,426
2004 I
II
III
IV
2,404
1,975
1,685
1,455
2,781
2,759
2,859
2,792
15,830
16,107
16,207
18,872
486
491
487
476
2,185
2,321
2,442
2,455
110,413
117,369
122,998
127,102
128,915
136,288
142,134
148,906
33,072
35,725
37,376
39,417
161,986
172,013
179,510
188,323
167,172
176,747
184,054
192,571
2005 I
II
III
IV
2,304
1,981
1,463
1,262
2,964
2,979
3,411
3,476
18,205
17,494
15,868
15,577
465
470
470
460
2,512
2,678
2,821
2,824
131,905
138,236
143,784
146,231
153,087
158,878
162,943
165,092
36,994
36,598
37,828
38,922
190,081
195,476
200,770
204,014
195,349
200,435
205,644
208,752
2006 I
II
III
IV
1,979
1,591
1,341
1,300
3,470
3,636
3,510
3,714
15,464
16,119
16,223
16,218
449
441
434
422
2,899
3,088
3,185
3,178
150,534
155,851
160,157
158,824
169,346
175,499
179,999
178,642
35,592
38,430
40,897
41,998
204,938
213,929
220,896
220,640
210,387
219,156
225,747
225,654
2007 I
II
1,930
1,551
3,771
3,894
16,312
16,821
414
408
3,245
3,468
163,205
166,139
183,176
186,836
40,447
43,586
223,623
230,422
229,324
235,867
S 29
End of
period
En fin de
période
Loans to other Canadians Prêts à d’autres Canadiens
Financial institutions Institutions financières
Non-financial corporations and unincorporated businesses Sociétés non financières et entreprises individuelles
Deposittaking
institutions
Institutions
de dépôt
Private businesses Entreprises privées
V37748
Investment
dealers
Courtiers
en valeurs
mobilières
V37749
Other
Autres
Agriculture
Agriculture
V37750
Fishing
and
trapping
Pêche
et
piégeage
Logging
and
forestry
Exploitation
forestière
Mining, quarries, and oil wells
Mines, carrières et puits de
pétrole
Mining
Mines
Energy
Énergie
V37781
Manufacturing Secteur manufacturier
Leather,
textile,
apparel
products
Cuir, textiles
et vêtement
Metal
products
Produits
métalliques
Transportation
equipment
Matériel de
transport
Petroleum
products
Produits
pétroliers
Other
Autres
Other
Autres
Food, beverage,
and tobacco
products
Aliments, boissons
et produits
du tabac
Total manufacturing
Ensemble
du secteur
manufacturier
V37786 V37785
V37784
V37782
V37783
V37775
V37776
V37777
V37778
V37779
V37780
V37774
1,347
644
889
1,932
1,362
789
767
936
1,697
1,318
919
852
360
774
1,067
559
556
1,040
1,653
1,008
8,099
7,798
6,608
8,139
5,952
5,633
5,359
9,353
9,448
9,607
10,514
11,623
12,627
13,133
13,334
14,097
14,854
15,167
14,372
14,256
411
406
403
492
487
564
503
562
538
520
1,057
992
920
1,005
911
961
867
962
1,067
939
544
684
759
672
436
364
278
505
426
1,104
2,252
2,427
2,481
2,018
1,905
2,303
2,119
2,556
3,143
4,264
849
1,380
1,071
1,107
1,168
1,081
1,031
1,143
1,427
1,970
2,766
2,762
2,864
2,807
3,009
2,970
2,947
3,261
3,427
3,338
1,301
1,423
1,272
1,182
1,175
1,090
1,062
1,062
869
804
2,963
3,105
3,464
3,584
3,433
3,547
3,498
3,855
3,094
3,402
1,597
1,801
1,892
2,165
2,104
2,274
2,080
1,968
1,768
1,953
219
134
489
708
412
332
268
302
202
474
10,164
11,153
9,507
11,812
11,765
10,205
10,917
11,391
14,394
11,729
19,009
20,378
19,488
22,258
21,897
20,418
20,773
21,839
23,755
21,699
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
813
936
1,167
889
991
226
1,068
360
6,673
7,995
6,780
6,608
11,239
11,515
11,779
12,627
396
397
445
403
979
985
1,047
920
639
769
673
759
2,358
2,400
2,230
2,481
1,019
1,305
1,087
1,071
2,795
2,896
2,796
2,864
1,489
1,504
1,539
1,272
3,121
3,292
3,381
3,464
1,811
1,849
1,909
1,892
222
263
298
489
10,868
9,132
10,422
9,507
20,307
18,936
20,345
19,488
1999 I
II
III
IV
1,343
321
641
1,932
653
709
579
774
6,997
8,196
7,994
8,139
11,686
12,296
12,456
13,133
435
450
503
492
960
948
964
1,005
742
604
680
672
2,320
2,450
1,981
2,018
1,148
1,204
1,153
1,107
3,137
3,217
2,889
2,807
1,270
1,321
1,375
1,182
3,611
3,775
3,676
3,584
2,170
2,174
1,971
2,165
734
568
786
708
11,357
9,522
10,062
11,812
22,278
20,578
20,758
22,258
2000 I
II
III
IV
1,447
1,506
1,368
1,362
945
700
767
1,067
7,407
8,995
7,615
5,952
12,808
11,585
12,913
13,334
503
521
521
487
972
1,038
1,041
911
616
601
622
436
2,112
2,052
1,888
1,905
1,106
1,137
1,117
1,168
2,949
2,970
3,191
3,009
1,373
1,407
1,367
1,175
3,731
3,814
3,615
3,433
2,027
2,398
2,320
2,104
435
340
389
412
10,688
10,815
12,476
11,765
21,204
21,745
23,358
21,897
2001 I
II
III
IV
1,462
740
673
789
670
580
768
559
6,304
6,232
6,448
5,633
13,825
13,648
13,756
14,097
562
583
550
564
869
867
871
961
505
432
402
364
1,899
2,405
2,793
2,303
1,203
1,039
1,103
1,081
2,845
3,171
2,949
2,970
1,240
1,180
1,213
1,090
3,367
3,707
3,726
3,547
2,108
2,023
2,307
2,274
291
336
643
332
10,633
9,627
9,327
10,205
20,484
20,043
20,165
20,418
2002 I
II
III
IV
697
570
779
767
501
449
439
556
5,678
5,054
5,279
5,359
13,728
14,730
14,505
14,854
466
502
470
503
934
937
981
867
361
410
334
278
2,485
2,058
1,954
2,119
1,095
1,108
1,181
1,031
3,358
3,265
3,393
2,947
1,185
1,306
1,255
1,062
3,769
3,979
3,655
3,498
2,373
2,310
2,138
2,080
448
317
284
268
11,460
11,834
10,445
10,917
22,593
23,011
21,170
20,773
2003 I
II
III
IV
1,223
1,202
930
936
591
1,427
1,462
1,040
5,599
8,413
8,756
9,353
14,286
14,335
14,544
15,167
526
529
559
562
830
887
880
962
327
332
430
505
1,925
2,314
2,555
2,556
1,114
1,113
1,073
1,143
2,951
3,277
3,162
3,261
1,105
995
1,108
1,062
3,595
3,576
3,794
3,855
2,030
1,972
2,150
1,968
223
213
235
302
12,132
12,249
12,041
11,391
22,036
22,282
22,489
21,839
2004 I
II
III
IV
1,261
1,344
1,488
1,697
937
1,608
1,107
1,653
10,793
11,485
10,241
9,448
14,093
14,144
13,982
14,372
543
544
547
538
948
989
989
1,067
313
396
332
426
3,044
3,051
2,810
3,143
1,135
1,206
1,346
1,427
3,455
3,325
3,044
3,427
1,060
1,012
991
869
3,989
3,918
3,641
3,094
2,023
2,159
1,914
1,768
444
486
430
202
11,944
11,491
11,102
14,394
22,915
22,391
21,123
23,755
2005 I
II
III
IV
1,024
1,641
1,984
1,318
1,641
1,268
1,938
1,008
9,601
9,939
11,546
9,607
13,952
14,172
14,115
14,256
517
587
564
520
1,047
1,045
1,013
939
500
460
725
1,104
3,467
4,377
4,416
4,264
1,477
1,690
1,843
1,970
3,575
3,211
3,155
3,338
845
925
914
804
3,340
3,327
3,602
3,402
1,708
1,782
1,926
1,953
269
369
374
474
12,580
12,729
11,783
11,729
22,315
22,343
21,754
21,699
2006 I
II
III
IV
2,124
1,791
1,158
2,477
12,448
13,595
13,910
14,037
511
525
908
920
1,141
1,249
4,876
6,545
2,032
2,193
3,421
3,583
815
906
3,473
3,771
1,910
2,415
449
432
11,604
11,569
21,673
22,676
2007 I
II
C7
Continued
Suite
S 30
Millions of dollars En millions de dollars
End of
period
En fin de
période
Canadian dollar loans Prêts en dollars canadiens
Loans to other Canadians Prêts à d’autres Canadiens
Non-financial corporations and unincorporated businesses Sociétés non financières et entreprises individuelles
Private businesses Entreprises privées
Construction / Real estate
Construction / Immobilier
Builders and
developers
Constructeurs
et promoteurs
immobiliers
Real
estate
Immobilier
Other
Autres
Of which:
Interim
construction
lending
Dont :
Prêt-relais
pour la
construction
V37803
Transportation,
communication
and other
utilities
Transports,
communications
et autres
services publics
Wholesale
trade
Commerce
de gros
Retail trade
Commerce de détail
Automotive
Automobile
Other
Autres
services
V37792
V37791
Service
industries
Services
Multiproduct
conglomerates
Conglomérats
multiproduits
Total
private
Ensemble
des
entreprises
privées
Of which:
Unincorporated
businesses
Dont :
Entreprises
individuelles
Government
enterprises
Entreprises
publiques
Total
Total
V37793
V37787
V37794
V37789
V37790
V37788
V37773
V37772
V37798
V37795
V37769
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
5,149
5,026
4,655
5,168
4,655
4,458
4,938
6,000
7,127
7,091
9,192
9,260
8,506
8,599
8,437
8,342
7,993
8,893
10,022
12,577
4,774
4,943
4,849
4,506
4,177
4,220
4,257
4,725
5,042
6,521
8,084
7,743
6,921
7,796
6,783
7,512
8,806
10,273
8,628
9,821
5,807
6,143
6,619
8,184
7,073
6,503
5,385
5,654
5,733
6,851
8,365
8,649
8,870
9,347
8,220
8,533
7,915
8,230
8,463
8,657
5,801
5,658
5,922
6,054
5,513
6,546
6,861
6,842
6,934
7,395
6,064
6,124
6,315
5,880
6,240
5,942
5,831
5,268
5,659
6,567
17,679
19,125
18,692
17,699
18,619
17,966
19,006
17,419
20,777
21,353
1,968
2,731
2,010
2,178
2,204
2,403
1,611
2,685
2,502
1,838
99,435
105,546
104,188
108,301
105,278
104,701
104,223
108,450
116,987
123,602
11,100
11,853
11,019
10,903
10,756
10,662
10,355
9,953
10,720
11,665
650
481
612
580
678
781
918
965
746
771
100,085
106,028
104,800
108,881
105,956
105,482
105,141
109,415
117,733
124,373
1999 I
II
III
IV
5,296
5,008
4,764
4,655
9,325
9,160
8,915
8,506
4,971
5,018
4,932
4,849
7,908
7,705
6,609
6,921
5,928
6,338
6,609
6,619
9,418
9,033
9,337
8,870
6,274
6,169
5,570
5,922
7,081
7,115
6,820
6,315
18,246
19,109
18,767
18,692
2,354
2,510
1,925
2,010
105,832
105,768
105,244
104,188
11,627
11,705
11,255
11,019
512
490
572
612
106,344
106,258
105,816
104,800
2000 I
II
III
IV
4,640
5,205
4,977
5,168
8,465
8,697
8,859
8,599
4,604
4,848
4,658
4,506
6,624
7,091
7,615
7,796
7,294
7,335
8,023
8,184
9,296
9,690
9,696
9,347
6,195
6,388
5,778
6,054
7,212
7,084
7,455
5,880
18,881
18,922
18,891
17,699
2,617
2,378
2,114
2,178
108,773
109,077
108,948
108,301
10,496
11,045
10,877
10,903
592
629
644
580
109,365
109,705
109,592
108,881
2001 I
II
III
IV
4,845
4,883
4,341
4,655
8,592
7,931
8,866
8,437
4,923
4,799
4,722
4,177
7,381
6,768
6,873
6,783
8,410
6,906
6,655
7,073
10,048
9,634
9,031
8,220
6,264
5,803
5,337
5,513
6,570
6,264
6,483
6,240
17,326
18,997
19,982
18,619
2,297
1,892
2,141
2,204
108,597
105,790
109,017
105,278
10,612
10,560
11,262
10,756
654
611
714
678
109,251
106,400
109,732
105,956
2002 I
II
III
IV
5,177
4,640
4,265
4,458
8,548
8,762
9,279
8,342
3,990
3,973
4,122
4,220
7,400
7,400
7,281
7,512
7,136
7,679
6,893
6,503
8,914
8,918
8,796
8,533
5,750
6,132
5,557
6,546
6,419
6,163
6,509
5,942
18,664
19,342
18,233
17,966
2,150
2,067
1,982
2,403
106,098
106,693
105,276
104,701
10,468
10,531
10,725
10,662
738
821
795
781
106,835
107,514
106,071
105,482
2003 I
II
III
IV
4,653
4,910
4,975
4,938
8,786
8,652
8,206
7,993
4,232
4,234
4,568
4,257
7,932
7,647
8,741
8,806
6,585
6,719
5,967
5,385
9,299
9,011
8,364
7,915
7,129
7,166
6,333
6,861
6,160
5,884
6,041
5,831
17,534
18,305
17,575
19,006
1,925
1,758
2,299
1,611
107,964
109,396
104,922
104,223
10,414
10,615
10,324
10,355
831
785
1,037
918
108,794
110,181
105,959
105,141
2004 I
II
III
IV
5,963
5,438
5,167
6,000
8,580
8,786
8,798
8,893
4,354
4,502
4,717
4,725
9,873
9,412
9,798
10,273
5,368
5,387
5,329
5,654
8,439
8,356
8,633
8,230
7,100
6,835
6,446
6,842
6,172
5,902
6,089
5,268
19,389
18,151
17,479
17,419
1,993
1,917
1,910
2,685
108,403
107,067
107,097
108,450
9,989
10,013
9,950
9,953
1,021
1,141
1,014
965
109,424
108,208
108,111
109,415
2005 I
II
III
IV
6,806
7,495
7,703
7,127
9,036
9,516
10,065
10,022
4,891
5,098
5,133
5,042
10,653
11,382
11,904
8,628
5,337
5,512
5,514
5,733
8,728
9,170
9,391
8,463
7,331
7,378
6,643
6,934
5,646
5,818
5,888
5,659
19,321
19,522
19,528
20,777
2,506
2,524
2,397
2,502
112,593
114,754
113,390
116,987
10,388
10,597
10,609
10,720
1,091
882
899
746
113,684
115,636
114,289
117,733
2006 I
II
III
IV
6,486
7,118
7,366
7,091
10,557
11,052
11,850
12,577
5,416
5,847
6,336
6,521
9,062
10,258
9,899
9,821
5,896
6,086
6,883
6,851
8,841
8,908
9,261
8,657
7,791
7,922
7,046
7,395
6,615
6,421
6,536
6,567
20,663
21,881
21,310
21,353
1,959
1,970
1,740
1,838
117,500
121,879
122,758
123,602
10,814
11,337
11,350
11,665
763
754
827
771
118,262
122,634
123,586
124,373
2007 I
II
7,546
8,065
12,636
13,218
6,675
7,303
10,326
10,834
8,363
10,006
9,920
10,117
8,333
8,103
6,750
6,984
21,712
22,012
2,193
1,854
129,180
135,808
11,209
11,457
763
804
129,943
136,612
S 31
Loans to
nonresidents
Prêts à
des nonrésidents
Leasing
receivables
Créances
résultant
du créditbail
Own
acceptances
purchased
Acceptations
bancaires
achetées
par le
garant
Loans by
securities
subsidiaries
Prêts
octroyés
par les
filiales
de courtage
des banques
Reverse
repos
Prises
en
pension
V37763
Loans to
institutions
Prêts aux
institutions
Loans to
governments
Prêts aux
administrations
publiques
V37768
V37767
V37766
V37765
V37762
V37761
4,906
6,834
5,118
6,231
6,723
6,654
6,235
6,639
7,229
9,437
1,838
2,135
2,237
3,197
2,446
2,581
2,846
2,542
2,711
2,934
4,510
6,143
9,925
6,887
5,274
5,270
7,192
3,520
4,019
9,701
2,448
3,050
3,940
5,403
5,121
5,229
4,855
5,322
5,960
6,694
7,630
9,611
7,607
9,186
7,559
6,973
5,210
4,587
7,002
8,659
5,681
4,221
6,575
5,433
5,852
5,758
5,964
6,273
7,712
5,741
72,425
50,178
51,116
49,232
68,467
74,913
62,010
83,743
85,563
119,400
6,219
6,600
4,955
5,118
2,154
2,227
2,247
2,237
7,427
7,842
9,846
9,925
3,209
3,503
3,661
3,940
10,002
9,180
7,830
7,607
5,250
5,294
6,039
6,575
6,941
5,058
5,583
6,231
2,587
2,305
2,926
3,197
11,838
12,072
9,697
6,887
4,545
4,940
4,653
5,403
8,201
7,764
8,438
9,186
6,350
5,815
6,182
6,723
2,382
2,560
2,708
2,446
9,897
9,707
7,132
5,274
5,181
5,136
5,385
5,121
6,765
6,717
6,891
6,654
2,533
2,597
3,140
2,581
4,549
5,073
6,347
5,270
6,602
6,156
6,162
6,235
2,612
2,605
2,891
2,846
6,678
6,705
6,824
6,639
Total
Total
Of which: Loans made under Government of
Canada guaranteed loans schemes
Dont : Prêts consentis en vertu de programmes
fédéraux de garantie
End of
period
En fin de
période
Small
business
loans
Prêts aux
petites
entreprises
Farm
improvement
loans
Prêts pour
améliorations
agricoles
Canada
student
loans
Prêts
aux
étudiants
Other
Autres
V37746
V37799
V37800
V37801
V37802
303,639
290,718
298,440
329,686
344,683
364,359
369,559
425,941
459,479
524,526
4,055
3,583
2,987
2,148
1,571
1,218
964
780
639
509
774
696
595
513
438
483
307
244
193
146
3,757
3,516
3,608
3,343
2,944
2,487
2,195
2,006
1,787
1,617
6
18
13
10
17
18
379
365
373
311
55,373
53,277
53,680
51,116
299,389
301,303
299,369
298,440
3,591
3,432
3,215
2,987
661
636
622
595
3,480
3,417
3,658
3,608
21
13
12
13
1999 I
II
III
IV
7,328
6,683
6,511
5,433
48,817
47,373
52,549
49,232
318,090
319,165
328,844
329,686
2,617
2,517
2,338
2,148
568
535
523
513
3,577
3,520
3,455
3,343
12
12
8
10
2000 I
II
III
IV
9,297
8,589
8,333
7,559
6,011
6,161
5,637
5,852
57,572
58,000
69,641
68,467
339,762
339,013
352,267
344,683
1,979
1,830
1,712
1,571
486
484
468
438
3,239
3,147
3,062
2,944
8
10
11
17
2001 I
II
III
IV
5,006
5,224
5,031
5,229
6,167
6,122
6,221
6,973
6,582
6,329
5,920
5,758
73,944
69,309
73,305
74,913
353,723
352,515
361,668
364,359
1,388
1,301
1,298
1,218
495
492
501
483
2,751
2,666
2,591
2,487
18
19
19
18
2002 I
II
III
IV
5,661
5,418
5,133
7,192
4,652
4,837
4,952
4,855
6,680
5,007
5,674
5,210
6,227
5,905
6,669
5,964
80,611
73,087
71,076
62,010
377,338
373,026
373,561
369,559
1,117
1,005
963
964
475
448
330
307
2,395
2,323
2,260
2,195
370
382
383
379
2003 I
II
III
IV
2,351
2,238
2,381
2,542
5,714
5,764
5,749
3,520
4,860
5,034
5,216
5,322
5,390
5,736
5,363
4,587
6,937
6,872
7,877
6,273
67,171
77,768
78,920
83,743
383,109
406,115
415,644
425,941
931
869
825
780
292
275
266
244
2,194
2,130
2,068
2,006
346
361
367
365
2004 I
II
III
IV
6,684
6,773
7,261
7,229
2,564
2,372
2,572
2,711
4,391
4,129
6,178
4,019
5,333
5,443
5,765
5,960
6,565
6,568
7,398
7,002
7,973
8,629
8,994
7,712
81,588
91,362
83,821
85,563
437,123
455,785
454,759
459,479
747
717
682
639
235
215
207
193
1,949
1,893
1,836
1,787
359
367
380
373
2005 I
II
III
IV
9,501
9,373
9,557
9,437
2,940
2,659
2,784
2,934
7,846
8,223
8,446
9,701
6,144
6,408
6,619
6,694
7,169
6,924
7,200
8,659
9,461
8,769
5,948
5,741
94,558
100,067
112,092
119,400
478,534
497,060
517,446
524,526
592
566
536
509
175
161
154
146
1,737
1,699
1,667
1,617
356
341
325
311
2006 I
II
III
IV
10,824
11,220
3,246
3,321
10,121
9,995
6,822
7,071
9,629
8,854
6,229
7,036
115,487
116,682
537,356
554,520
488
469
140
132
1,575
1,526
298
285
2007 I
II
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
C7
Continued
Suite
S 32
Millions of dollars En millions de dollars
End of
period
En fin de
période
Foreign currency loans Prêts en monnaies étrangères
Loans to Canadian individuals
for non-business purposes
Prêts non commerciaux à
des Canadiens
To purchase
(or carry)
securities
Pour le
financement
de titres
Other
Autres
Loans to other Canadians Prêts à d’autres Canadiens
Financial
institutions
Institutions
financières
Non-financial corporations and unincorporated businesses Sociétés non financières et entreprises individuelles
Private business Entreprises privées
Agriculture
Agriculture
Fishing,
trapping,
logging,
forestry
Pêche,
piégeage et
exploitation
forestière
Mining, quarries, and oil wells
Mines, carrières et puits de pétrole
Manufacturing
Secteur manufacturier
Construction / Real estate
Construction / Immobilier
Mining
Mines
Energy
Énergie
Other
Autres
Metal
products
Produits
métalliques
Transportation
equipment
Matériel de
transport
Petroleum
products
Produits
pétroliers
Other
Autres
V37818
Total
Total
Builders and
developers
Constructeurs
et promoteurs
immobiliers
Real
estate
Immobilier
Other
Autres
V37820 V37826
V37832
V37833
V37806
V37819
V37815
V37816
V37817
V37828
V37829
V37830
V37831 V37827
V37825
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
136
324
649
773
516
521
518
563
585
734
1,534
1,896
1,066
1,150
858
766
614
786
744
806
3,024
4,328
3,262
3,719
2,815
2,040
1,452
3,535
2,726
2,954
138
164
133
153
117
91
141
177
148
139
687
656
560
854
349
393
315
109
275
274
1,932
1,974
1,520
1,139
1,184
949
716
611
1,156
1,831
2,298
2,056
913
1,015
1,030
1,129
380
1,998
1,212
2,051
287
258
172
289
377
422
165
122
114
172
717
1,389
914
1,182
1,166
1,124
661
1,120
695
1,318
422
664
650
809
926
438
953
962
539
607
237
539
545
417
486
648
130
240
55
244
7,163
7,875
5,128
5,865
7,062
5,325
3,729
4,071
4,823
6,358
8,538
10,467
7,237
8,273
9,640
7,535
5,474
6,392
6,112
8,526
812
859
638
1,393
1,220
2,073
1,516
2,030
1,401
1,478
673
654
445
448
428
374
786
248
285
484
449
417
567
410
820
364
240
234
184
496
1999 I
II
III
IV
415
575
631
649
868
701
1,500
1,066
5,178
4,042
3,644
3,262
128
122
91
133
639
510
615
560
2,150
1,800
1,636
1,520
1,589
1,565
1,128
913
289
141
152
172
1,407
1,105
1,335
914
678
738
649
650
426
437
573
545
7,137
6,393
5,361
5,128
9,649
8,674
7,918
7,237
1,054
792
769
638
592
732
555
445
446
451
585
567
2000 I
II
III
IV
945
806
964
773
1,213
1,242
1,077
1,150
3,957
4,820
4,576
3,719
165
149
189
153
653
653
775
854
1,247
1,096
1,174
1,139
933
1,896
1,426
1,015
192
215
229
289
1,047
991
1,005
1,182
715
595
799
809
368
578
470
417
5,761
6,910
6,078
5,865
7,890
9,074
8,353
8,273
649
938
801
1,393
558
455
431
448
449
437
428
410
2001 I
II
III
IV
642
572
487
516
1,110
730
856
858
3,632
3,659
3,660
2,815
145
121
180
117
505
453
415
349
1,511
1,316
1,029
1,184
794
983
1,766
1,030
312
314
587
377
1,263
1,336
1,246
1,166
739
659
926
926
405
476
429
486
6,046
5,302
8,162
7,062
8,454
7,773
10,763
9,640
1,139
1,108
1,530
1,220
458
477
440
428
471
431
504
820
2002 I
II
III
IV
549
454
546
521
916
830
767
766
2,305
3,002
2,321
2,040
102
80
107
91
229
348
363
393
1,188
1,298
1,261
949
855
765
1,198
1,129
331
284
311
422
1,255
1,277
1,175
1,124
763
717
579
438
412
786
554
648
6,433
5,953
5,479
5,325
8,862
8,733
7,787
7,535
1,123
1,360
1,508
2,073
447
388
369
374
617
767
554
364
2003 I
II
III
IV
444
433
487
518
635
569
605
614
2,264
2,336
1,598
1,452
84
95
82
141
379
336
318
315
994
1,018
852
716
717
594
456
380
285
304
257
165
819
751
555
661
449
1,034
1,038
953
554
216
164
130
4,937
4,832
4,809
3,729
6,760
6,833
6,566
5,474
1,992
1,648
1,671
1,516
359
306
388
786
302
280
263
240
2004 I
II
III
IV
655
629
567
563
631
638
797
786
1,964
3,229
3,093
3,535
196
370
175
177
286
170
104
109
663
536
556
611
476
2,747
1,682
1,998
136
326
190
122
555
781
1,101
1,120
865
920
820
962
126
192
31
240
3,929
4,039
3,489
4,071
5,474
5,931
5,441
6,392
1,627
1,668
2,166
2,030
314
256
258
248
215
231
220
234
2005 I
II
III
IV
605
616
612
585
744
743
695
744
2,533
3,082
2,829
2,726
152
148
145
148
104
81
79
275
1,003
1,091
868
1,156
917
690
268
1,212
128
141
147
114
511
579
533
695
915
891
511
539
119
98
56
55
3,763
4,535
4,396
4,823
5,307
6,104
5,495
6,112
1,393
1,506
1,466
1,401
334
357
306
285
209
271
234
184
2006 I
II
III
IV
642
622
571
734
721
772
730
806
3,724
3,421
3,089
2,954
175
125
122
139
275
273
261
274
2,262
2,018
2,021
1,831
759
1,395
1,238
2,051
383
327
326
172
730
591
608
1,318
606
574
551
607
106
170
127
244
5,793
5,745
5,376
6,358
7,235
7,080
6,662
8,526
1,368
1,340
1,416
1,478
250
248
473
484
222
277
202
496
2007 I
II
772
694
882
714
2,906
3,007
170
134
270
216
1,593
1,602
2,145
1,006
195
213
983
1,089
667
462
198
90
7,552
7,759
9,400
9,400
1,438
1,529
338
482
468
294
S 33
Transportation,
communication
and other utilities
Transports,
communications
et autres
services
publics
Wholesale
trade
Commerce
de gros
Retail
trade
Commerce
de détail
Service
industries
Services
Multiproduct
conglomerates
Conglomérats
multiproduits
V37824
V37823
V37822
V37821
1,967
3,118
2,530
2,834
3,158
2,085
1,235
1,259
1,044
2,324
2,409
2,427
1,883
1,910
1,938
1,680
1,259
1,346
1,392
1,671
227
481
545
461
548
486
593
436
396
544
1,916
2,728
2,108
2,408
1,828
1,820
1,323
1,721
1,261
1,614
3,116
2,592
2,532
2,530
2,122
1,787
1,840
1,883
475
516
563
545
2,672
3,028
3,061
2,834
1,937
1,795
2,045
1,910
3,574
3,489
4,043
3,158
Government
enterprises
Entreprises
publiques
Loans to
governments
Prêts aux
administrations
publiques
Loans to
non-residents
Prêts à
des nonrésidents
Reverse
repos
Prises
en
pension
All
other
loans
Tous
autres
prêts
Total
foreign
currency
loans
Ensemble
des prêts
en
monnaies
étrangères
End of
period
En fin de
période
Total
private
business
Ensemble
des entreprises
privées
Of which:
Unincorporated
businesses
Dont :
Entreprises
individuelles
V37814
V37813
V37834
V37810
V37809
V37808
V37805
V37804
199
124
95
68
115
365
211
183
280
383
22,531
26,383
19,345
21,654
22,753
19,767
14,355
16,865
15,258
21,987
413
186
248
176
147
136
92
77
60
293
263
277
235
638
13
51
13
80
40
33
321
159
93
160
156
206
184
62
46
72
156,841
176,462
165,880
171,868
182,097
171,858
121,588
108,936
116,137
151,044
71,067
85,120
56,044
64,241
77,865
65,204
57,888
55,949
71,353
89,592
5,030
4,508
7,385
5,258
5,308
5,444
3,680
3,478
4,874
4,753
260,746
299,457
253,959
269,461
292,380
265,856
200,290
190,255
211,763
271,975
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
2,631
1,744
1,629
2,108
131
191
90
95
25,011
21,617
20,105
19,345
261
250
176
248
335
258
322
235
96
155
99
93
167,361
159,037
159,361
165,880
80,421
84,370
71,208
56,044
4,274
4,263
6,258
7,385
283,959
275,018
263,126
253,959
1999 I
II
III
IV
639
547
446
461
2,110
1,848
1,668
2,408
48
66
64
68
20,143
22,197
21,092
21,654
245
191
194
176
212
192
42
638
94
133
202
160
172,537
173,011
173,532
171,868
65,050
55,281
53,327
64,241
6,254
6,233
6,016
5,258
270,406
263,914
260,827
269,461
2000 I
II
III
IV
2,365
1,731
2,129
1,938
483
523
749
548
2,285
1,565
1,527
1,828
128
74
104
115
22,623
20,359
25,765
22,753
180
175
166
147
498
42
73
13
132
96
162
156
181,317
177,325
183,302
182,097
75,522
64,879
61,697
77,865
5,500
5,577
5,645
5,308
290,976
273,239
281,646
292,380
2001 I
II
III
IV
2,995
2,749
2,385
2,085
1,899
1,504
1,803
1,680
501
475
517
486
1,406
1,591
1,557
1,820
264
245
250
365
20,820
20,587
19,970
19,767
138
131
145
136
6
8
12
51
343
180
196
206
184,321
171,209
177,796
171,858
79,548
72,118
74,549
65,204
5,267
5,553
5,719
5,444
294,075
273,940
281,875
265,856
2002 I
II
III
IV
2,052
1,606
1,430
1,235
1,565
1,182
1,190
1,259
483
537
461
593
1,567
1,341
1,230
1,323
295
216
219
211
17,834
16,295
15,384
14,355
110
111
101
92
49
4
4
13
192
178
155
184
154,513
135,671
131,658
121,588
72,142
69,557
59,673
57,888
4,838
4,181
4,053
3,680
252,912
229,223
213,618
200,290
2003 I
II
III
IV
1,350
1,382
1,096
1,259
1,426
1,197
1,169
1,346
497
382
415
436
1,916
2,199
2,091
1,721
195
136
164
183
14,768
17,531
15,728
16,865
82
90
31
77
47
76
80
80
198
259
104
62
125,986
120,747
118,190
108,936
57,568
61,984
49,924
55,949
4,195
4,981
3,665
3,478
206,014
210,074
192,148
190,255
2004 I
II
III
IV
1,349
1,170
1,256
1,044
1,333
1,530
1,295
1,392
458
502
366
396
2,028
2,296
2,048
1,261
253
114
160
280
14,968
16,002
14,132
15,258
111
49
46
60
29
69
84
40
33
40
32
46
103,728
118,326
114,242
116,137
73,785
69,146
70,178
71,353
3,541
3,522
3,447
4,874
199,966
211,546
206,251
211,763
2005 I
II
III
IV
1,617
1,714
2,132
2,324
1,648
1,612
1,474
1,671
523
344
353
544
1,105
2,866
1,194
1,614
140
182
241
383
17,963
19,802
18,115
21,987
84
279
361
293
22
26
30
33
88
92
69
72
121,498
122,312
132,652
151,044
77,371
74,369
83,407
89,592
4,175
4,462
4,223
4,753
226,205
225,878
242,886
271,975
2006 I
II
III
IV
2,371
1,993
1,472
1,245
448
284
1,843
1,832
327
118
22,477
20,347
275
131
25
-
68
344
159,359
152,276
105,370
97,760
4,372
4,114
296,230
279,256
2007 I
II
V37807
C8
Selected seasonally adjusted series: Chartered bank assets and liabilities
Quelques statistiques bancaires désaisonnalisées : Avoirs et engagements des banques à charte
S 34
Millions of dollars En millions de dollars
Monthly
average
Moyenne
mensuelle
Canadian dollar deposits
Dépôts en dollars canadiens
Canadian dollar assets
Avoirs en dollars canadiens
Personal deposits
Dépôts des particuliers
Total
Ensemble
Of which:
Dont :
Demand and notice deposits
Dépôts à vue et à préavis
V41552791
Term1
À terme fixe1
Non-personal
demand and
notice deposits
Dépôts à vue
et à préavis
autres que
ceux des
particuliers
Total1
Total1
Total
loans
Ensemble
des
prêts
General
loans1
Prêts
généraux1
Total
personal
loans
Ensemble
des prêts
personnels
Business
loans1
Prêts aux
entreprises1
Residential
mortgages
Prêts
hypothécaires
à l’habitation
Bankers’
acceptances
Acceptations
bancaires
V37120
V37130
V37140
V41552799
V37135
V41552800
V37112
V37153
V37154
V37119
2003 A
S
O
N
D
415,990
417,793
419,037
420,964
421,663
166,994
168,632
169,700
171,160
171,683
248,747
248,626
248,834
249,821
250,150
132,720
132,335
131,824
133,343
134,867
1,090,844
1,114,760
1,102,926
1,121,214
1,134,055
814,024
817,593
813,667
821,990
823,494
376,106R
377,440R
372,738R
372,418R
373,218R
351,675R
352,938R
348,056R
347,642R
348,348R
153,674
155,118
156,527
158,344
160,668
197,663R
196,825R
191,529R
189,665R
187,375R
335,056R
336,545R
336,650R
341,322R
340,707R
38,717
38,497
37,745
36,862
36,384
2004 J
F
M
A
M
J
J
A
S
O
N
D
423,202
424,692
425,670
426,771
429,555
431,937
434,949
435,666
436,511
438,424
439,695
442,117
173,189
175,467
177,888
180,656
183,923
185,953
187,990
188,402
188,635
189,908
190,156
191,832
249,968
249,588
248,863
247,001
245,426
245,257
246,433
247,108
247,392
248,035
249,437
250,521
137,529
139,779
140,686
143,244
145,207
145,996
145,814
145,929
145,766
146,027
145,907
149,431
1,119,857
1,135,123
1,143,534
1,125,888
1,130,937
1,143,887
1,152,790
1,173,161
1,182,179
1,201,839
1,246,629
1,263,929
828,889
832,681
837,388
843,804
852,863
860,121
872,161
885,155
889,622
898,272
917,027
929,523
375,650R
379,259R
383,235R
386,488R
392,452R
397,322R
406,355R
413,184R
415,097R
417,252R
426,929R
435,300R
350,678R
354,399R
358,560R
361,964R
367,853R
372,389R
381,023R
387,638R
389,391R
391,650R
401,191R
409,295R
161,926
163,343
165,058
167,807
170,298
172,712
175,538
177,851
179,570
182,265
185,836
188,665
189,215R
192,417R
193,328R
194,540R
197,816R
199,066R
205,248R
209,268R
208,600R
209,280R
215,744R
220,123R
340,619R
341,730R
340,491R
342,616R
347,174R
349,761R
352,948R
357,547R
358,641R
361,825R
367,359R
367,781R
35,979
35,043
35,474
35,938
35,047
37,165
36,324
36,129
35,729
35,740
36,089
36,367
2005 J
F
M
A
M
J
J
A
S
O
N
D
443,880
445,360
446,516
448,180
449,826
450,913
453,960
453,686
455,602
457,365
458,541
460,340
193,216
194,352
195,407
196,400
197,145
197,636
200,940
200,661
202,644
204,448
205,302
206,494
250,705
251,482
252,304
252,636
252,457
252,453
252,422
252,927
252,511
252,497
253,024
254,031
151,212
152,611
153,772
156,242
158,024
158,204
155,846
156,083
158,530
160,783
161,218
163,495
1,225,415
1,246,151
1,279,261
1,263,453
1,262,366
1,294,575
1,303,423
1,312,751
1,328,679
1,316,704
1,324,699
1,353,126
924,487
936,653
952,913
953,556
963,128
979,543
989,307
993,603
999,142
1,003,498
1,007,471
1,016,860
428,105R
436,462R
448,136R
445,598R
448,305R
456,871R
462,115R
462,032R
463,221R
463,433R
462,943R
465,898R
402,082R
410,268R
421,850R
419,391R
422,377R
430,733R
435,573R
434,991R
435,933R
436,171R
435,688R
438,008R
190,952
193,575
194,952
196,034
197,064
198,844
199,972
201,996
204,170
205,982
207,039
208,450
211,673R
218,485R
226,940R
224,063R
225,595R
231,168R
235,221R
232,279R
230,299R
229,959R
228,985R
228,909R
366,681R
367,977R
366,998R
368,090R
372,518R
375,307R
380,052R
384,758R
385,384R
386,194R
390,913R
391,341R
35,586
35,431
35,777
36,394
37,134
37,632
37,934
38,472
39,900
39,642
39,170
41,316
2006 J
F
M
A
M
J
J
A
S
O
N
D
462,405
464,887
467,688
472,490
473,061
474,581
478,924
481,766
486,221
487,731
491,530
494,710
207,234
207,439
207,465
208,651
207,031
205,563
206,992
207,407
208,605
209,754
212,517
215,619
255,215
257,974
261,568
264,651
265,812
268,093
271,357
274,304
277,188
277,612
278,716
279,201
163,177
166,260
168,300
170,644
172,184
174,882
177,999
179,510
181,726
183,890
185,991
187,404
1,361,274
1,385,214
1,370,069
1,418,077
1,432,370
1,457,949
1,424,085
1,447,202
1,455,541
1,451,669
1,466,089
1,466,515
1,018,075
1,027,516
1,033,307
1,049,860
1,056,075
1,067,207
1,077,066
1,089,399
1,097,602
1,106,765
1,119,652
1,131,858
468,037R
472,230R
478,784R
490,624R
492,649R
502,986R
503,975R
511,813R
515,399R
517,703R
520,879R
529,608R
439,658R
443,491R
450,184R
462,129R
464,298R
474,435R
475,309R
482,951R
486,379R
488,634R
491,653R
500,166R
209,696
210,213
211,233
213,734
216,956
218,568
220,235
221,553
223,515
223,503
224,107
224,976
230,571R
235,345R
239,210R
249,403R
247,668R
255,022R
254,567R
260,534R
261,154R
264,779R
267,873R
274,480R
390,133R
392,107R
392,050R
395,732R
400,651R
403,340R
407,939R
411,725R
415,085R
417,378R
420,830R
420,819R
43,520
45,431
45,082
45,569
47,447
47,537
48,867
49,033
49,262
50,195
52,602
55,641
2007 J
F
M
A
M
J
J
A
494,847
496,342
498,924
501,763
502,974
505,729
509,069
510,253
215,412
216,383
218,049
220,034
221,759
223,197
224,591
225,056
279,482
280,513
282,339
282,503
280,982
281,427
283,845
285,145
188,350
188,589
191,748
192,813
192,950
196,703
201,073R
204,474
1,451,553
1,478,168
1,520,382
1,554,589
1,589,552
1,612,742
1,614,920R
1,635,596
1,128,299
1,143,888
1,156,735
1,167,211
1,187,769
1,207,470
1,221,852
1,238,997
523,066R
530,673R
539,015R
542,914R
551,632R
561,775R
564,469R
576,282
493,494R
500,813R
509,203R
512,916R
521,452R
531,353R
533,681R
545,321
226,858
228,477
230,407
233,037
236,173
238,035
241,188
243,115
267,321R
274,654R
279,160R
281,128R
285,648R
292,353R
291,921R
301,221
419,367R
423,152R
424,526R
430,390R
437,075R
441,812R
449,258R
454,608
56,942
58,687
59,234
57,829
59,742
59,564
58,572
59,348
1. Unadjusted because it does not show stable seasonality.
V37133
Less
liquid
assets1
Avoirs
de
seconde
liquidité1
1. Ces données ne présentant pas de variations saisonnières stables, elles ne sont pas désaisonnalisées.
C9
Chartered banks: Total foreign currency assets and liabilities
Banques à charte : Avoirs et engagements en monnaies étrangères
S 35
Millions of Canadian dollars En millions de dollars canadiens
End
of period
En fin
de période
Assets Avoirs
Call
loans
Prêts
à vue
Other
loans
Autres
prêts
Liabilities Engagements
Securities
Titres
Deposits
with banks
Dépôts à
d’autres
banques
Other
assets
Autres
avoirs
Total
Total
Deposits Dépôts
Demand
À vue
Notice
À préavis
Fixed term
À terme
fixe
Total
Total
Of which: Dont :
Deposits
of banks
Dépôts
d’autres
banques
Other
deposits
Autres
dépôts
Other
liabilities
Autres
engagements
Total
Total
V37166
V37163
Net foreign
assets
Avoirs nets
en monnaies
étrangères
V37158
V37159
V37160
V37161
V37162
V37157
V37169
V37170
V37171
V37168
V37164
V37165
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
769
881
6,530
2,743
2,909
2,531
2,937
5,312
10,544
9,007
9,842
13,188
15,461
13,069
2,058
2,107
130,422
144,269
136,332
150,767
162,818
204,004
261,347
299,674
249,533
270,229
295,681
265,015
199,695
192,930
238,802
306,569R
19,937
25,582
33,488
39,949
48,016
75,853
104,734
142,800
154,937
168,775
213,760
214,440
237,799
248,143
282,229
342,963
35,888
38,377
41,249
54,636
65,596
75,112
92,237
81,463
75,945
74,324
78,769
75,074
73,152
67,720
71,753
85,890
12,293
13,535
14,526
20,276
21,819
64,119
87,365
135,461
71,284
105,424
131,520
160,374
113,166
123,726
117,377
187,465
199,310
222,645
232,125
268,371
301,158
421,619
548,619
664,710
562,243
627,760
729,572
728,091
639,273
645,589
712,220
924,993R
10,899
12,817
14,935
17,986
20,658
24,649
29,174
40,063
48,493
48,249
62,403
65,454
64,063
69,234
71,185
86,632
10,870
12,610
13,216
15,811
15,340
17,101
18,605
22,586
24,471
28,196
38,643
42,075
40,195
42,371
59,749
73,173
164,944
179,954
184,315
210,065
217,045
267,130
357,335
398,317
365,095
381,215
418,195
401,759
347,894
328,264
383,281
479,451
186,713
205,381
212,466
243,862
253,043
308,880
405,114
460,966
438,059
457,660
519,241
509,288
452,152
439,869
514,215
639,256
73,308
91,664
102,861
114,096
122,440
137,517
173,187
175,153
141,129
136,915
137,569
139,582
122,810
100,267
134,594
158,692
113,405
113,717
109,605
129,766
130,603
171,363
231,927
285,813
296,930
320,745
381,672
369,706
329,342
339,602
379,621
480,564
26,117
31,908
38,721
45,569
59,547
129,139
170,185
222,277
154,052
196,584
244,979
261,806
213,564
226,172
226,163
310,633R
212,830
237,289
251,187
289,431
312,590
438,019
575,299
683,243
592,111
654,244
764,220
771,094
665,716
666,041
740,378
949,889R
V37167
-13,520
-14,644
-19,062
-21,060
-11,432
-16,400
-26,680
-18,533
-29,868
-26,484
-34,648
-43,003
-26,443
-20,452
-28,158
-24,896R
2004 J
A
S
O
N
D
18,562
19,387
18,562
19,711
12,945
13,069
202,492
199,355
188,857
181,567
188,665
192,930
244,134
236,149
232,792
228,141
244,675
248,143
79,325
72,968
70,302
64,129
75,827
67,720
122,246
110,534
107,132
112,334
134,133
123,726
666,759
638,394
617,644
605,882
656,244
645,589
69,277
69,311
67,016
67,233
69,813
69,234
45,380
45,413
44,268
42,279
41,362
42,371
355,609
344,625
329,902
320,260
329,421
328,264
470,266
459,349
441,186
429,772
440,596
439,869
117,312
108,723
106,593
101,990
107,704
100,267
352,954
350,626
334,593
327,782
332,892
339,602
219,061
205,124
199,961
200,787
232,849
226,172
689,327
664,473
641,147
630,559
673,445
666,041
-22,568
-26,079
-23,503
-24,677
-17,201
-20,452
2005 J
F
M
A
M
J
J
A
S
O
N
D
1,557
1,885
2,072
2,363
2,051
1,862
2,290
1,975
2,061
1,955
2,308
2,058
205,765
208,198
213,748
238,487
243,055
239,407
239,728
239,833
233,368
233,184
233,959
238,802
257,164
265,529
249,138
260,468
267,517
267,670
271,712
263,570
249,819
257,242
279,396
282,229
73,683
81,515
74,883
76,300
71,848
78,324
78,273
73,393
74,308
75,245
74,484
71,753
124,058
124,685
116,034
157,192
140,933
117,945
136,061
129,046
136,140
141,698
118,529
117,377
662,226
681,811
655,875
734,809
725,404
705,208
728,065
707,817
695,695
709,325
708,677
712,220
72,340
72,676
69,927
73,827
73,262
74,225
75,644
71,312
70,308
72,257
71,785
71,185
44,275
44,307
44,556
60,895
61,421
62,052
58,896
59,321
59,248
60,594
60,812
59,749
333,217
334,373
338,336
352,911
357,444
355,506
365,511
367,305
359,987
356,765
368,049
383,281
449,832
451,356
452,819
487,633
492,127
491,783
500,051
497,938
489,543
489,616
500,646
514,215
109,845
116,501
117,642
116,550
117,793
124,315
123,089
125,958
121,908
113,633
123,704
134,594
339,987
334,855
335,177
371,083
374,334
367,468
376,962
371,980
367,635
375,983
376,942
379,621
228,796
242,366
217,766
261,969
246,169
226,959
239,100
229,270
228,086
239,038
229,960
226,163
678,628
693,722
670,585
749,602
738,296
718,742
739,151
727,208
717,629
728,654
730,606
740,378
-16,402
-11,911
-14,710
-14,793
-12,892
-13,534
-11,086
-19,391
-21,934
-19,329
-21,929
-28,158
2006 J
F
M
A
M
J
J
A
S
O
N
D
1,709
2,152
2,203
2,351
2,486
2,068
3,013
1,703
1,988
2,082
2,373
2,107
245,366
250,539
255,101
260,270
256,519
254,644
265,695
265,272
272,227
277,638
287,312
306,569R
278,682
280,318
286,106
271,791
270,020
283,698
283,046
284,768
294,399
306,590
322,409
342,963
80,340
79,641
76,845
76,520
75,588
79,007
78,107
77,346
78,611
75,976
76,585
85,890
132,063
131,434
186,306
150,868
162,555
146,128
139,781
116,868
122,000
122,853
172,909
187,465
738,160
744,084
806,560
761,800
767,169
765,544
769,643
745,957
769,225
785,140
861,587
924,993R
71,128
70,703
71,186
70,877
69,462
67,986
69,192
68,343
75,033
76,685
78,205
86,632
70,724
68,176
69,737
69,679
68,310
69,089
67,665
67,304
67,072
68,388
69,628
73,173
384,800
387,260
403,578
399,221
394,929
419,819
423,954
419,143
417,843
423,662
445,491
479,451
526,652
526,139
544,501
539,777
532,701
556,894
560,811
554,790
559,948
568,735
593,324
639,256
136,771
129,264
133,069
131,626
127,309
140,718
138,825
134,596
139,244
131,575
138,520
158,692
389,881
396,875
411,432
408,151
405,392
416,176
421,986
420,194
420,704
437,160
454,804
480,564
237,685
245,321
293,303
257,564
257,178
245,744
246,938
223,354
244,167
248,716
293,981
310,633R
764,337
771,460
837,804
797,341
789,879
802,638
807,749
778,144
804,115
817,451
887,305
949,889R
-26,177
-27,376
-31,244
-35,541
-22,710
-37,094
-38,106
-32,187
-34,890
-32,311
-25,718
-24,896R
2007 J
F
M
A
M
J
J
2,366
2,610
2,815
3,819
3,385
3,454
3,350
319,300
324,460
332,255
322,552
319,651
311,749
321,977
335,594
344,494
327,362
321,703
317,671
306,809
303,092
83,902
86,186
85,750
84,849
90,658
92,243R
94,427
181,320
180,496
154,786
134,571
144,301
147,507R
173,842
922,482
938,246
902,969
867,494
875,667
861,762R
896,688
88,763
88,840
90,887
90,899
90,098
88,815
92,058
76,729
76,590
74,750
75,088
72,374
71,012
71,745
478,330
487,061
502,709
494,699
497,364
484,957
494,838
643,822
652,491
668,346
660,686
659,836
644,784
658,641
155,285
150,665
163,987
154,507
151,291
145,981R
152,169
488,537
501,826
504,359
506,179
508,545
498,803R
506,472
308,807
314,720
277,374
249,530
263,871
272,794R
283,496
952,629
967,211
945,720
910,216
923,707
917,578R
942,137
-30,147
-28,965
-42,751
-42,722
-48,040
-55,816R
-45,449
C10
Chartered banks: Total claims and liabilities booked worldwide vis-à-vis non-residents
Banques à charte : Ensemble des créances et engagements comptabilisés dans le monde au nom de non-résidents
S 36
Millions of dollars, end of period En millions de dollars, en fin de période
Total claims on non-residents
Ensemble des créances sur les non-résidents
2006
2006
I
I
II
II
III
III
Of which: Claims on banks
Dont : Créances sur les banques
IV
IV
2007
2007
I
I
II
II
2006
2006
I
I
II
II
III
III
IV
IV
V36028
623,091R
626,410
662,563
744,039 R
755,594
725,911
V36079
153,380R
152,849
152,405
170,701 R
United States
V36029
377,945R
377,419
421,596
464,376
455,902
436,940
V36080
56,525R
58,258
58,038
64,240
Western Europe
Austria
Belgium
France
Germany
Italy
Netherlands
Spain
Sweden
Switzerland
United Kingdom
Other
V36198
V36040
V36051
V36062
V36073
V36075
V36076
V36077
V36078
V36030
V36031
V36032
136,814R
2,967
3,501
9,068
12,818
4,177
7,855
2,389
2,113
1,400
67,518R
23,008
135,613
2,770
3,698
9,583
14,367
4,476
7,787
2,884
2,095
1,273
60,385
26,293
127,355
2,245
2,180
9,499
13,280
3,694
8,339
3,206
1,815
2,127
57,798
23,171
141,309 R
2,488
3,052
10,900
13,273
5,032
8,473
3,043
2,454
1,944
65,626 R
25,024 R
147,485
2,529
3,238
11,680
12,112
4,698
7,534
4,146
1,916
3,083
68,849
27,700
144,067
3,507
3,070
14,052
13,028
3,775
8,904
3,368
1,758
2,595
63,720
26,291
V36131
V36091
V36102
V36113
V36124
V36126
V36127
V36128
V36129
V36081
V36082
V36083
73,730R
2,260
2,799
4,490
8,718
2,468
5,517
1,251
1,108
813
30,335R
13,970
70,413
1,339
2,957
5,729
8,769
2,361
5,393
2,071
1,254
721
26,769
13,048
68,177
1,325
1,544
6,066
7,599
1,786
5,732
2,105
849
1,224
26,950
12,995
71,923 R
1,368
2,344
6,602
8,361
3,119
4,888
1,899
1,420
552
28,801 R
12,569 R
Central Europe and Central Asia
Poland
Russia
Other
V36199
V36033
V36034
V36035
923
46
79
798
1,121
41
165
915
1,473
180
319
974
1,623 R
115
316 R
1,192 R
2,078
113
468
1,497
2,563
135
525
1,903
V36132
V36084
V36085
V36086
339
15
40
284
485
21
86
379
622
2
228
393
815 R
3
215 R
598 R
East Asia and the Pacific
Australia
China (People’s Rep. of)
India
Japan
Korea (Rep. of)
Malaysia
New Zealand
Philippines
Taiwan (Prov. of China)
Thailand
Other
V36200
V36036
V36037
V36038
V36039
V36041
V36042
V36043
V36044
V36045
V36046
V36047
27,558
10,715
1,231
1,600
7,332
3,186
1,594
727
290
291
382
210
27,515
10,976
1,372
1,769
6,494
3,278
1,426
865
257
321
481
274
26,450
11,709
1,466
2,115
4,011
2,926
1,406
992
231
337
490
766
31,675 R
14,965
1,634
2,601 R
4,572 R
3,165 R
1,667 R
1,192
164
352 R
584 R
777 R
39,041
18,904
2,288
2,554
7,459
3,740
1,774
845
128
394
490
466
34,877
16,024
2,051
2,845
5,749
3,175
1,508
1,192
111
396
575
1,250
V36133
V36087
V36088
V36089
V36090
V36092
V36093
V36094
V36095
V36096
V36097
V36098
10,564
4,750
795
149
2,188
1,573
483
304
68
163
27
63
12,149
5,432
979
141
2,392
1,994
355
452
50
193
23
137
11,915
5,415
1,108
156
2,255
1,304
393
504
42
144
19
577
15,009 R
7,845
1,088
344 R
2,428 R
1,346 R
476 R
647
23
180 R
97 R
535 R
Latin America and Caribbean
Argentina
Bolivia
Brazil
Chile
Mexico
Peru
Trinidad and Tobago
Venezuela
Other
V36201
V36048
V36049
V36050
V36052
V36053
V36054
V36055
V36056
V36057
39,302
76
2,128
3,702
21,736
172
1,785
197
9,506
42,069
77
1,856
4,485
21,144
3,365
1,720
174
9,247
43,792
66
1,762
4,756
21,255
4,305
1,770
191
9,687
52,263 R
61
2,934
4,673
24,010
4,594
2,303
302
13,388
54,215
74
3,047
5,099
24,267
4,697
2,406
268
14,356
53,205
71
3,352
5,102
23,798
5,051
2,241
147
13,444
V36134
V36099
V36100
V36101
V36103
V36104
V36105
V36106
V36107
V36108
5,667
214
652
2,758
50
207
67
1,720
5,742
303
666
2,626
366
172
67
1,543
5,507
251
611
2,706
95
155
70
1,617
9,064 R
563
571
3,815
1,086
284
177
2,569
North Africa and Middle East
Algeria
Kuwait
Saudi Arabia
Other
V36202
V36058
V36059
V36060
V36061
1,856
227
37
241
1,351
1,746
223
84
192
1,247
2,111
223
69
253
1,566
2,496 R
229
132
257 R
1,878 R
2,159
225
185
67
1,683
1,950
198
177
91
1,483
V36135
V36109
V36110
V36111
V36112
540
1
23
233
284
500
81
184
235
774
60
245
469
891 R
2
87 R
212 R
590 R
Sub-Saharan Africa
South Africa
Other
V36203
V36063
V36064
428
222
206
979
190
789
485
380
105
1,137
846
291
1,415
458
957
1,068
578
490
V36136
V36114
V36115
158
94
64
362
59
303
151
137
14
127
114
13
Unallocated
V36065
5,399
6,187
3,340
3,260
3,601
3,327
V36116
1,408
1,463
1,509
1,615
Offshore banking centres
Bahamas
Barbados
Bermuda
Cayman Islands
Hong Kong
Panama
Singapore
Other
V36204
V36066
V36067
V36068
V36069
V36070
V36071
V36072
V36074
32,867
3,894
2,384
1,771
15,918
2,564
697
1,219
4,420
33,762
4,204
2,322
1,702
17,019
2,686
772
1,381
3,676
35,962
3,855
2,434
1,911
18,156
3,203
855
1,744
3,803
45,900 R
7,333
3,799
1,987
20,102
3,462
914
2,180 R
6,122 R
49,698
7,631
3,845
2,025
21,318
4,856
918
2,563
6,541
47,914
7,610
3,731
1,968
20,423
4,824
850
2,554
5,954
V36137
V36117
V36118
V36119
V36120
V36121
V36122
V36123
V36125
4,450
433
1,103
193
1,010
376
65
723
548
3,477
388
1,115
284
458
327
116
457
333
5,712
385
1,216
454
1,435
810
110
1,008
294
7,016 R
818
1,284
534
1,371
873
164
1,297 R
676 R
Addendum:
Foreign currency claims
on Canadian residents
V36189
37,237R
37,687
33,668
39,067
42,541
36,902
V36130
6,013
6,159
5,361
7,012
Total
S 37
Of which: Non-local
Dont : Créances extérieures
2007
2007
I
I
2006
2006
I
I
II
II
II
II
III
III
IV
IV
2007
2007
I
I
II
II
168,391R
167,358
V36138
274,746R
289,104
294,827
345,125R
352,164
350,557
Total
55,493R
53,806
V36139
98,020R
113,325
124,002
145,716
137,150
144,819
États-Unis
76,478
1,156
2,581
8,087
6,751
3,011
4,575
3,177
746
1,038
31,122
14,236
76,026
2,257
2,340
9,811
7,427
2,235
5,291
2,488
755
1,506
29,059
12,856
V36191
V36150
V36161
V36172
V36183
V36185
V36186
V36187
V36188
V36140
V36141
V36142
114,517R
2,967
3,501
8,860
12,331
4,156
7,048
2,320
2,113
1,361
49,316R
20,545
107,975
2,352
3,698
8,797
13,656
4,455
6,909
2,831
2,095
1,225
38,574
23,381
103,988
2,245
2,180
9,277
12,792
3,673
7,560
3,206
1,815
2,074
39,489
19,675
113,046R
2,386
2,557
10,352
12,675
4,958
7,371
2,892
2,454
1,899
42,130R
23,371R
118,459
2,356
3,238
11,367
11,322
4,530
6,458
3,730
1,916
3,039
45,176
25,326
115,640
2,712
2,927
13,591
12,246
3,615
7,730
3,144
1,758
2,561
42,455
22,901
Europe occidentale
Autriche
Belgique
France
Allemagne
Italie
Pays-Bas
Espagne
Suède
Suisse
Royaume-Uni
Autres pays
996
3
289
704
959
2
295
662
V36192
V36143
V36144
V36145
923
46
79
798
1,121
41
165
915
1,473
180
319
974
1,623R
115
316R
1,192R
2,078
113
468
1,497
2,563
135
525
1,903
14,783
8,140
1,467
268
2,279
1,407
557
295
23
207
61
79
14,886
7,930
1,403
380
2,075
966
364
650
7
179
117
815
V36193
V36146
V36147
V36148
V36149
V36151
V36152
V36153
V36154
V36155
V36156
V36157
16,516
3,921
1,190
941
5,458
2,687
660
727
290
235
198
210
17,132
4,373
1,321
1,085
5,143
2,806
586
865
257
243
179
274
15,971
4,681
1,432
1,322
3,041
2,472
561
992
231
247
226
766
18,195R
5,093
1,556
1,805R
3,455R
2,810R
676R
1,192
164
286R
382R
777R
24,457
8,148
2,167
1,832
6,199
3,246
786
845
128
329
310
466
20,821
5,921
1,917
2,003
4,474
2,778
665
1,192
111
279
233
1,250
Asie de l’Est et pays du Pacifique
Australie
République populaire de Chine
Inde
Japon
Corée (République de Corée)
Malaysia
Nouvelle-Zélande
Philippines
Taiwan (Province de la Chine)
Thaïlande
Autres pays
8,214
16
697
702
3,083
847
290
153
2,426
8,394
11
1,178
819
2,811
858
349
86
2,282
V36194
V36158
V36159
V36160
V36162
V36163
V36164
V36165
V36166
V36167
10,851
76
2,127
1,151
2,659
172
610
197
3,859
13,615
77
1,856
2,016
2,987
2,262
518
174
3,725
14,582
66
1,762
2,285
2,970
2,955
522
191
3,831
21,508
61
2,934
2,110
4,269
4,096
915
302
6,821
22,047
74
3,047
2,495
4,737
3,045
959
268
7,422
21,124
71
3,352
2,382
4,181
3,118
822
147
7,051
Amérique latine et Antilles
Argentine
Bolivie
Brésil
Chili
Mexique
Pérou
Trinité et Tobago
Venezuela
Autres pays
726
106
57
562
586
119
60
407
V36195
V36168
V36169
V36170
V36171
1,783
227
37
241
1,278
1,672
223
84
192
1,173
1,996
223
69
253
1,452
2,403R
229
132
257R
1,786R
2,074
225
185
67
1,598
1,875
198
177
91
1,408
Afrique du Nord et Moyen-Orient
Algérie
Koweït
Arabie saoudite
Autres pays
281
201
80
235
219
16
V36196
V36173
V36174
428
222
206
979
190
789
485
380
105
1,137
846
291
1,415
458
957
1,068
578
490
Afrique subsaharienne
Afrique du Sud
Autres pays
1,970
1,589
V36175
5,399
6,187
3,340
3,260
3,601
3,327
Autres créances
9,451
809
1,277
465
2,645
1,873
150
1,563
668
10,876
876
1,364
479
3,641
1,977
101
1,792
646
V36197
V36176
V36177
V36178
V36179
V36180
V36181
V36182
V36184
26,310
1,416
1,340
1,771
15,495
1,704
697
1,042
2,845
27,098
1,759
1,311
1,702
16,605
1,635
772
1,194
2,121
28,990
1,371
1,387
1,911
17,721
2,007
855
1,534
2,204
38,237R
4,849
2,663
1,987
19,628
1,991
914
1,928R
4,275R
40,883
4,896
2,720
2,025
20,830
2,627
918
2,220
4,648
39,320
4,951
2,694
1,968
19,954
2,528
850
2,217
4,158
7,381
6,719
V36190
37,237R
37,687
33,668
39,067
42,541
36,902
Europe centrale et Asie centrale
Pologne
Russie
Autres pays
Places bancaires extraterritoriales
Bahamas
Barbade
Bermudes
Iles Caïmans
Hong Kong
Panama
Singapour
Autres
Ajout :
Créances en monnaies étrangères
sur les résidents canadiens
C10
Continued
Suite
S 38
Millions of dollars, end of period En millions de dollars, en fin de période
Total liabilities to non-residents
Ensemble des engagements envers les non-résidents
2006
2006
I
I
Of which: Liabilities to banks
Dont : Engagements envers les banques
II
II
III
III
IV
IV
2007
2007
I
I
II
II
2006
2006
I
I
II
II
III
III
IV
IV
V36205
478,102R
492,376
487,719
559,887
589,283
562,961
V36256
130,348R
142,044
137,962
161,744
United States
V36206
230,248R
226,991
222,379
241,020
269,639
251,630
V36257
31,249R
39,310
34,651
40,799
Western Europe
Austria
Belgium
France
Germany
Italy
Netherlands
Spain
Sweden
Switzerland
United Kingdom
Other
V36375
V36217
V36228
V36239
V36250
V36252
V36253
V36254
V36255
V36207
V36208
V36209
70,126R
84
591
2,607
2,181R
1,556
895
530
44
11,536
34,875R
15,227
82,849
159
931
6,782
3,074
892
1,939
1,193
314
13,686
39,451
14,428
79,986
247
1,715
3,495
2,283
1,181
1,187
906
58
13,121
40,584
15,209
95,520
358
1,513
2,873
2,738
1,619
739
1,606
249
15,589
51,196
17,040
95,973
111
1,599
2,076
3,108
1,607
1,641
530
570
15,714
50,876
18,141
95,266
424
1,014
1,580
2,978
978
2,308
790
145
13,946
52,775
18,329
V36308
V36268
V36279
V36290
V36301
V36303
V36304
V36305
V36306
V36258
V36259
V36260
32,113R
43
267
1,894
334R
942
258
370
4
10,584
11,244
6,172
37,127
112
663
2,445
1,167
760
478
1,029
279
12,753
12,020
5,421
39,813
205
1,195
2,457
908
635
806
744
3
12,262
13,865
6,732
47,096
323
1,076
1,727
1,100
676
41
1,426
210
14,409
18,796
7,311
Central Europe and Central Asia
Poland
Russia
Other
V36376
V36210
V36211
V36212
6,910
1,237
3,389
2,285
6,646
1,291
2,919
2,436
5,027
1,092
1,909
2,027
5,917
956
1,710
3,252
5,418
1,184
1,000
3,234
4,909
928
1,062
2,919
V36309
V36261
V36262
V36263
6,671
1,228
3,304
2,139
6,461
1,282
2,834
2,345
4,838
1,083
1,822
1,933
5,727
945
1,621
3,161
East Asia and the Pacific
Australia
China (People’s Rep. of)
India
Japan
Korea (Rep. of)
Malaysia
New Zealand
Philippines
Taiwan (Prov. of China)
Thailand
Other
V36377
V36213
V36214
V36215
V36216
V36218
V36219
V36220
V36221
V36222
V36223
V36224
27,742R
5,081
1,826
2,975R
3,475
2,423
2,155
62
1,293
2,592
2,321
3,540
26,405
5,247
2,146
3,352
2,449
1,365
1,970
54
1,699
2,230
2,440
3,454
27,369
5,191
2,059
3,509
2,964
2,508
1,441
121
1,212
2,269
2,562
3,534
34,376
8,666
3,342
3,292
2,836
2,481
2,631
69
1,652
2,676
2,560
4,170
33,436
8,667
2,543
3,139
2,602
2,687
2,955
67
1,388
2,614
2,747
4,028
35,271
7,850
2,253
3,122
3,020
3,507
3,429
155
1,510
3,673
2,838
3,914
V36310
V36264
V36265
V36266
V36267
V36269
V36270
V36271
V36272
V36273
V36274
V36275
21,376R
3,911
1,130
2,544R
2,982R
2,215
1,617
27
1,197
639
1,897
3,217
19,900
4,009
1,446
2,992
1,854
1,130
1,498
21
1,604
366
1,840
3,138
18,270
2,894
1,343
3,182
1,299
2,285
896
89
1,092
332
1,779
3,079
22,140
3,873
2,603
2,943
1,245
2,240
1,472
31
1,525
584
2,070
3,554
Latin America and Caribbean
Argentina
Bolivia
Brazil
Chile
Mexico
Peru
Trinidad and Tobago
Venezuela
Other
V36378
V36225
V36226
V36227
V36229
V36230
V36231
V36232
V36233
V36234
28,756
336
61
408
3,236
13,166
371
707
1,632
8,839
33,493
311
26
198
3,561
13,353
4,170
745
2,339
8,791
32,785
378
43
243
3,026
14,473
1,493
1,687
2,249
9,193
37,430
412
29
153
3,280
14,347
4,208
1,392
1,969
11,640
37,568
394
51
276
3,041
14,047
3,720
1,364
2,054
12,622
37,106
358
47
356
2,705
13,727
4,436
1,516
1,630
12,331
V36311
V36276
V36277
V36278
V36280
V36281
V36282
V36283
V36284
V36285
6,891
4
54
345
545
2,651
322
535
552
1,884
8,585
3
18
114
1,014
3,233
677
615
1,399
1,513
8,876
2
29
154
431
3,583
350
692
1,508
2,127
8,220
52
10
66
650
3,098
590
545
1,204
2,006
North Africa and Middle East
Algeria
Kuwait
Saudi Arabia
Other
V36379
V36235
V36236
V36237
V36238
13,785
110
776
2,978
9,920
11,369
105
604
1,679
8,981
14,075
36
841
2,591
10,607
15,935
283
1,068
2,869
11,715
15,650
248
1,812
1,783
11,807
14,180
238
2,524
854
10,564
V36312
V36286
V36287
V36288
V36289
11,479
106
730
2,104
8,539
9,171
101
561
863
7,646
11,656
32
764
1,522
9,338
13,697
279
783
2,146
10,489
Sub-Saharan Africa
South Africa
Other
V36380
V36240
V36241
1,424
717
707
1,227
501
727
1,532
546
986
1,298
488
810
1,721
839
882
1,933
1,110
823
V36313
V36291
V36292
1,059
607
452
909
390
519
1,025
436
589
926
358
568
Unallocated
V36242
61,993
62,811
64,299
72,242
71,881
68,011
V36293
7,319
6,648
5,004
5,633
Offshore banking centres:
Bahamas
Barbados
Bermuda
Cayman Islands
Hong Kong
Panama
Singapore
Other
V36381
V36243
V36244
V36245
V36246
V36247
V36248
V36249
V36251
37,118
5,748
1,616
3,404
6,267
8,064
1,188
3,260
7,571
40,585
5,519
1,409
4,323
7,498
9,625
1,146
3,299
7,766
40,266
5,800
1,510
3,915
7,584
9,683
1,205
3,505
7,065
56,150
9,852
3,139
3,375
12,390
11,754
1,044
3,830
10,766
57,997
10,725
3,258
3,059
13,058
12,530
1,113
3,831
10,423
54,655
9,794
3,243
3,460
13,121
11,200
1,029
2,672
10,137
V36314
V36294
V36295
V36296
V36297
V36298
V36299
V36300
V36302
12,190
1,469
112
948
1,394
3,263
340
2,489
2,175
13,934
1,468
184
999
1,782
4,695
277
2,417
2,112
13,829
1,652
123
958
1,557
4,704
302
2,541
1,991
17,506
2,288
234
862
2,314
6,250
297
2,582
2,678
Addendum:
Foreign currency liabilities
to Canadian residents
V36366
88,583R
90,853
94,620
104,525
107,450
106,597
V36307
3,935
4,870
4,570
Total
3,297R
S 39
Of which: Non-local
Dont : Engagements extérieurs
2007
2007
I
I
II
II
167,945
147,582
V36315
49,021
39,025
45,477
62
1,393
1,201
1,368
966
443
371
537
14,306
16,375
8,455
2006
2006
I
I
II
II
III
III
IV
IV
2007
2007
I
I
II
II
250,678R
266,221
260,866
304,951
325,651
310,941
V36316
41,936R
42,943
39,348
37,654
57,791
47,504
États-Unis
39,004
384
855
932
1,458
858
1,078
642
115
12,734
13,155
6,792
V36368
V36327
V36338
V36349
V36360
V36362
V36363
V36364
V36365
V36317
V36318
V36319
57,997R
84
591
2,607
2,181R
1,556
895
530
44
11,522
23,460R
14,526
68,303
159
931
6,782
3,074
892
1,939
1,193
314
13,672
25,897
13,450
65,795
247
1,715
3,495
2,283
1,181
1,187
906
58
13,108
27,612
14,003
78,314
358
1,513
2,873
2,738
1,619
739
1,606
249
15,575
35,196
15,848
79,828
111
1,599
2,076
3,108
1,607
1,641
530
570
15,699
35,889
16,998
80,633
424
1,014
1,580
2,978
978
2,307
790
145
13,933
39,342
17,142
Europe occidentale
Autriche
Belgique
France
Allemagne
Italie
Pays-Bas
Espagne
Suède
Suisse
Royaume-Uni
Autres pays
5,202
1,174
905
3,124
4,708
920
975
2,814
V36369
V36320
V36321
V36322
6,910
1,237
3,389
2,285
6,646
1,291
2,919
2,436
5,027
1,092
1,909
2,027
5,917
956
1,710
3,252
5,418
1,184
1,000
3,234
4,909
928
1,062
2,919
21,601
3,810
1,740
2,792
1,497
2,459
1,782
25
1,273
524
2,273
3,427
24,189
4,239
1,537
2,723
1,186
3,291
2,303
119
1,383
1,739
2,275
3,395
V36370
V36323
V36324
V36325
V36326
V36328
V36329
V36330
V36331
V36332
V36333
V36334
21,489R
1,382
1,802
2,402R
2,645
2,075
1,711
62
1,293
2,563
2,014
3,540
20,182
1,175
2,122
2,887
2,006
986
1,616
54
1,699
2,201
1,983
3,454
20,431
1,077
2,004
2,997
2,011
2,280
1,087
121
1,212
2,218
1,891
3,534
24,539
1,611
3,306
2,660
1,832
2,366
2,114
69
1,652
2,603
2,155
4,170
22,866
1,714
2,475
2,487
1,198
2,417
2,172
67
1,388
2,561
2,360
4,028
25,917
1,961
2,183
2,377
1,778
3,344
2,787
155
1,510
3,548
2,360
3,914
Asie de l’Est et pays du Pacifique
Australie
République populaire de Chine
Inde
Japon
Corée (République de Corée)
Malaysia
Nouvelle-Zélande
Philippines
Taiwan (Province de la Chine)
Thaïlande
Autres pays
8,193
8
25
192
393
3,729
96
459
1,157
2,134
7,904
6
24
168
135
3,530
171
637
783
2,450
V36371
V36335
V36336
V36337
V36339
V36340
V36341
V36342
V36343
V36344
14,740
336
61
408
1,260
4,124
371
704
1,632
5,843
18,795
311
26
198
1,656
4,997
2,949
744
2,339
5,575
17,244
378
43
243
1,136
5,841
375
812
2,249
6,168
20,843
412
29
153
1,265
5,214
3,045
753
1,969
8,002
21,023
394
51
276
1,153
5,210
2,472
669
2,054
8,746
21,027
358
47
356
731
5,398
3,095
852
1,630
8,560
Amérique latine et Antilles
Argentine
Bolivie
Brésil
Chili
Mexique
Pérou
Trinité et Tobago
Venezuela
Autres pays
13,738
244
1,421
1,440
10,633
11,955
234
1,734
356
9,632
V36372
V36345
V36346
V36347
V36348
13,713
110
776
2,978
9,848
11,301
105
604
1,679
8,913
13,964
36
841
2,591
10,495
15,843
283
1,068
2,869
11,623
15,564
248
1,812
1,783
11,721
14,103
238
2,524
854
10,486
Afrique du Nord et Moyen-Orient
Algérie
Koweït
Arabie saoudite
Autres pays
1,345
723
622
1,580
1,001
578
V36373
V36350
V36351
1,296
717
580
1,142
501
641
1,296
546
749
1,213
488
725
1,613
839
774
1,835
1,110
725
Total
Europe centrale et Asie centrale
Pologne
Russie
Autres pays
Afrique subsaharienne
Afrique du Sud
Autres pays
5,206
3,561
V36352
61,993
62,811
64,299
72,242
71,881
68,011
Autres engagements
18,162
2,616
60
1,276
2,765
6,878
309
1,927
2,331
15,656
2,482
96
594
2,270
6,234
314
1,502
2,165
V36374
V36353
V36354
V36355
V36356
V36357
V36358
V36359
V36361
30,603
3,159
654
3,404
5,926
6,992
1,188
2,998
6,281
34,099
2,961
472
4,323
7,168
8,233
1,146
3,264
6,531
33,463
3,057
568
3,915
7,073
8,183
1,205
3,278
6,185
48,386
7,808
2,121
3,375
12,024
9,334
1,044
3,539
9,140
49,666
7,984
2,220
3,059
12,663
10,685
1,113
3,230
8,711
47,001
7,150
2,253
3,460
12,750
9,405
1,029
2,455
8,497
Places bancaires extraterritoriales
Bahamas
Barbade
Bermudes
Iles Caïmans
Hong Kong
Panama
Singapour
Autres
4,805
5,512
V36367
88,583R
90,853
94,620
104,525
107,450
106,597
Ajout :
Engagements en monnaies étrangères
envers les résidents canadiens
D1
Trust and mortgage loan companies excluding bank trust and mortgage subsidiaries: Quarterly statement of estimated assets and liabilities
End
of period
En fin
de période
Assets
S 40
Sociétés de fiducie ou de prêt hypothécaire, à l’exception des filiales de banques à charte : Situation trimestrielle (estimations)
Millions of dollars En millions de dollars
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Actif
Cash and
gross demand
and notice
deposits
Encaisse
et montants
bruts des
dépôts à vue
ou à préavis
Items in
Term deposits
transit
Dépôts à terme
Effets en
compensation Chartered Other
banks
Autres
Banques
à charte
V37038
V37057
608
604
506
582
456
589
2,056
1,481
147
185
221
331
416
279
V37040
Government of
Canada
treasury
bills
Bons du
Trésor du
gouvernement
canadien
Other
short-term
paper and
bankers’
acceptances
Autre
papier
à court
terme et
acceptations
bancaires
Canadian bonds
Obligations canadiennes
Residential
mortgages
Prêts
Government Provincial Corporate hypothécaires
of Canada
and
Émises
à l’habitation
direct and
municipal par les
guaranteed Émises
sociétés
Émises ou par les
garanties
provinces
par le
et les
gouvernemunicipament
lités
canadien
Personal
loans
Prêts
personnels
Non-residential
mortgages
Prêts
hypothécaires
sur immeubles
non résidentiels
Other
loans
Autres
prêts
V37052
V37051
Leasing
contracts
Contrats
de créditbail
Canadian
preferred
and
common
shares
Actions
privilégiées
ou
ordinaires
de sociétés
canadiennes
Other
assets
Autres
éléments
de
l’actif
Total
assets
Ensemble
de
l’actif
V37035
V37041 V37042
V37044
V37046
V37047
V37048
V37050
V37077 V37054
V37053
V37055
245
-114
-37
-42
281
-37
-43
3
2
52
54
58
55
-66
414
385
475
326
42
94
105
133
126
205
212
151
163
762
128
127
158
108
126
281
315
399
378
615
636
454
487
1,208
5,476
3,802
4,298
3,497
2,156
1,941
2,073
190
274
395
568
481
653
712
3,495
3,473
3,636
2,074
3,396
2,249
3,673
558
430
468
317
226
260
396
1,172
1,772
1,800
2,897
2,294
2,626
3,508
237
199
425
427
395
461
971
1,164
841
672
568
529
232
201
167
288
258
273
250
249
1,305
538
313
225
229
976
2,812
2,225
275
344
217
204
321
464
1,217
49,294
43,260
40,029
39,244
23,452
21,747
17,598
4,976
5,241
5,283
6,321
7,201
8,255
7,707
7,140
7,993
9,106
12,332
13,625
15,209
17,277
632
348
238
243
299
564
729
8,558
5,487
4,005
3,286
1,613
1,282
1,348
529
512
571
570
848
1,008
1,284
4,894
3,096
2,279
2,298
786
524
606
226
396
270
276
285
2,346
329
1,171
952
816
517
360
356
336
84
102
31
19
11
11
12
2,341
2,036
1,709
1,484
1,351
1,263
1,006
200
215
247
279
243
280
343
3,079
3,195
2,764
2,901
3,659
4,619
4,670
673
593
762
657
899
882
819
89,716
77,223
72,441
72,301
55,102
55,787
56,954
10,763
9,595
10,222
11,277
12,453
16,554
18,007
1998 IV
589
-37
94
281
1,941
2,249
2,626
232
2,812
21,747
15,209
1,282
524
356
1,263
4,619
55,787
1999 I
II
III
IV
891
1,159
1,559
2,056
300
206
-27
-43
86
99
141
105
258
295
424
315
2,096
1,923
2,199
2,073
2,311
2,353
2,938
3,673
3,646
4,059
3,743
3,508
111
125
138
201
1,502
1,125
2,342
2,225
20,333
20,198
18,970
17,598
15,919
16,126
16,615
17,277
1,217
1,236
1,271
1,348
462
489
413
606
337
333
343
336
994
990
1,017
1,006
4,417
4,441
4,692
4,670
54,880
55,157
56,778
56,954
2000 I
II
III
IV
1,633
1,877
1,588
1,481
4
3
141
415
120
133
425
1,246
360
399
343
244
141
190
438
483
489
558
237
323
245
237
154
183
173
167
196
268
284
275
5,716
5,137
4,683
4,976
685
577
581
632
570
531
503
529
212
226
194
226
64
74
82
84
165
185
177
200
608
630
755
673
11,587
12,399
10,379
10,763
2001 I
II
III
IV
1,852
140
192
147
1
1
2
139
110
115
126
418
329
344
378
283
241
193
274
427
445
467
430
241
243
243
199
164
215
223
288
282
323
325
344
5,193
5,184
5,328
5,241
763
550
536
348
548
486
492
512
255
166
167
396
89
90
93
102
200
234
216
215
990
499
567
593
11,844
9,256
9,502
9,595
2002 I
II
III
IV
200
206
176
185
3
52
52
106
147
161
205
317
442
482
615
253
416
439
395
437
527
473
468
269
569
415
425
339
426
260
258
303
261
206
217
5,588
5,635
5,548
5,283
314
363
210
238
559
583
575
571
407
379
271
270
100
93
33
31
207
267
251
247
590
690
582
762
9,989
11,007
10,134
10,222
2003 I
II
III
IV
169
186
213
221
52
54
54
54
169
224
192
212
507
671
569
636
483
435
647
568
407
522
319
317
433
422
429
427
263
251
268
273
201
181
180
204
5,893
6,048
6,206
6,321
225
287
343
243
538
513
590
570
293
269
265
276
28
24
22
19
260
256
270
279
536
571
594
657
10,457
10,914
11,161
11,277
2004 I
II
III
IV
269
258
352
331
52
53
57
58
226
254
178
151
676
763
534
454
559
462
722
481
182
261
196
226
441
452
446
395
269
269
261
250
223
226
368
321
6,532
6,730
6,988
7,201
228
244
261
299
583
641
737
848
273
254
255
285
17
14
13
11
281
267
170
243
758
837
758
899
11,569
11,985
12,296
12,453
2005 I
II
III
IV
311
237
293
416
57
58
54
55
184
192
182
163
553
574
545
487
315
330
439
653
194
293
243
260
445
408
404
461
288
289
289
249
501
492
468
464
7,652
7,961
8,159
8,255
478
510
559
564
968
935
952
1,008
260
260
249
2,346
11
12
11
11
245
256
260
280
880
866
887
882
13,342
13,673
13,994
16,554
2006 I
II
III
IV
264
378
292
279
-134
-65
-65
-66
744
788
751
762
1,215
1,313
1,191
1,208
812
567
703
712
235
267
393
396
735
1,049
955
971
624
880
1,300
1,305
1,843
1,092
1,202
1,217
7,426
7,449
7,620
7,707
594
634
683
729
1,059
1,142
1,225
1,284
318
311
316
329
12
12
12
12
285
306
328
343
793
801
802
819
16,825
16,924
17,708
18,007
S 41
Liabilities
Passif
Savings deposits
Dépôts d’épargne
Chequable
Transférables
par chèque
Non-chequable
Non transférables
par chèque
Term deposits, guaranteed
investment certificates, and
debentures
Dépôts à terme, certificats
de placement garantis et
débentures
Total deposits
Ensemble des dépôts
Total
Total
Less than
1 year
Moins
de 1 an
1 year
and over
1 an
ou plus
Total
Total
Of which:
Personal deposits
Dont :
Dépôts des particuliers
Total
Total
Of which:
Tax-sheltered
Dont :
Abris fiscaux
Loans and
overdrafts
Emprunts et
découverts
bancaires
Promissory
notes and
debentures
Billets à
ordre et
débentures
Other
liabilities
Autres
éléments
du passif
Shareholders’
equity
Avoir
propre
des
actionnaires
Total
liabilities
and
shareholders’
equity
Ensemble
du passif
et avoir
propre des
actionnaires
V37058
End of
period
En fin
de
période
V37062
V37063
V37065
V37066
V37064
V37060
V37075
V37074
V37067
V37076
V37072
V37073
9,473
8,964
8,374
8,690
7,868
8,065
8,111
131
185
111
107
117
133
1,409
8,994
5,274
4,905
5,484
3,690
3,637
4,729
1,949
675
1,271
1,332
1,098
1,655
1,715
12,092
10,097
8,793
9,625
8,302
9,441
9,089
2,115
1,800
1,585
1,794
2,168
2,176
2,436
49,198
44,704
42,653
39,529
28,759
28,180
27,990
4,895
5,444
5,655
6,311
7,214
8,035
7,605
61,290
54,800
51,446
49,154
37,061
37,621
37,079
7,010
7,244
7,240
8,105
9,382
10,211
10,041
79,757
69,038
64,725
63,328
48,619
49,323
49,919
9,090
8,104
8,622
9,544
10,597
11,999
13,165
79,556
68,754
64,432
62,990
48,066
48,783
48,554
7,291
7,921
7,765
8,643
9,702
10,960
10,798
25,612
21,075
20,407
19,869
14,495
13,489
13,092
1,944
1,768
1,689
1,690
1,678
1,797
1,669
1,635
1,399
319
101
317
127
94
103
97
104
30
21
145
151
804
1,009
1,285
3,068
1,625
2,055
2,572
25
42
83
106
80
99
111
3,196
2,469
2,882
2,515
2,033
1,899
2,172
624
534
492
634
706
3,135
3,098
4,324
3,308
3,229
3,289
2,508
2,383
2,197
921
818
921
963
1,049
1,176
1,482
89,716
77,223
72,441
72,301
55,102
55,787
56,954
10,763
9,595
10,222
11,277
12,453
16,554
18,007
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
8,065
3,637
9,441
28,180
37,621
49,323
48,783
13,489
127
2,055
1,899
2,383
55,787
1998
IV
7,801
8,427
8,076
8,111
4,281
4,627
4,885
4,729
9,247
8,630
9,470
9,089
26,996
26,812
27,352
27,990
36,243
35,442
36,822
37,079
48,325
48,496
49,783
49,919
47,174
47,132
48,067
48,554
13,406
13,533
13,146
13,092
108
106
86
94
2,289
2,487
2,600
2,572
1,922
1,812
1,956
2,172
2,236
2,256
2,353
2,197
54,880
55,157
56,778
56,954
1999
I
II
III
IV
111
125
132
131
1,314
2,287
1,677
1,949
2,963
3,227
2,267
2,115
5,234
5,084
4,702
4,895
8,197
8,311
6,969
7,010
9,622
10,723
8,778
9,090
8,183
8,552
6,909
7,291
2,604
2,660
1,949
1,944
155
84
104
103
41
44
31
25
795
528
586
624
974
1,020
880
921
11,587
12,399
10,379
10,763
2000
I
II
III
IV
126
159
179
185
1,740
537
561
675
2,709
1,888
2,024
1,800
5,161
5,137
5,216
5,444
7,870
7,025
7,240
7,244
9,736
7,721
7,980
8,104
7,599
7,578
7,831
7,921
2,019
1,823
1,824
1,768
131
111
86
97
29
30
32
42
977
599
584
534
971
795
820
818
11,844
9,256
9,502
9,595
2001
I
II
III
IV
203
218
111
111
667
1,313
1,279
1,271
1,842
1,910
1,506
1,585
5,581
5,748
5,623
5,655
7,423
7,658
7,129
7,240
8,293
9,189
8,519
8,622
8,084
8,347
7,680
7,765
1,773
1,768
1,711
1,689
110
82
73
104
42
75
71
83
695
748
568
492
849
913
903
921
9,989
11,007
10,134
10,222
2002
I
II
III
IV
97
142
125
107
1,264
1,286
1,300
1,332
1,643
1,746
1,822
1,794
5,855
6,048
6,221
6,311
7,498
7,794
8,043
8,105
8,859
9,222
9,468
9,544
7,997
8,309
8,501
8,643
1,694
1,700
1,695
1,690
50
95
51
30
79
91
101
106
540
574
578
634
929
932
963
963
10,457
10,914
11,161
11,277
2003
I
II
III
IV
115
121
112
117
1,409
1,453
1,442
1,098
1,536
1,789
2,006
2,168
6,759
6,803
6,939
7,214
8,295
8,592
8,945
9,382
9,819
10,166
10,499
10,597
8,922
9,276
9,614
9,702
1,700
1,699
1,691
1,678
28
18
27
21
84
82
83
80
627
724
684
706
1,011
995
1,003
1,049
11,569
11,985
12,296
12,453
2004
I
II
III
IV
104
106
116
133
1,214
1,345
1,434
1,655
2,192
2,124
2,083
2,176
7,450
7,661
7,900
8,035
9,642
9,785
9,983
10,211
10,960
11,236
11,533
11,999
9,964
10,228
10,532
10,960
1,818
1,818
1,793
1,797
146
188
167
145
99
102
102
99
1,005
994
1,015
3,135
1,132
1,153
1,177
1,176
13,342
13,673
13,994
16,554
2005
I
II
III
IV
1,223
1,368
1,395
1,409
1,692
1,657
1,684
1,715
2,286
2,281
2,394
2,436
7,048
7,278
7,481
7,605
9,334
9,559
9,875
10,041
12,249
12,584
12,954
13,165
10,082
10,288
10,603
10,798
1,656
1,649
1,656
1,669
148
149
149
151
94
107
110
111
2,978
2,697
3,053
3,098
1,356
1,387
1,442
1,482
16,825
16,924
17,708
18,007
2006
I
II
III
IV
D2
Local credit unions and caisses populaires: Quarterly statement of estimated assets and liabilities
Caisses populaires et credit unions locales : Situation trimestrielle (estimations)
End
of period
En fin
de période
Assets
Millions of dollars
S 42
En millions de dollars
Actif
Cash and demand
and notice deposits
Encaisse et dépôts
à vue ou à préavis
In centrals
Dans les
centrales
Term
deposits
Dépôts
à terme
Other
Ailleurs
Government
of Canada
treasury bills
Bons du
Trésor du
gouvernement
canadien
Other shortterm paper
and bankers’
acceptances
Autre papier
à court terme
et acceptations
bancaires
Government
of Canada
bonds
Obligations
du gouvernement
canadien
Provincial
bonds
Obligations
des provinces
Municipal
bonds
Obligations des
municipalités
Other
bonds and
debentures
Autres
obligations
et
débentures
V122584
V122587
Shares in
central
credit
unions
Participation
au capital
social des
centrales
Other
investments
Autres
investissements
Personal
loans
Prêts
personnels
Other
loans
Autres
prêts
Residential
mortgages
Prêts
hypothécaires à
l’habitation
Nonresidential
mortgages
Prêts
hypothécaires sur
immeubles
non
résidentiels
Other
assets
Autres
éléments
de l’actif
Total
assets or
liabilities
Total de
l’actif ou
du passif
V122572
V122580
V122581 V122582
V122583
V122585
V122586
V122573
V122574
V122575 V122576 V122577
V122578
V122579
V122571
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
5,349
5,345
6,171
6,122
5,473
6,334
6,354
6,988
3,445
3,279
3,512
2,976
3,065
2,463
1,251
1,360
1,435
1,443
1,505
1,519
1,405
1,350
1,600
1,309
2,518
2,545
2,502
2,179
7,078
7,358
8,220
8,137
7,688
8,434
9,679
11,020
7,234
7,692
7,802
8,201
8,254
8,876
364
376
434
318
188
85
86
91
97
107
131
110
86
45
391
327
383
510
347
369
377
449
2,197
1,681
2,238
1,556
1,460
1,185
148
459
499
356
199
447
441
383
528
512
785
2,492
2,526
2,462
90
83
100
90
76
64
57
56
624
714
896
880
444
477
269
250
299
269
227
191
170
169
1,872
2,143
2,687
2,640
1,331
1,431
607
459
406
402
424
450
414
629
479
204
315
437
344
264
530
461
533
561
545
565
589
611
555
558
687
695
742
750
723
799
922
867
784
890
953
990
998
952
1,164
1,010
1,085
696
12,882
12,920
13,409
14,135
14,472
14,578
13,411
14,249
16,918
18,154
19,601
20,699
21,881
22,667
8,530
9,453
10,563
11,546
12,712
13,539
15,729
15,998
17,670
18,575
20,655
22,898
24,576
26,671
43,438
45,538
47,057
49,651
51,879
52,772
54,086
56,618
60,316
66,062
72,989
80,628
89,588
97,762
6,339
6,722
7,265
7,380
7,466
7,606
8,045
9,170
10,579
11,281
12,010
12,843
14,859
16,656
2,316
2,450
2,660
2,654
3,016
3,009
3,142
3,427
5,612
7,553
7,149
8,256
8,666
9,062
90,305
94,359
100,356
104,441
107,000
110,851
114,938
122,198
130,725
140,776
155,139
168,866
181,408
193,646
1998 IV
6,334
1,519
8,434
85
369
447
64
191
450
565
890
14,578
13,539
52,772
7,606
3,009
110,851
1999 I
II
III
IV
6,840
7,555
7,134
6,354
1,264
1,397
1,446
1,405
8,479
8,891
8,921
9,679
78
79
88
86
383
355
390
377
461
441
500
441
65
67
55
57
196
200
166
170
467
501
508
414
610
613
595
589
869
872
969
953
13,531
13,496
13,629
13,411
14,822
15,205
15,375
15,729
52,705
53,550
53,911
54,086
7,920
7,931
8,015
8,045
3,159
3,052
3,201
3,142
111,849
114,205
114,903
114,938
2000 I
II
III
IV
6,568
7,319
7,036
6,988
1,258
1,378
1,319
1,350
9,881
10,771
10,673
11,020
82
89
88
91
383
407
426
449
454
455
422
383
61
59
51
56
182
178
154
169
418
428
452
629
581
599
609
611
908
995
981
990
13,830
13,909
14,153
14,249
15,219
15,233
15,623
15,998
54,572
55,638
56,347
56,618
8,238
8,311
8,404
9,170
3,214
3,284
3,374
3,427
115,848
119,053
120,112
122,198
2001 I
II
III
IV
7,477
6,276
3,158
3,445
1,371
1,343
1,330
1,600
11,157
13,620
6,960
7,234
94
96
95
97
445
429
2,178
2,197
367
509
541
528
59
50
624
624
176
150
1,871
1,872
452
461
476
479
629
637
543
555
1,006
1,051
1,027
998
14,843
14,487
16,375
16,918
16,534
16,727
17,180
17,670
57,019
57,887
58,825
60,316
9,985
10,162
10,280
10,579
3,293
3,319
5,462
5,612
124,907
127,203
126,924
130,725
2002 I
II
III
IV
3,243
2,851
3,820
3,279
1,412
1,149
1,378
1,309
7,422
8,456
7,044
7,692
104
467
99
107
2,205
2,025
1,537
1,681
519
507
503
512
620
749
730
714
1,860
2,246
2,190
2,143
301
364
355
204
569
557
531
558
910
911
916
952
17,050
17,483
17,891
18,154
17,152
17,430
18,026
18,575
61,658
63,846
64,825
66,062
10,766
11,037
11,138
11,281
5,813
5,938
6,424
7,553
131,604
136,016
137,407
140,776
2003 I
II
III
IV
3,815
4,640
3,475
3,512
859
1,797
1,855
2,518
8,184
8,652
8,338
7,802
105
106
110
131
1,794
2,503
2,006
2,238
500
579
631
785
716
755
897
896
2,147
2,264
2,690
2,687
211
226
266
315
526
651
656
687
998
999
1,008
1,164
18,560
19,052
19,568
19,601
19,319
19,697
20,364
20,655
66,791
69,217
71,233
72,989
11,552
11,690
11,899
12,010
6,502
6,714
6,975
7,149
142,578
149,541
151,971
155,139
2004 I
II
III
IV
3,487
3,958
3,257
2,976
1,777
1,738
1,857
2,545
8,320
8,711
8,210
8,201
115
108
109
110
1,949
1,722
1,625
1,556
698
998
1,158
2,492
910
930
962
880
2,729
2,789
2,886
2,640
341
305
322
437
681
708
685
695
1,046
977
990
1,010
20,062
20,323
20,687
20,699
21,444
21,812
22,666
22,898
74,078
76,864
78,854
80,628
11,951
12,140
12,511
12,843
7,979
7,888
7,966
8,256
157,566
161,971
164,745
168,866
2005 I
II
III
IV
3,646
4,492
3,479
3,065
1,762
1,710
1,662
2,502
8,217
8,472
8,265
8,254
105
90
84
86
1,832
1,934
1,349
1,460
1,654
1,711
1,678
2,526
866
706
512
444
2,597
2,117
1,535
1,331
282
290
360
344
581
573
728
742
1,058
969
1,141
1,085
21,017
21,469
21,736
21,881
23,625
23,352
24,186
24,576
81,510
84,606
87,172
89,588
13,147
13,841
14,367
14,859
8,891
9,335
9,222
8,666
170,790
175,667
177,475
181,408
2006 I
II
III
IV
3,119
3,370
2,428
2,463
2,312
2,411
2,358
2,179
8,571
8,752
8,816
8,876
61
58
46
45
1,212
935
1,215
1,185
1,951
2,202
2,530
2,462
484
483
489
477
1,451
1,449
1,467
1,431
225
291
268
264
741
748
740
750
822
748
695
696
22,114
22,614
22,717
22,667
25,007
25,412
26,362
26,671
90,840
94,056
96,148
97,762
15,354
15,815
16,396
16,656
8,960
9,162
9,045
9,062
183,222
188,506
191,721
193,646
S 43
Liabilities
Loans
payable
Emprunts
Passif
Deposits
Dépôts
End
of period
En fin
de période
Other
liabilities
Autres
éléments
du passif
Members’ equity
Avoir propre
Share
capital
Capital
social
Other
Autres
éléments
V122594
V122595
V122596
2,168
2,173
2,694
2,415
2,454
2,603
2,420
2,592
3,744
4,636
4,658
6,068
6,223
6,889
2,537
2,253
2,079
2,056
2,250
2,330
2,298
2,197
1,927
2,020
2,201
2,307
2,427
2,408
3,407
3,842
4,235
4,498
4,846
5,195
5,685
6,204
7,419
7,870
8,923
10,103
11,099
11,574
25,169
2,603
2,330
5,195
1998 IV
95,824
98,452
98,986
99,584
26,083
26,107
26,244
26,525
2,340
2,420
2,446
2,420
2,348
2,373
2,390
2,298
5,239
5,370
5,539
5,685
1999 I
II
III
IV
68,110
69,467
70,505
72,443
100,628
104,179
104,956
107,200
27,334
27,570
27,741
28,062
2,243
2,456
2,671
2,592
2,211
2,198
2,183
2,197
5,572
5,771
6,020
6,204
2000 I
II
III
IV
9,614
9,798
9,920
10,338
73,935
74,497
75,986
77,846
109,528
111,805
113,668
117,085
29,018
29,499
29,932
29,991
2,391
2,736
3,423
3,744
2,261
2,167
2,162
1,927
6,463
6,515
6,885
7,419
2001 I
II
III
IV
30,000
32,088
33,752
33,578
10,817
11,165
11,084
11,306
76,858
77,666
77,387
79,817
117,675
120,919
122,223
124,701
31,116
31,236
31,448
31,782
3,218
3,177
3,303
4,636
1,960
1,995
2,006
2,020
7,551
7,614
7,827
7,870
2002 I
II
III
IV
1,981
1,800
2,801
3,980
33,637
36,884
37,452
37,899
11,485
11,800
11,874
12,036
80,831
83,770
83,674
85,442
125,953
132,454
133,000
135,377
33,167
33,447
33,542
33,660
4,514
4,728
5,293
4,658
2,065
2,143
2,161
2,201
8,065
8,416
8,716
8,923
2003 I
II
III
IV
4,950
4,685
5,505
5,843
37,922
42,076
41,923
42,049
12,152
12,461
12,608
12,677
85,176
85,433
86,512
89,819
135,250
139,970
141,043
144,545
34,660
34,785
34,875
35,379
6,014
5,641
6,130
6,068
2,233
2,264
2,279
2,307
9,119
9,411
9,788
10,103
2004 I
II
III
IV
6,454
5,842
6,008
6,957
41,132
42,827
42,486
41,761
12,755
13,213
13,244
13,381
90,814
94,029
95,713
99,560
144,701
150,069
151,443
154,702
36,330
36,413
36,510
36,595
6,947
6,608
6,643
6,223
2,354
2,404
2,378
2,427
10,334
10,744
11,003
11,099
2005 I
II
III
IV
7,566
7,265
7,654
7,631
42,414
45,327
44,952
45,521
13,680
14,027
14,055
14,275
99,542
101,495
103,779
105,348
155,636
160,849
162,786
165,144
37,296
37,359
37,390
37,555
6,364
6,581
7,144
6,889
2,367
2,381
2,401
2,408
11,289
11,430
11,736
11,574
2006 I
II
III
IV
Chequable
deposits
Dépôts
transférables
par chèque
Non-chequable
deposits
Dépôts non
transférables
par chèque
Term
deposits
Dépôts
à terme
Total deposits
Ensemble des dépôts
V122589
V122591
V122592
V122593
V122590 V122597
4,206
4,211
4,168
4,692
6,558
5,646
4,951
4,005
550
1,549
3,980
5,843
6,957
7,631
15,568
16,004
16,451
19,426
20,848
22,140
23,055
25,519
28,901
33,578
37,899
42,049
41,761
45,521
15,034
14,833
14,922
9,698
9,217
9,016
9,125
9,238
10,338
11,306
12,036
12,677
13,381
14,275
47,384
51,043
55,807
61,656
60,827
63,921
67,404
72,443
77,846
79,817
85,442
89,819
99,560
105,348
77,985
81,880
87,180
90,780
90,892
95,077
99,584
107,200
117,085
124,701
135,377
144,545
154,702
165,144
20,468
21,895
24,267
25,791
25,261
25,169
26,525
28,062
29,991
31,782
33,660
35,379
36,595
37,555
5,646
22,140
9,016
63,921
95,077
6,098
5,590
5,542
4,951
22,121
24,216
23,918
23,055
8,987
9,206
9,197
9,125
64,716
65,030
65,871
67,404
5,194
4,449
4,282
4,005
23,386
25,486
25,252
25,519
9,132
9,226
9,199
9,238
4,264
3,980
786
550
25,979
27,510
27,762
28,901
1,200
2,311
2,048
1,549
Total
Total
Of which:
Tax-sheltered
Dont :
Abris
fiscaux
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
D3
Non-depository credit intermediation: Quarterly statement of assets and liabilities
Intermédiation financière non financée au moyen de dépôts : Situation trimestrielle
Millions of dollars
End of
period
En fin
de
période
Assets
S 44
En millions de dollars
Actif
Cash and deposits
Encaisse et dépôts
Cash and
demand
deposits
Encaisse
et dépôts
à vue
Items in
transit
Effets
en compensation
Term
deposits
Dépôts
à
terme
Total
Total
V1404813
V1404814
V1404815 V1404812
Investments
and
accounts
with
affiliates
Placements
et comptes
auprès
des
entités
du groupe
Portfolio
investments
Placements
de
portefeuille
Mortgages
Prêts hypothécaires
Residential
Habitation
Nonresidential
mortgages
Immeubles
non
résidentiels
Total
Total
Personal
loans
Prêts
personnels
Business
loans
Prêts
aux
entreprises
V1404824
V1404825
V1404823
V1404827
V1404828 V1404829
V1404831
V1404816
551
597
2,916
2,386
3,797
4,025
3,517
2,249
1,012
638
1,065
1,630
1,579
2,032
4,363
3,678
6,770
6,289
7,377
6,656
20,867
28,072
22,146
22,428
21,010
24,496
26,774
27,568
491
450
541
625
596
622
966
1,111
1,410
5,487
6,021
6,303
2,222
2,522
2,207
2,884
2,925
4,085
5,007
6,023
-10
-17
484
537
402
551
1,652
1,725
1,232
1,579
17,093
16,402
16,584
20,867
672
533
529
596
1,265
1,280
1,836
1,439
-13
-23
-13
-4
339
403
503
597
1,591
1,660
2,326
2,032
25,515
28,854
27,328
28,072
2001 I
II
III
IV
1,214
1,302
1,452
1,469
6
-4
-22
1,540
1,656
1,905
2,916
2,760
2,958
3,353
4,363
2002 I
II
III
IV
1,190
1,464
1,134
1,320
-3
-20
-40
-28
2,199
2,038
2,854
2,386
2003 I
II
III
IV
1,223
958
3,001
2,989
-24
-30
-15
-16
2004 I
II
III
IV
2,428
2,886
3,281
2,305
2005 I
II
III
IV
2006 I
II
III
IV
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
1,045
1,439
1,469
1,320
2,989
2,305
3,862
4,436
-17
-4
-22
-28
-16
-39
-3
-29
1999 I
II
III
IV
1,178
1,188
830
1,045
2000 I
II
III
IV
Non-mortage loans
Prêts non hypothécaires
Leasing
contracts
Contrats
de créditbail
Total
Total
Allowance
for losses on
investments
and loans
Provisions
pour
pertes sur
placements
et prêts
Other
assets
Autres
éléments
de
l’actif
Total
assets
Ensemble
de
l’actif
V1404826
V1404811
V1404832
V1404830
13,227
12,762
17,432
19,361
18,678
22,033
25,164
24,665
22,754
25,241
31,798
33,946
47,202
48,186
53,410
59,123
58,432
62,246
68,844
72,079
-1,031
-1,091
-1,279
-1,188
-1,474
-1,542
-1,536
-1,361
14,747
19,711
26,451
31,478
16,784
16,551
16,350
19,634
19,544
22,759
25,099
26,672
48,733
51,763
65,335
71,687
89,089
98,041
99,895
108,881
109,894
125,448
139,315
146,331
17,992
18,559
17,371
18,029
10,468
11,776
13,103
13,227
41,406
44,142
45,143
47,202
-923
-977
-997
-1,031
19,143
18,166
17,382
16,784
82,578
83,101
83,568
89,089
16,694
16,730
18,751
18,293
17,449
18,661
16,272
17,131
12,724
12,921
12,941
12,762
46,867
48,312
47,964
48,186
-986
-1,008
-1,070
-1,091
17,711
17,912
17,852
16,551
94,398
100,081
98,776
98,041
3,707
3,613
4,012
3,939
18,572
19,226
20,210
20,567
17,384
17,317
16,608
15,411
15,001
15,725
15,785
17,432
50,956
52,268
52,603
53,410
-1,119
-1,150
-1,188
-1,279
16,668
16,369
16,453
16,350
101,010
101,820
101,036
99,895
1,528
1,662
1,327
1,211
4,079
4,368
4,096
4,095
20,648
20,787
22,788
23,617
16,627
17,106
15,830
16,145
18,277
18,909
19,088
19,361
55,552
56,802
57,706
59,123
-1,256
-1,233
-1,220
-1,188
17,880
19,108
19,522
19,634
102,735
107,266
107,846
108,881
2,796
2,847
2,931
2,925
1,260
1,295
1,106
1,278
4,056
4,142
4,037
4,203
21,906
22,870
22,418
24,080
16,692
17,058
16,971
15,675
17,964
18,394
18,036
18,678
56,561
58,322
57,425
58,432
-1,147
-1,173
-1,188
-1,474
21,700
20,486
19,598
19,544
108,722
109,471
110,146
109,894
2,875
3,128
4,516
5,487
3,265
3,496
3,937
4,085
1,502
1,525
1,644
1,627
4,768
5,021
5,581
5,713
23,155
24,069
24,185
24,023
16,798
17,590
16,191
16,190
19,455
20,611
21,372
22,033
59,408
62,270
61,748
62,246
-1,516
-1,587
-1,556
-1,542
20,510
21,786
23,110
22,759
115,834
121,579
123,999
125,448
25,166
28,538
26,630
26,774
5,714
6,165
6,250
6,021
4,223
4,399
4,759
5,007
1,661
1,659
1,631
1,729
5,885
6,058
6,391
6,736
24,331
24,142
26,227
26,014
17,304
18,173
17,223
17,667
22,224
23,612
24,661
25,164
63,859
65,928
68,111
68,844
-1,470
-1,483
-1,490
-1,536
22,253
23,395
23,500
25,099
126,471
134,519
136,262
139,315
26,983
26,729
27,589
27,568
5,921
6,176
6,044
6,303
5,486
5,702
5,984
6,023
1,920
1,886
2,333
2,391
7,406
7,588
8,317
8,414
25,026
25,459
27,061
27,150
19,521
20,803
19,850
20,264
23,624
23,902
24,433
24,665
68,172
70,164
71,344
72,079
-1,582
-1,506
-1,535
-1,361
25,729
26,231
26,351
26,672
139,481
143,147
145,788
146,331
870
1,147
1,732
1,211
1,278
1,627
1,729
2,391
6,729
5,723
5,480
4,008
3,092
3,669
3,939
4,095
4,203
5,713
6,736
8,414
15,946
18,293
20,567
23,617
24,080
24,023
26,014
27,150
18,029
17,131
15,411
16,145
15,675
16,190
17,667
20,264
2,530
2,373
2,613
2,222
1,005
737
1,081
870
3,535
3,110
3,695
3,092
12,946
13,806
14,669
15,946
540
528
608
622
2,290
2,704
2,515
2,522
870
1,119
1,253
1,147
3,160
3,823
3,768
3,669
27,340
26,879
24,925
22,146
697
883
879
966
2,507
2,510
2,317
2,207
1,200
1,103
1,695
1,732
3,386
3,482
3,948
3,678
22,084
23,651
22,782
22,428
1,010
1,088
1,012
1,111
2,551
2,706
2,769
2,884
1,563
2,134
2,969
3,797
2,762
3,062
5,955
6,770
23,557
23,287
23,022
21,010
1,233
1,345
1,298
1,410
-17
-16
-7
-39
3,360
3,934
3,487
4,025
5,771
6,803
6,761
6,289
24,018
24,158
23,839
24,496
2,495
3,050
4,749
3,862
-20
-31
-24
-3
2,590
2,897
2,148
3,517
5,065
5,917
6,872
7,377
3,796
4,170
4,494
4,436
-19
-26
-7
-29
3,075
3,621
3,191
2,249
6,852
7,765
7,678
6,656
S 45
Liabilities
Passif
End of
period
En fin
de
période
Bankers’
acceptances
and paper
Acceptations
bancaires
et papier
Long-term
debt
Engagements
à long terme
Loans and
accounts
with
affiliates
Emprunts
et comptes
auprès des
entités
du groupe
Loans
and
overdrafts
Emprunts
et
découverts
Accounts
payable
and
accrued
liabilities
Comptes
créditeurs
et charges
à payer
Other
liabilities
Autres
éléments
du passif
Shareholders’
equity
Avoir
propre des
actionnaires
Total
liabilities and
shareholders’
equity
Ensemble
du passif
et avoir
propre des
actionnaires
V1404834
V1404835
V1404836
V1404837
V1404838
V1404839
V1404840
V1404833
10,782
12,677
17,479
21,965
29,012
27,131
18,777
19,767
16,357
17,026
17,982
17,319
17,703
17,642
25,448
26,933
32,793
35,519
40,127
41,299
42,620
48,952
58,303
63,286
6,654
5,646
7,068
7,270
12,464
12,772
18,013
19,462
18,316
23,630
25,864
25,563
3,311
3,099
3,241
3,024
3,344
5,039
5,538
6,708
4,471
4,129
6,179
6,227
857
941
1,333
1,245
1,906
1,998
3,040
3,122
3,627
5,832
5,758
5,828
3,507
3,057
1,695
2,632
4,137
4,244
5,123
5,665
6,335
5,496
5,140
5,278
5,919
8,701
9,071
8,618
5,433
11,339
9,277
12,858
18,168
20,385
20,088
22,830
48,733
51,763
65,335
71,687
89,089
98,041
99,895
108,881
109,894
125,448
139,315
146,331
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
26,379
27,289
25,853
29,012
32,632
32,621
33,156
32,793
9,423
10,211
9,342
12,464
3,417
2,844
4,530
3,344
1,663
1,739
1,761
1,906
3,405
3,738
4,092
4,137
5,660
4,659
4,834
5,433
82,578
83,101
83,568
89,089
1999
I
II
III
IV
29,252
29,153
27,661
27,131
33,456
36,438
35,479
35,519
11,538
12,217
12,409
12,772
5,754
4,722
4,958
5,039
1,945
2,033
2,263
1,998
4,380
4,197
4,505
4,244
8,072
11,321
11,502
11,339
94,398
100,081
98,776
98,041
2000
I
II
III
IV
23,463
23,143
20,663
18,777
39,297
38,809
40,161
40,127
17,487
19,184
18,381
18,013
5,985
5,594
5,497
5,538
2,679
2,585
3,019
3,040
4,506
4,536
4,649
5,123
7,594
7,969
8,666
9,277
101,010
101,820
101,036
99,895
2001
I
II
III
IV
19,562
20,722
20,612
19,767
41,072
41,454
41,122
41,299
16,784
18,624
19,241
19,462
6,046
6,449
6,005
6,708
3,086
3,101
3,426
3,122
5,517
5,200
5,568
5,665
10,668
11,716
11,872
12,858
102,735
107,266
107,846
108,881
2002
I
II
III
IV
20,313
17,704
16,195
16,357
39,053
40,299
41,540
42,620
19,349
19,204
19,072
18,316
6,086
6,066
6,539
4,471
3,783
4,239
3,331
3,627
5,331
6,238
6,438
6,335
14,805
15,722
17,031
18,168
108,720
109,471
110,146
109,894
2003
I
II
III
IV
17,369
18,302
18,097
17,026
43,276
45,666
47,991
48,952
21,648
22,667
22,647
23,630
3,962
4,192
4,014
4,129
5,723
5,698
5,631
5,832
5,277
5,612
5,298
5,496
18,580
19,440
20,320
20,385
115,834
121,579
123,999
125,448
2004
I
II
III
IV
17,115
16,733
17,315
17,982
48,299
53,658
54,429
58,303
25,095
25,765
26,868
25,864
4,067
4,427
6,336
6,179
5,895
5,917
5,908
5,758
4,268
4,874
5,167
5,140
21,733
23,144
20,239
20,088
126,471
134,519
136,262
139,315
2005
I
II
III
IV
17,224
17,056
17,542
17,319
59,509
61,781
63,200
63,286
25,232
25,928
25,716
25,563
6,132
6,190
6,117
6,227
5,424
5,316
5,535
5,828
5,345
5,567
5,445
5,278
20,615
21,310
22,233
22,830
139,481
143,147
145,788
146,331
2006
I
II
III
IV
D4
Life insurers (including accident and sickness branches) and segregated funds
Compagnies d’assurance vie (y compris leurs divisions d’assurance accidents et d’assurance maladie) et caisses séparées
Millions of dollars
Life insurance
End
of
period
En fin
de
période
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Cash and
deposits
Encaisse
et
dépôts
S 46
En millions de dollars
Assurance vie
Securities
Titres
Government of Canada
Gouvernement
du Canada
Mortgages
Prêts hypothécaires
Provincial
and
municipal
Provinces
et
municipalités
Shortterm
paper
and
bankers’
acceptances
Papier
à court
terme
et
acceptations
bancaires
Corporate
bonds
Obligations
des
sociétés
Corporate
shares
Actions
des
sociétés
Total
Total
Residential
Habitation
Nonresidential
Immeubles
non
résidentiels
Total
Total
Real
estate
held
for
income
Biensfonds
détenus
pour
revenus
Policy
loans
Avances
sur
polices
Other
assets
Autres
éléments
de l’actif
Total
assets or
liabilities
at book
value
Total de
l’actif ou
du passif
(valeur
comptable)
Actuarial
liabilities
Engagements
actuariels
Other
Equity
liabilities Avoir
Autres
propre
engagements
Treasury
bills
Bons
du
Trésor
Bonds
Obligations
V37001
V37003
V37004
V37005
V37006
V37007
V37008
V37002
V37010
V37011
V37009
V37012
V37013
V37014
V37000
V37016
V37017
V37018
1,473
1,663
2,578
2,769
2,575
1,980
2,236
2,071
1,588
1,355
1,535
1,575
1,312
1,498
2,704
2,799
3,155
1,934
1,378
1,604
2,560
2,205
1,939
2,215
2,482
2,432
1,699
2,833
14,125
16,787
19,472
19,772
21,370
22,337
21,202
19,187
20,239
22,285
23,032
21,493
19,575
16,647
15,198
16,104
18,743
21,517
21,952
22,246
23,939
28,338
29,964
32,508
37,212
40,532
42,775
45,105
1,490
1,513
1,353
2,326
2,464
2,406
3,306
5,116
5,454
5,760
6,822
8,259
8,623
7,674
32,454
32,185
34,654
35,554
38,770
38,444
43,102
44,525
48,449
51,862
53,824
56,165
61,376
65,118
6,835
6,988
6,460
6,461
6,030
6,310
6,327
8,871
10,201
9,074
10,203
10,923
13,305
14,732
72,806
76,376
83,837
87,564
91,964
93,347
100,436
108,242
116,246
123,704
133,575
139,804
147,353
152,109
19,536
20,048
20,742
21,097
20,077
18,559
16,754
17,153
16,436
15,718
14,605
14,622
13,976
14,622
30,721
28,890
27,476
26,198
24,199
23,925
22,989
22,285
22,246
22,240
24,040
24,326
25,754
26,506
50,257
48,938
48,218
47,295
44,276
42,484
39,743
39,438
38,682
37,958
38,645
38,948
39,730
41,128
8,914
9,007
8,711
8,047
6,984
5,781
5,822
5,510
5,740
5,578
5,508
5,271
5,663
6,015
3,220
3,389
3,694
3,887
3,959
4,286
4,301
4,194
4,323
4,479
4,524
4,690
4,921
5,155
19,486
21,277
21,172
23,523
28,543
30,035
28,910
30,881
36,532
47,999
51,737
54,750
57,601
67,734
156,156
160,650
168,210
173,085
178,301
177,913
181,448
190,336
203,111
221,073
235,524
245,038
256,580
273,639
114,232
118,269
122,761
123,584
122,035
120,792
120,978
125,197
129,458
134,708
144,992
148,367
153,259
159,499
18,367
17,275
18,678
20,783
24,896
22,959
26,259
28,205
32,987
35,854
40,128
42,269
44,138
47,736
23,557
25,106
26,771
28,718
31,370
34,162
34,211
36,934
40,666
50,511
50,404
54,402
59,183
66,404
1998 IV
1,980
1,604
22,337
22,246
2,406
38,444
6,310
93,347
18,559
23,925
42,484
5,781
4,286
30,035
177,913
120,792
22,959
34,162
1999 I
II
III
IV
2,000
2,337
2,283
2,236
1,482
1,787
2,088
2,560
23,101
22,572
21,468
21,202
23,413
23,819
23,341
23,939
2,310
2,537
3,263
3,306
39,377
40,421
42,072
43,102
6,449
6,409
6,333
6,327
96,132
97,545
98,565
100,436
17,630
17,661
16,555
16,754
23,379
23,417
22,951
22,989
41,009
41,078
39,506
39,743
5,756
5,866
5,804
5,822
4,407
4,263
4,228
4,301
29,291
29,194
28,998
28,910
178,595
180,283
179,384
181,448
118,958
120,341
119,049
120,978
26,191
26,432
26,198
26,259
33,446
33,510
34,137
34,211
2000 I
II
III
IV
2,466
2,569
2,612
2,071
2,707
2,178
2,155
2,205
20,317
19,997
18,643
19,187
25,852
26,413
27,467
28,338
3,091
3,361
4,161
5,116
45,114
44,895
45,104
44,525
7,824
8,533
8,856
8,871
104,905
105,377
106,386
108,242
17,244
17,190
16,878
17,153
22,819
22,720
22,620
22,285
40,063
39,910
39,498
39,438
5,619
5,547
5,532
5,510
4,455
4,468
4,153
4,194
30,862
30,870
33,085
30,881
188,370
188,741
191,266
190,336
124,617
124,976
125,130
125,197
26,810
26,397
27,572
28,205
36,943
37,368
38,564
36,934
2001 I
II
III
IV
1,904
1,772
1,801
1,588
1,926
2,289
2,367
1,939
18,587
17,988
18,723
20,239
28,925
28,610
29,275
29,964
4,730
5,235
4,657
5,454
45,588
46,513
47,099
48,449
9,337
9,625
10,065
10,201
109,093
110,260
112,186
116,246
17,110
15,644
16,402
16,436
22,373
23,768
22,345
22,246
39,483
39,412
38,747
38,682
5,579
5,626
5,685
5,740
4,295
4,286
4,314
4,323
33,423
33,644
36,152
36,532
193,777
195,000
198,885
203,111
126,059
126,956
127,467
129,458
29,793
29,782
31,573
32,987
37,925
38,262
39,845
40,666
2002 I
II
III
IV
1,469
1,258
1,220
1,355
2,053
2,445
2,333
2,215
20,773
22,391
22,374
22,285
29,743
30,107
30,858
32,508
5,026
5,035
5,037
5,760
49,995
50,104
50,433
51,862
10,341
9,563
8,615
9,074
117,931
119,645
119,650
123,704
16,029
15,948
15,743
15,718
22,073
22,230
22,242
22,240
38,102
38,178
37,985
37,958
5,549
5,646
5,572
5,578
4,406
4,417
4,449
4,479
37,881
44,425
47,994
47,999
205,338
213,569
216,870
221,073
130,268
131,111
132,558
134,708
33,660
34,457
34,544
35,854
41,410
48,001
49,768
50,511
2003 I
II
III
IV
1,447
1,846
1,734
1,535
3,417
3,698
2,329
2,482
22,719
22,597
23,514
23,032
33,030
34,820
36,259
37,212
6,243
6,394
5,909
6,822
53,178
52,943
53,583
53,824
9,425
9,730
9,717
10,203
128,012
130,182
131,311
133,575
15,030
14,849
14,605
14,605
22,498
22,674
23,584
24,040
37,528
37,523
38,189
38,645
5,680
5,915
5,654
5,508
4,473
4,515
4,536
4,524
44,147
43,799
52,286
51,737
221,287
223,780
233,710
235,524
138,331
140,737
142,835
144,992
35,795
36,697
39,657
40,128
47,161
46,346
51,218
50,404
2004 I
II
III
IV
1,604
1,574
1,738
1,575
2,180
2,699
3,430
2,432
23,505
22,733
22,945
21,493
38,209
38,547
38,944
40,532
7,169
8,545
8,253
8,259
53,515
53,552
54,156
56,165
10,269
10,538
10,633
10,923
134,847
136,614
138,361
139,804
14,522
14,389
14,401
14,622
24,016
24,177
24,528
24,326
38,538
38,566
38,929
38,948
5,445
5,318
5,333
5,271
4,594
4,636
4,673
4,690
54,249
56,206
54,742
54,750
239,277
242,914
243,776
245,038
146,087
146,685
147,228
148,367
41,461
42,042
42,610
42,269
51,729
54,187
53,938
54,402
2005 I
II
III
IV
1,132
1,208
1,912
1,312
2,370
2,145
2,537
1,699
21,058
21,047
19,906
19,575
41,748
41,914
42,898
42,775
8,137
8,415
8,500
8,623
57,321
58,861
60,483
61,376
11,693
12,226
12,683
13,305
142,327
144,608
147,007
147,353
14,121
13,908
13,756
13,976
24,925
25,234
25,556
25,754
39,046
39,142
39,312
39,730
5,422
5,564
5,663
5,663
4,774
4,838
4,877
4,921
55,329
56,972
54,740
57,601
248,030
252,332
253,511
256,580
149,548
150,704
152,375
153,259
43,642
44,720
42,763
44,138
54,840
56,908
58,373
59,183
2006 I
II
III
IV
1,208
1,228
1,434
1,498
1,972
1,938
2,793
2,833
18,381
17,020
16,487
16,647
43,229
44,115
44,853
45,105
7,316
7,731
7,561
7,674
62,498
63,837
64,223
65,118
13,794
14,183
14,614
14,732
147,190
148,824
150,531
152,109
13,865
13,992
14,255
14,622
25,790
25,802
26,160
26,506
39,655
39,794
40,415
41,128
5,831
5,850
5,975
6,015
4,990
5,065
5,102
5,155
59,796
60,719
66,695
67,734
258,670
261,480
270,152
273,639
153,610
155,830
157,814
159,499
44,844
44,062
48,082
47,736
60,216
61,588
64,256
66,404
S 47
Segregated funds Caisses séparées
Cash and
deposits
Encaisse
et
dépôts
Securities
Titres
Government of Canada
Gouvernement
du Canada
Mortgages Prêts hypothécaires
Provincial
and
municipal
Provinces
et
municipalités
Shortterm
paper
and
bankers’
acceptances
Papier
à court
terme
et
acceptations
bancaires
Corporate
bonds
Obligations
des
sociétés
Corporate
shares
Actions
des
sociétés
Total
Total
Residential
Habitation
Nonresidential
Immeubles
non
résidentiels
Total
Total
V37027
V37021
V37029
Real
estate
held
for
income
Biensfonds
détenus
pour
revenus
Other
assets
Autres
éléments
de l’actif
Total
assets or
liabilities
at market
value
Total de
l’actif ou
du passif
à la valeur
marchande
Memo:
Total
assets
at book
value
Pour
mémoire :
Total de
l’actif
à la valeur
comptable
Liabilities
to policyholders
Engagements
envers les
détenteurs
de polices
V37032
V37033
V37019
V37034
End
of
period
En fin
de
période
Treasury
bills
Bons
du
Trésor
Bonds
Obligations
V37020
V37022
V37023
V37024
V37025
V37026
V37030
V37028
V37031
550
624
678
890
982
623
759
1,894
942
930
906
995
1,351
1,238
1,429
1,493
1,647
1,706
1,701
1,929
2,145
2,387
2,347
1,720
2,335
2,030
1,575
1,678
3,979
4,421
5,156
5,145
5,604
5,460
6,269
5,425
5,244
6,021
5,862
5,862
7,533
7,047
1,600
1,405
1,861
1,891
1,731
2,185
2,739
3,636
3,498
3,236
3,964
4,602
4,903
4,821
825
919
817
1,500
2,267
3,014
3,930
3,545
3,836
3,297
3,977
4,847
4,631
4,557
1,404
1,462
1,563
1,607
2,190
3,363
2,953
4,944
5,553
5,466
7,008
7,347
8,146
9,332
10,431
11,474
14,277
17,624
25,106
29,692
47,443
55,089
55,408
52,945
63,085
76,019
91,215
103,436
19,668
21,174
25,321
29,473
38,599
45,643
65,479
75,026
75,886
72,685
86,231
100,707
118,003
130,871
615
803
803
648
613
642
755
757
863
844
904
918
963
1,046
884
824
808
682
684
644
762
1,463
1,525
1,783
1,838
2,061
2,294
2,475
1,499
1,627
1,611
1,330
1,297
1,286
1,517
2,220
2,388
2,627
2,742
2,979
3,257
3,521
957
964
835
598
698
1,138
1,360
1,606
1,990
2,103
2,278
2,541
3,139
4,097
2,365
2,610
2,720
2,722
3,733
5,547
9,565
7,955
7,858
9,221
8,659
9,212
10,553
10,240
25,039
26,999
31,165
35,013
45,309
54,237
78,680
88,701
89,064
87,566
100,816
116,434
136,303
149,967
24,052
26,963
29,777
33,078
43,363
52,873
74,078
87,042
89,101
92,826
96,753
108,196
121,943
133,506
24,776
26,766
30,858
34,684
44,755
53,784
78,101
87,860
87,849
86,412
99,514
115,178
134,958
149,273
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
623
1,929
5,460
2,185
3,014
3,363
29,692
45,643
642
644
1,286
1,138
5,547
54,237
52,873
53,784
1998
IV
630
557
520
759
1,758
1,841
2,253
2,145
6,524
6,405
6,568
6,269
2,634
2,836
2,916
2,739
3,487
3,914
3,553
3,930
3,503
3,260
3,079
2,953
34,848
39,246
41,320
47,443
52,754
57,502
59,689
65,479
672
707
729
755
698
769
777
762
1,370
1,476
1,506
1,517
1,209
1,247
1,349
1,360
6,665
6,848
7,687
9,565
62,628
67,630
70,751
78,680
61,199
65,534
69,045
74,078
61,897
66,973
70,114
78,101
1999
I
II
III
IV
723
1,711
1,866
1,894
2,134
2,723
2,624
2,387
6,345
5,662
5,534
5,425
3,033
3,254
3,337
3,636
4,641
3,904
3,608
3,545
4,138
4,380
4,796
4,944
49,519
53,984
56,600
55,089
69,810
73,907
76,499
75,026
711
674
687
757
1,304
1,308
1,342
1,463
2,015
1,982
2,029
2,220
1,362
1,418
1,505
1,606
10,539
8,748
8,011
7,955
84,449
87,766
89,910
88,701
80,548
83,373
85,233
87,042
83,746
86,926
89,125
87,860
2000
I
II
III
IV
1,390
871
1,049
942
2,348
1,999
2,117
2,347
4,947
4,690
5,035
5,244
3,271
3,725
3,386
3,498
4,049
4,474
3,852
3,836
5,189
4,960
5,366
5,553
52,420
54,888
51,195
55,408
72,224
74,736
70,951
75,886
769
810
672
863
1,490
1,524
1,743
1,525
2,259
2,334
2,415
2,388
1,645
1,695
1,779
1,990
7,121
7,698
6,677
7,858
84,639
87,334
82,871
89,064
84,920
87,853
85,235
89,101
83,810
86,251
81,838
87,849
2001
I
II
III
IV
919
1,067
1,014
930
2,205
1,968
1,925
1,720
5,373
5,490
5,417
6,021
3,350
3,200
3,511
3,236
3,738
3,491
3,278
3,297
5,422
5,291
5,463
5,466
58,364
56,208
50,432
52,945
78,452
75,648
70,026
72,685
752
789
830
844
1,623
1,714
1,741
1,783
2,375
2,503
2,571
2,627
2,089
2,041
2,144
2,103
9,694
9,162
8,417
9,221
93,529
90,421
84,172
87,566
93,251
91,548
88,381
92,826
92,236
89,223
82,881
86,412
2002
I
II
III
IV
854
835
862
906
2,092
1,899
1,599
2,335
5,657
5,533
5,606
5,862
3,457
3,756
3,810
3,964
3,354
4,113
4,402
3,977
5,384
6,908
7,039
7,008
51,855
55,517
57,765
63,085
71,799
77,726
80,221
86,231
837
885
881
904
1,809
1,826
1,853
1,838
2,646
2,711
2,734
2,742
2,227
2,235
2,289
2,278
7,721
7,469
8,902
8,659
85,247
90,976
95,008
100,816
91,696
92,741
94,211
96,753
84,014
89,706
93,712
99,514
2003
I
II
III
IV
867
975
982
995
1,706
1,979
1,944
2,030
5,803
5,553
5,291
5,862
4,439
4,471
4,551
4,602
4,148
4,011
4,117
4,847
7,383
7,035
6,850
7,347
70,682
71,341
71,524
76,019
94,161
94,390
94,277
100,707
912
897
933
918
1,825
1,885
1,969
2,061
2,737
2,782
2,902
2,979
2,404
2,405
2,437
2,541
8,743
9,621
9,737
9,212
108,912
110,173
110,335
116,434
101,806
104,496
105,305
108,196
107,619
108,942
108,455
115,178
2004
I
II
III
IV
1,222
1,361
1,407
1,351
1,570
1,354
1,481
1,575
6,403
6,875
7,433
7,533
4,727
5,054
4,802
4,903
4,685
4,966
4,813
4,631
7,524
7,812
8,050
8,146
79,874
82,393
88,653
91,215
104,783
108,454
115,232
118,003
956
949
924
963
2,088
2,157
2,185
2,294
3,044
3,106
3,109
3,257
2,628
2,713
2,744
3,139
9,354
9,920
9,940
10,553
121,031
125,554
132,432
136,303
111,855
114,800
117,787
121,943
119,089
123,953
131,028
134,958
2005
I
II
III
IV
1,039
1,265
1,218
1,238
1,100
1,590
1,643
1,678
7,259
7,230
7,231
7,047
4,752
4,313
5,034
4,821
5,269
4,317
4,939
4,557
8,607
9,226
9,208
9,332
99,816
96,398
100,015
103,436
126,803
123,074
128,070
130,871
994
973
1,018
1,046
2,333
2,325
2,404
2,475
3,327
3,298
3,422
3,521
3,234
3,818
3,967
4,097
10,764
10,942
10,992
10,240
145,167
142,397
147,669
149,967
127,657
130,336
132,470
133,506
144,351
141,568
146,806
149,273
2006
I
II
III
IV
D5
Investment funds: Quarterly statement of estimated assets and liabilities
Sociétés de placement : Situation trimestrielle (estimations)
End
of period
En fin
de
période
Assets
Millions of dollars
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
En millions de dollars
Actif
Cash and
demand
deposits
Encaisse
et dépôts
à vue
1,504
1,654
1,482
2,364
2,993
5,648
9,376
14,516
12,284
9,442
8,921
7,235
5,989
6,459
S 48
Term deposits
Dépôts à terme
Canadian securities
Titres canadiens
Government of Canada
Gouvernement canadien
441
392
491
432
578
526
876
2,862
1,833
2,969
2,182
1,654
4,282
3,893
Treasury
bills
Bons
du Trésor
Bonds
Obligations
14,724
14,629
18,553
30,009
33,570
36,775
25,048
14,422
15,920
15,331
14,769
15,615
14,709
12,977
10,451
13,748
12,386
14,749
19,975
24,026
23,001
24,799
26,040
23,316
24,137
29,321
34,310
40,883
Mortgages
Prêts
hypothécaires
Foreign
securities
Titres
étrangers
Other
assets
Autres
éléments
de l’actif
Total
assets or
liabilities
(at cost)
Total de
l’actif ou
du passif
(valeurs
au coût
d’acquisition)
Memo: Total
assets (at
market value)
Pour mémoire :
Total de l’actif
(au cours
du marché)
Unit holders’
equity
Avoir
propre des
détenteurs
de parts
Other shortterm paper
and bankers’
acceptances
Autre papier
à court
terme et
acceptations
bancaires
Provincial
and
municipal
bonds
Obligations
des
provinces
et des
municipalités
Corporate
bonds and
debentures
Obligations
et
débentures
de sociétés
Preferred
and
common
shares
Actions
privilégiées
ou ordinaires
8,623
8,509
9,592
13,687
22,682
24,041
47,346
54,523
64,226
61,216
56,983
55,915
52,901
54,915
4,372
4,313
3,598
3,720
4,561
6,803
8,020
11,013
13,115
11,716
12,859
14,476
15,154
17,010
4,364
5,404
5,988
7,228
10,109
14,587
18,397
20,332
22,376
25,423
30,143
31,765
39,321
45,127
28,343
36,704
43,280
57,714
80,988
98,111
105,673
112,870
109,796
117,800
125,395
143,766
162,760
201,141
11,947
11,511
10,513
9,866
10,008
8,086
7,042
5,016
4,391
3,965
4,239
4,079
4,824
4,644
22,103
32,371
36,902
47,335
61,592
75,964
122,965
137,981
145,325
136,245
126,435
125,725
133,245
152,568
2,677
2,891
3,561
5,450
4,322
4,864
4,438
8,180
5,144
4,502
5,394
5,802
8,460
10,279
109,552
132,125
146,346
192,555
251,379
299,430
372,180
406,515
420,449
411,924
411,456
435,352
475,955
549,895
121,949
138,137
159,147
216,745
280,786
323,011
409,386
437,922
442,547
404,895
453,839
509,595
583,504
681,261
106,596
129,449
143,207
187,630
247,376
292,161
365,376
398,335
416,505
409,090
408,645
432,829
472,181
544,487
1998 IV
5,648
526
36,775
24,026
24,041
6,803
14,587
98,111
8,086
75,964
4,864
299,430
323,011
292,161
1999 I
II
III
IV
5,956
6,778
5,532
9,376
1,734
810
931
876
28,653
30,773
29,128
25,048
23,699
22,859
22,790
23,001
39,051
38,264
39,250
47,346
6,897
8,426
7,792
8,020
14,838
15,816
16,086
18,397
100,990
103,164
106,383
105,673
7,396
7,170
7,384
7,042
84,671
96,696
104,702
122,965
4,855
4,982
5,076
4,438
318,740
335,738
345,054
372,180
343,109
364,742
377,042
409,386
314,589
331,260
339,412
365,376
2000 I
II
III
IV
9,431
10,702
11,372
14,516
1,730
2,083
2,777
2,862
21,822
19,778
15,782
14,422
25,776
25,531
25,912
24,799
49,439
51,469
52,366
54,523
8,641
8,599
10,164
11,013
18,138
18,040
20,852
20,332
106,848
107,876
113,371
112,870
6,004
5,454
5,179
5,016
124,468
129,281
141,836
137,981
9,230
9,117
8,226
8,180
381,528
387,929
407,836
406,515
425,736
435,028
451,591
437,922
371,794
379,173
400,004
398,335
2001 I
II
III
IV
11,847
11,441
11,776
12,284
2,833
3,006
2,062
1,833
14,790
14,910
14,695
15,920
25,828
26,954
26,449
26,040
56,143
57,642
59,513
64,226
11,313
11,638
12,063
13,115
21,323
21,958
20,486
22,376
112,470
110,803
108,428
109,796
4,817
4,733
4,686
4,391
145,101
145,709
146,310
145,325
7,017
6,829
7,463
5,144
413,481
415,624
413,932
420,449
421,380
425,335
403,987
442,547
407,420
410,310
408,086
416,505
2002 I
II
III
IV
12,761
11,363
11,649
9,442
3,169
3,611
3,393
2,969
16,705
16,222
14,684
15,331
25,870
25,530
24,671
23,316
66,918
63,143
60,919
61,216
11,109
11,567
11,299
11,716
23,689
24,659
25,405
25,423
115,508
119,947
119,049
117,800
4,198
3,852
3,788
3,965
144,780
143,031
139,111
136,245
7,025
6,403
5,920
4,502
431,731
429,329
419,888
411,924
461,788
433,177
396,773
404,895
425,943
424,361
415,812
409,090
2003 I
II
III
IV
10,213
8,627
8,939
8,921
2,453
2,966
2,245
2,182
16,153
15,326
15,291
14,769
21,231
22,020
23,812
24,137
60,125
60,396
58,105
56,983
12,367
12,338
12,639
12,859
25,553
26,000
25,953
30,143
117,113
118,806
123,581
125,395
3,978
3,972
3,818
4,239
133,927
131,715
130,845
126,435
4,611
5,482
5,871
5,394
407,726
407,645
411,101
411,456
380,396
403,019
423,735
453,839
403,836
403,314
406,523
408,645
2004 I
II
III
IV
9,781
9,828
8,015
7,235
2,051
2,018
1,693
1,654
15,946
16,417
16,130
15,615
26,518
26,802
27,432
29,321
56,510
56,875
57,247
55,915
14,064
14,335
14,546
14,476
29,131
30,865
30,787
31,765
129,884
134,642
137,931
143,766
4,279
4,170
4,038
4,079
127,516
127,290
127,926
125,725
6,874
6,576
7,090
5,802
422,552
429,819
432,833
435,352
477,454
488,396
481,822
509,595
418,317
426,324
428,700
432,829
2005 I
II
III
IV
6,697
6,571
5,924
5,989
2,867
3,918
3,598
4,282
16,590
17,532
16,854
14,709
31,518
31,668
31,455
34,310
56,275
55,942
55,091
52,901
14,177
14,275
15,111
15,154
34,198
34,746
37,150
39,321
148,698
150,702
156,093
162,760
4,186
4,222
4,597
4,824
126,360
126,375
130,396
133,245
8,465
9,083
9,025
8,460
450,032
455,032
465,296
475,955
530,123
543,739
569,898
583,504
444,427
448,476
459,075
472,181
2006 I
II
III
IV
6,046
6,283
6,753
6,459
4,343
4,222
3,682
3,893
14,629
13,292
12,037
12,977
36,666
37,630
38,553
40,883
53,600
50,425
53,868
54,915
15,643
16,107
16,811
17,010
42,098
42,234
42,011
45,127
172,909
182,922
193,150
201,141
4,456
4,315
4,509
4,644
140,435
146,139
146,208
152,568
10,557
11,194
11,772
10,279
501,382
514,764
529,354
549,895
624,373
604,584
626,767
681,261
494,377
508,473
521,996
544,487
E1
Selected monetary aggregates and their components
Agrégats monétaires et leurs composantes
S 50
Millions of dollars En millions de dollars
Monthly
average or
average of
month-ends
Moyenne
mensuelle
ou
moyenne
de fin
de mois
M3 (gross) M3 (brut)
M2 (gross)
M2 (brut)
Currency outside banks Personal deposits
Monnaie hors banques Dépôts des particuliers
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V37173
2004 A
S
O
N
D
Chequable
Transférables par chèque
Non-personal demand and notice deposits
Dépôts à vue et à préavis autres
que ceux des particuliers
Nonchequable
Nontransférables
par chèque
Fixed
term
À terme
fixe
V36823
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V37148
V41552775
V41552802
V36818
42,229
42,364
42,532
42,357
43,139
41,926
42,055
42,252
42,185
42,442
111,721
110,709
111,559
111,625
113,897
111,191
110,844
112,393
111,887
112,931
77,020
77,125
77,070
77,707
78,271
2005 J
F
M
A
M
J
J
A
S
O
N
D
42,557
42,178
42,124
42,500
43,068
43,645
44,141
44,164
44,350
44,440
44,567
45,321
42,677
42,780
42,907
43,033
43,291
43,554
43,720
43,877
44,027
44,154
44,400
44,593
113,792
113,896
112,699
115,664
116,417
117,631
119,365
118,252
118,769
119,477
120,261
122,612
113,850
114,352
115,069
115,823
115,883
116,421
118,267
117,682
118,910
120,308
120,641
121,562
2006 J
F
M
A
M
J
J
A
S
O
N
D
44,660
44,375
44,515
45,002
45,383
45,848
46,380
46,114
46,769
46,936
47,117
48,035
44,779
45,009
45,338
45,543
45,611
45,743
45,937
45,841
46,428
46,650
46,947
47,254
121,968
121,717
119,712
123,053
124,391
124,537
125,059
124,352
124,413
124,403
126,078
129,534
2007 J
F
M
A
M
J
J
A
S
47,246
46,824
46,868
47,417
47,907
48,313
48,656
48,917
47,369
47,493
47,730
47,973
48,150
48,197
48,189
48,638
127,598
127,870
126,491
130,733
131,892
134,357
134,751
134,051
Chequable
Transférables par chèque
Nonpersonal
term
deposits
Dépôts à
terme
autres
que
ceux des
particuliers
Adjustments
to M2 (gross)
Ajustements
à M2 (brut)
M2 (gross) Total
Total de M2 (brut)
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V36828
V41552789
V41552786
V41552796 V36830
Nonchequable
Non
transférables
par chèque
Foreign
currency
deposits of
residents
Dépôts en
monnaies
étrangères
des résidents
Adjustments
to M3 (gross)
Ajustements
à M3 (brut)
V36876
V37250
M3 (gross) Total
Total de M3 (brut)
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V41552785
V41552794
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V41552777
V41552803
247,108
247,392
248,035
249,437
250,521
137,533
138,088
139,223
140,065
147,662
137,988
138,087
138,425
138,303
141,951
7,596
7,569
7,579
7,633
7,716
887
848
893
717
321
624,093
624,094
626,891
629,542
641,527
624,558
625,314
627,955
628,553
634,741
170,068
175,618
180,192
187,613
193,504
79,424
77,992
79,003
78,485
80,029
-5,764
-5,742
-5,839
-6,328
-6,196
867,820
871,962
880,247
889,312
908,865
868,184
872,344
881,828
888,276
898,857
79,377
80,452
81,158
81,161
81,340
81,989
82,415
82,754
83,130
83,703
84,121
84,308
250,705
251,482
252,304
252,636
252,457
252,453
252,422
252,927
252,511
252,497
253,024
254,031
143,975
142,367
141,288
145,816
147,966
150,757
147,890
146,106
149,102
151,785
153,183
159,424
143,314
144,500
145,486
148,020
149,431
149,670
147,177
146,708
149,358
151,071
151,421
153,326
8,018
8,146
8,077
8,316
8,654
8,681
8,631
8,899
9,053
9,724
9,863
10,564
498
457
453
246
69
190
128
60
-37
22
170
112
638,921
638,977
638,104
646,340
649,971
655,347
654,993
653,162
656,878
661,648
665,189
676,372
638,537
641,155
643,097
647,396
650,834
653,148
652,946
653,871
658,232
662,859
664,526
669,248
190,547
206,049
214,352
212,346
216,317
224,664
228,202
231,155
229,037
227,110
227,512
224,575
78,153
75,790
74,569
77,977
77,159
77,027
79,123
78,864
79,321
81,779
81,737
83,994
-5,626
-6,833
-7,571
-8,390
-7,538
-7,398
-7,923
-8,195
-7,325
-7,611
-7,555
-6,965
901,996
913,983
919,454
928,273
935,909
949,640
954,395
954,986
957,911
962,926
966,883
977,976
903,184
917,522
924,689
931,156
937,713
945,506
952,419
955,363
958,517
964,371
966,061
967,715
122,022
122,195
122,303
123,230
123,771
123,294
123,832
123,754
124,590
125,230
126,538
128,397
85,194
85,694
86,018
86,106
83,155
83,033
82,874
83,372
83,483
84,032
85,514
86,634
255,215
257,974
261,568
264,651
265,812
268,093
271,357
274,304
277,188
277,612
278,716
279,201
154,276
154,368
154,619
159,384
161,921
167,109
169,731
169,122
171,801
175,373
178,987
185,622
153,736
156,695
159,134
161,591
163,228
165,725
168,837
170,003
172,289
174,657
177,075
178,446
9,603
9,612
8,927
9,187
9,033
9,286
9,054
8,849
9,297
9,280
8,992
9,384
193
204
36
-1,247
-1,291
-1,139
-1,277
-1,054
-1,334
-1,010
-1,115
-1,318
671,110
673,943
675,394
686,137
688,404
696,766
703,178
705,059
711,617
716,626
724,289
737,093
670,810
676,192
680,712
686,961
689,046
694,329
700,939
706,114
713,167
717,980
723,837
729,171
221,844
226,694
231,474
224,201
229,492
232,186
229,130
236,446
240,608
242,023
244,297
245,212
80,372
84,341
86,687
84,531
86,743
87,965
89,268
88,575
90,437
93,156
97,831
103,081
-6,955
-7,541
-8,138
-6,933
-8,141
-7,088
-7,770
-8,459
-7,549
-8,098
-10,332
-9,961
966,371
977,437
985,416
987,937
996,498
1,009,830
1,013,806
1,021,622
1,035,114
1,043,707
1,056,085
1,075,425
967,782
980,949
990,598
990,836
998,353
1,005,542
1,011,899
1,022,233
1,035,859
1,044,823
1,055,260
1,064,503
127,650
128,367
129,268
130,925
131,208
133,037
133,388
133,407
87,729
88,471
89,686
89,866
90,351
90,987
90,900
91,327
279,482
280,513
282,339
282,503
280,982
281,427
283,845
285,145
179,762
176,915
177,163
181,356
182,561
189,205
192,584 R
192,744
179,226
179,579
182,295
183,703
183,895
187,532
191,582 R
193,918
9,328
9,096
9,205
9,295
9,148
9,282
9,328
9,709
-1,097
-1,122
-1,218
-1,236
-1,240
-1,187
-1,089
-1,065
730,049
728,568
730,533
739,933
741,601
752,383
758,976 R
760,828
729,781
730,963
736,265
740,578
742,168
749,731
756,640 R
762,190
244,442
253,487
252,565
248,889
254,385
252,242
254,965
278,209
102,865
102,551
107,662
109,281
114,155
117,581
117,798 R
117,588
-11,959
-14,865
-11,950
-11,425
-11,954
-10,947
-10,020
-13,140
1,065,396
1,069,741
1,078,809
1,086,678
1,098,188
1,111,258
1,121,719 R
1,143,485
1,066,996
1,073,321
1,084,089
1,089,868
1,100,352
1,106,825
1,119,737 R
1,144,353
S 51
M2+ (gross)
M2+ (brut)
M2 (gross) Total
Total de M2 (brut)
Unadjusted
Données
Seasonally
Adjusted
non
Données
désaisonnalisées
désaisonnalisées
Trust and mortgage loan companies
Sociétés de fiducie ou de prêt hypothécaire
Credit unions and caisses populaires
Caisses populaires et credit unions
Total deposits Total des dépôts
Total deposits Total des dépôts
Unadjusted
Donnéesnon
désaisonnalisées
Données
Of which:
Taxsheltered
Dont :
Abris
fiscaux
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Of which :
Taxsheltered
Dont :
Abris
fiscaux
Seasonally
Adjusted
désaisonnalisées
Life
insurance
company
individual
annuities
Compagnies
d’assurance
vie
(rentes
individuelles)
Personal
deposits
at governmentowned
savings
institutions
Dépôts des
particuliers
aux
caisses
d’épargne
publiques
Money
market
mutual
funds
Fonds
communs
de
placement
du
marché
monétaire
Adjustments
to M2+
(gross)
Ajustements
à M2+
(brut)
M2+ (gross) Total
Total de M2+ (brut)
Unadjusted
Données
non
désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Monthly
average or
average of
month-ends
Moyenne
mensuelle
ou
moyenne
de fin
de mois
V41552786
V41552796
V37325
V37138
V37238
V37239
V37139
V37242
V37243
V37244
V37245
V37251
V41552788
V41552798
624,093
624,094
626,891
629,542
641,527
624,558
625,314
627,955
628,553
634,741
10,530
10,669
10,751
10,778
10,804
10,530
10,669
10,751
10,778
10,804
1,695
1,692
1,689
1,685
1,680
139,604
140,477
141,105
142,023
143,701
139,391
140,337
141,093
142,028
143,287
34,830
34,859
34,958
35,125
35,291
39,714
39,729
39,626
39,410
39,194
7,833
7,820
7,840
7,878
7,895
53,672
52,631
52,095
51,061
51,384
-1,028
-1,100
-1,245
-1,442
-1,693
874,418
874,319
877,063
879,249
892,813
874,312
875,054
877,849
878,187
885,777
2004 A
S
O
N
D
638,921
638,977
638,104
646,340
649,971
655,347
654,993
653,162
656,878
661,648
665,189
676,372
638,537
641,155
643,097
647,396
650,834
653,148
652,946
653,871
658,232
662,859
664,526
669,248
10,976
11,278
11,580
11,786
11,883
11,979
12,087
12,207
12,326
12,492
12,705
12,918
10,976
11,278
11,580
11,786
11,883
11,979
12,087
12,207
12,326
12,492
12,705
12,918
1,676
1,673
1,670
1,668
1,667
1,666
1,664
1,659
1,654
1,649
1,644
1,639
144,026
143,725
144,294
145,420
147,025
148,945
149,500
149,724
150,917
151,808
152,524
153,714
144,189
144,815
145,426
146,071
146,755
147,885
148,604
149,512
150,689
151,787
152,549
153,213
35,538
35,849
36,160
36,336
36,363
36,389
36,418
36,449
36,479
36,508
36,536
36,564
39,052
38,990
38,928
39,029
39,300
39,571
39,587
39,353
39,123
38,943
38,809
38,676
7,906
7,936
7,981
8,028
8,060
8,061
8,051
8,067
8,099
8,125
8,171
8,224
51,188
50,597
50,663
50,294
49,799
49,485
48,841
48,510
48,299
48,299
47,896
47,616
-1,630
-1,259
-957
-767
-670
-663
-731
-627
-614
-837
-1,164
-1,552
890,440
890,244
890,592
900,130
905,367
912,724
912,328
910,396
915,027
920,479
924,132
935,967
890,722
894,039
896,787
902,064
906,063
909,268
909,214
910,483
915,651
921,238
923,145
928,818
2005 J
F
M
A
M
J
J
A
S
O
N
D
671,110
673,943
675,394
686,137
688,404
696,766
703,178
705,059
711,617
716,626
724,289
737,093
670,810
676,192
680,712
686,961
689,046
694,329
700,939
706,114
713,167
717,980
723,837
729,171
13,419
14,035
14,651
13,859
13,981
14,103
14,217
14,325
14,431
14,582
14,778
14,974
13,419
14,035
14,651
13,859
13,981
14,103
14,217
14,325
14,431
14,582
14,778
14,974
1,626
1,607
1,587
1,571
1,559
1,547
1,538
1,532
1,527
1,521
1,515
1,509
154,157
154,184
155,114
156,397
158,227
159,982
161,076
162,043
162,674
163,440
165,413
166,413
154,306
155,372
156,352
157,136
157,976
158,829
160,108
161,829
162,382
163,415
165,453
165,839
36,698
36,928
37,157
37,287
37,307
37,327
37,341
37,348
37,355
37,411
37,514
37,617
38,530
38,381
38,233
38,100
37,989
37,879
37,828
37,835
37,843
37,757
37,580
37,402
8,291
8,392
8,461
8,524
8,605
8,680
8,749
8,803
8,871
8,919
8,988
9,047
46,533 R
45,696 R
45,283 R
44,232 R
43,894 R
44,391 R
44,608 R
45,124 R
46,142 R
46,550 R
46,936 R
47,742 R
-1,756
-1,702
-1,447
-183
-245
-308
-315
-265
-215
-153
-78
-2
930,284 R
932,930 R
935,690 R
947,066 R
950,854 R
961,492 R
969,341 R
972,925 R
981,362 R
987,721 R
997,906 R
1,012,668 R
930,641 R
936,833 R
942,245 R
948,954 R
951,656 R
957,901 R
966,111 R
973,301 R
981,875 R
988,361 R
996,898 R
1,004,897 R
2006 J
F
M
A
M
J
J
A
S
O
N
D
730,049
728,568
730,533
739,933
741,601
752,383
758,976 R
760,828
729,781
730,963
736,265
740,578
742,168
749,731
756,640 R
762,190
15,195
15,428
15,661
15,787
15,796
15,804
15,869 E
15,195
15,428
15,661
15,787
15,796
15,804
15,869 E
1,507
1,509
1,511
1,508
1,499
1,489
1,482 E
166,482
167,235
168,260
169,789
171,437
172,463
173,279ER
174,395 E
166,629
168,533
169,615
170,612
171,187
171,211
172,236 ER
174,173 E
37,824
38,117
38,410
38,610
38,705
38,799
38,849 E
38,856 E
37,925
39,092
40,258
40,661
40,233
39,805
39,598 E
9,058
9,110
9,153
9,166
9,168
9,228
9,287
9,320 E
47,754 R
48,179 R
48,873 R
48,979 R
49,656 R
50,134 R
50,673 R
49,899
1,006,521 R
1,007,710 R
1,012,877 R
1,024,464 R
1,028,017 R
1,039,920 R
1,047,797 E
1,006,936 R
1,011,883 R
1,019,954 R
1,026,356 R
1,028,940 R
1,036,091 R
1,044,447 E
2007 J
F
M
A
M
J
J
A
S
57
98
139
149
126
103
114 E
E1
Monthly
average or
average of
month-ends
Moyenne
mensuelle
ou
moyenne
de fin
de mois
Continued
Suite
S 52
M2++ (gross)
M2++ (brut)
M2+ (gross) Total
Total de M2+ (brut)
Canada Savings Bonds and other
retail instruments
Obligations d’épargne du Canada
et autres titres de placement au détail
Non-money market mutual funds
Fonds communs de placement
autres que ceux du marché
monétaire
M2++ (gross) Total
Total de M2++ (brut)
M1+ (gross)
M1+ (brut)
Unadjusted
Données
non désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V41552788
V37255
V37147
V37256
V37149
V41552790
V41552801
V37258
V37151
V37259
V37152
2004 A
S
O
N
D
874,418
874,319
877,063
879,249
892,813
21,344
21,278
21,234
21,173
20,334
21,198
21,032
20,914
20,901
20,486
370,543
371,620
372,401
374,032
379,721
371,500
373,807
376,468
378,689
380,562
1,266,306
1,267,217
1,270,698
1,274,454
1,292,868
1,267,011
1,269,892
1,275,230
1,277,776
1,286,826
330,299
330,357
332,552
333,129
343,417
329,009
329,880
332,013
331,481
336,931
429,084
429,281
431,439
432,595
443,428
428,142
429,409
431,654
431,557
437,347
2005 J
F
M
A
M
J
J
A
S
O
N
D
890,440
890,244
890,592
900,130
905,367
912,724
912,328
910,396
915,027
920,479
924,132
935,967
19,640
19,546
19,368
19,223
19,152
19,071
18,976
18,893
18,831
18,782
18,612
17,913
19,815
19,815
19,612
19,384
19,247
19,079
18,899
18,725
18,555
18,441
18,320
18,079
380,935
387,414
391,664
392,958
394,846
397,891
401,020
403,649
406,510
407,701
410,653
420,384
381,342
385,142
387,273
389,532
392,669
396,387
400,555
404,831
409,297
412,781
416,341
421,161
1,291,015
1,297,204
1,301,623
1,312,311
1,319,365
1,329,686
1,332,324
1,332,937
1,340,369
1,346,962
1,353,396
1,374,264
1,291,880
1,298,996
1,303,670
1,310,980
1,317,979
1,324,734
1,328,668
1,334,038
1,343,503
1,352,461
1,357,807
1,368,058
338,924
336,878
334,649
342,629
346,364
351,925
351,031
347,723
351,880
355,606
357,765
366,152
339,562
341,166
342,968
346,312
346,575
348,376
347,331
346,519
351,571
355,162
356,320
359,449
440,399
439,636
438,153
446,673
451,185
457,539
457,086
454,415
459,144
464,204
467,015
476,420
441,113
443,602
446,058
449,008
451,445
453,188
453,320
453,505
459,459
464,534
466,258
470,106
2006 J
F
M
A
M
J
J
A
S
O
N
D
930,284 R
932,930 R
935,690 R
947,066 R
950,854 R
961,492 R
969,341 R
972,925 R
981,362 R
987,721 R
997,906 R
1,012,668 R
17,852
17,698
17,549
17,520
17,323
17,259
17,190
17,112
17,057
17,010
16,773
15,560
18,034
17,987
17,811
17,680
17,434
17,272
17,107
16,934
16,767
16,674
16,486
15,725
423,579 R
429,859 R
434,843 R
436,881 R
438,253 R
438,886 R
440,012 R
440,768 R
441,774 R
443,701 R
446,540 R
462,653 R
423,982 R
426,890 R
429,683 R
432,644 R
435,427 R
437,146 R
439,526 R
442,254 R
445,273 R
449,735 R
453,175 R
463,429 R
1,371,715
1,380,487
1,388,082
1,401,467
1,406,429
1,417,637
1,426,543
1,430,805
1,440,193
1,448,431
1,461,219
1,490,881
1,372,657
1,381,710 R
1,389,740
1,399,278
1,404,516 R
1,412,318
1,422,745 R
1,432,490
1,443,915 R
1,454,771 R
1,466,560 R
1,484,051
359,532
359,672
358,563
367,960
373,280
379,994
383,671
382,602
385,755
389,771
395,472
406,129
360,338
364,199
367,513
371,745
373,265
375,870
379,456
381,393
385,582
389,431
394,091
398,707
470,012
470,909
469,585
479,643
482,072
489,008
492,349
491,529
495,222
499,995
507,159
519,587
470,957
475,152
478,147
481,962
482,024
484,126
488,098
490,642
495,694
500,501
506,558
512,718
2007 J
F
M
A
M
J
J
A
S
1,006,521 R
1,007,710 R
1,012,877 R
1,024,464 R
1,028,017 R
1,039,920 R
1,047,797 E
15,546
15,458 R
15,345 R
15,272 R
15,171 R
15,105 R
15,011 R
14,935 R
14,896
15,720
15,739 R
15,589 R
15,414 R
15,274 R
15,116 R
14,932 R
14,768 R
14,630
467,311 R
475,510 R
481,075 R
484,109 R
487,575 R
490,775 R
493,961 R
493,822
467,599 R
471,952 R
475,134 R
479,197 R
484,178 R
488,749 R
493,435 R
495,594
1,489,378
1,498,678 R
1,509,297 R
1,523,846 R
1,530,762 R
1,545,800 R
1,556,769 E
1,490,256
1,499,574 R
1,510,676 R
1,520,968 R
1,528,392 R
1,539,956 R
1,552,814 E
397,499
394,619
394,056
404,094
407,819
417,284
421,140ER
421,021 E
398,463
399,559
403,911
408,157
407,669
412,596
416,420ER
419,753 E
512,327 R
510,103 R
510,993 R
521,691 R
525,999 R
536,246 R
540,126ER
540,872 E
513,456 R
514,696 R
520,359 R
524,112 R
525,769 R
530,765 R
535,356ER
539,948 E
M1++ (gross)
M1++ (brut)
E2
Selected credit measures
Quelques indicateurs du crédit
Millions of dollars
Monthly
S 54
En millions de dollars
Household credit
Crédits aux ménages
Consumer credit
Crédit à la consommation
average
or average
of month-
ends
Moyenne
mensuelle
ou moyenne
de fin
de mois
Chartered banks
Banques à charte
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Trust and mortgage loan
companies
Sociétés de fiducie
ou de prêt hypothécaire
Credit unions and
caisses populaires
Caisses populaires
et credit unions
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Life insurance companies
Compagnies d’assurance vie
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Non-depository credit
intermediaries and
other institutions
Intermédiaires
financiers autres que
les institutions de dépôt
Special-purpose
corporations
(securitization)
Sociétés
spécialisées
(titrisation)
Adjustments
to consumer
credit
Ajustements
au crédit à la
consommation
Total consumer
credit
Ensemble du
crédit à la consommation
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V122705
et autres institutions
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V122700
V122709
V122703
V122712
V122704
V122713
V122702
V122711
V800019
V800020
V122715
V122698
V122707
2003 S
O
N
D
156,113
156,527
157,977
160,973
155,118
156,527
158,344
160,668
334
326
293
260
334
326
293
260
19,480
19,571
19,599
19,612
19,348
19,430
19,505
19,604
4,533
4,534
4,530
4,526
4,533
4,534
4,530
4,526
20,907
21,055
21,094
21,915
20,842
20,888
20,865
21,621
39,542
39,933
39,915
39,291
1,171
1,171
1,209
-
242,079
243,117
244,617
246,577
240,983
242,520
244,361
245,915
2004 J
F
M
A
M
J
J
A
S
O
N
D
161,462
161,982
165,232
167,424
170,037
173,322
175,775
178,371
180,791
182,370
185,447
189,171
161,926
163,343
165,058
167,807
170,298
172,712
175,538
177,851
179,570
182,265
185,836
188,665
240
235
231
231
236
241
247
253
258
267
280
293
240
235
231
231
236
241
247
253
258
267
280
293
19,594
19,735
19,972
20,054
20,145
20,283
20,350
20,473
20,626
20,701
20,734
20,721
19,700
19,835
20,019
20,116
20,193
20,308
20,332
20,409
20,503
20,579
20,671
20,740
4,536
4,559
4,582
4,601
4,615
4,629
4,642
4,655
4,667
4,700
4,753
4,805
4,536
4,559
4,582
4,601
4,615
4,629
4,642
4,655
4,667
4,700
4,753
4,805
22,124
21,942
21,722
21,756
22,784
23,879
23,962
23,727
23,594
23,315
23,011
22,423
21,894
21,996
21,976
21,982
22,968
24,103
24,082
23,767
23,498
23,100
22,718
22,091
39,084
39,110
39,158
38,993
38,866
38,954
38,918
38,584
38,217
39,043
38,361
38,221
-
247,040
247,562
250,897
253,059
256,683
261,309
263,894
266,062
268,153
270,396
272,586
275,635
247,873
249,645
251,597
253,975
257,019
260,557
263,144
265,189
266,926
269,712
272,348
274,967
2005 J
F
M
A
M
J
J
A
S
O
N
D
190,410
191,783
194,909
195,328
196,782
199,565
200,352
202,712
205,633
206,212
206,703
209,099
190,952
193,575
194,952
196,034
197,064
198,844
199,972
201,996
204,170
205,982
207,039
208,450
295
286
277
278
288
297
311
329
346
365
386
406
295
286
277
278
288
297
311
329
346
365
386
406
20,694
20,796
20,921
21,053
21,179
21,296
21,415
21,549
21,655
21,678
21,744
21,788
20,818
20,903
20,975
21,103
21,200
21,299
21,385
21,477
21,536
21,566
21,697
21,818
4,840
4,857
4,873
4,891
4,913
4,934
4,951
4,966
4,980
4,995
5,010
5,024
4,840
4,857
4,873
4,891
4,913
4,934
4,951
4,966
4,980
4,995
5,010
5,024
21,859
21,662
21,357
21,108
21,006
20,973
21,041
21,418
22,023
22,419
22,675
22,915
21,649
21,730
21,631
21,366
21,218
21,163
21,136
21,443
21,915
22,186
22,356
22,571
38,102
37,777
38,379
40,593
42,943
43,787
45,860
45,996
46,195
46,988
47,989
48,576
-
276,200
277,160
280,716
283,251
287,110
290,852
293,930
296,970
300,832
302,657
304,507
307,808
277,125
279,518
281,642
284,371
287,281
289,893
292,968
296,041
299,412
302,059
304,437
307,161
2006 J
F
M
A
M
J
J
A
S
O
N
D
209,087
208,146
210,974
212,726
216,630
219,413
220,742
222,417
225,225
223,855
223,781
225,686
209,696
210,213
211,233
213,734
216,956
218,568
220,235
221,553
223,515
223,503
224,107
224,976
416
415
414
427
453
479
502
521
540
563
590
618
416
415
414
427
453
479
502
521
540
563
590
618
21,793
21,894
22,010
22,102
22,304
22,473
22,505
22,541
22,603
22,678
22,758
22,826
21,920
22,001
22,068
22,151
22,312
22,466
22,471
22,470
22,490
22,572
22,713
22,858
5,043
5,065
5,087
5,110
5,136
5,161
5,179
5,192
5,204
5,214
5,221
5,227
5,043
5,065
5,087
5,110
5,136
5,161
5,179
5,192
5,204
5,214
5,221
5,227
22,641
21,899
21,201
21,109
21,543
22,095
22,567
22,808
23,060
23,253
23,552
23,751
22,442
21,973
21,490
21,386
21,786
22,288
22,669
22,826
22,929
22,995
23,211
23,386
49,714
51,090
51,886
51,673
51,256
51,328
51,674
52,215
52,506
54,339
56,608
57,301
-
308,694
308,509
311,572
313,147
317,322
320,949
323,169
325,694
329,138
329,901
332,509
335,410
309,649
311,080
312,575
314,382
317,295
319,781
322,098
324,764
327,614
329,441
332,565
334,717
2007 J
F
M
A
M
J
J
A
S
226,173
226,159
230,043
231,788
235,804
239,000
241,760
244,100
226,858
228,477
230,407
233,037
236,173
238,035
241,188
243,115
621
599
577
557
540
523
524E
621
599
577
557
540
523
524E
22,866
22,939
22,975
22,972
23,118
23,224
23,238ER
23,267 E
22,990
23,044
23,033
23,023
23,125
23,214
23,206ER
23,197E
5,244
5,270
5,296
5,325
5,358
5,391
5,414E
5,244
5,270
5,296
5,325
5,358
5,391
5,414E
23,807
23,949
24,003
24,109
24,416
24,832
25,303E
23,615
24,030
24,332
24,427
24,709
25,054
25,431E
57,647R
58,134R
58,675R
59,542R
60,769R
62,127R
62,776ER
64,457E
-
336,359R
337,050R
341,568R
344,293R
350,004R
355,097R
359,014E
337,350R
339,797R
342,599R
345,632R
349,864R
353,744R
357,836E
S 55
Residential mortgage credit Crédit hypothécaire à l’habitation
Chartered banks
Banques à charte
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Trust and mortgage loan
companies
Sociétés de fiducie
ou de prêt hypothécaire
Credit unions and
caisses populaires
Caisses populaires
et credit unions
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Life insurance companies
Compagnies d’assurance
vie
Unadjusted Seasonally
Données
adjusted
non désai- Données
sonnalisées désaisonnalisées
Pension
funds
Caisses
de
retraite
Non-depository
credit intermediaries
and other financial
institutions
Intermédiaires
financiers autres
que les institutions
de dépôt
et autres
institutions
financières
Specialpurpose
coporations
(securitization)
Sociétés
spécialisées
(titrisation)
V122744
Total residential
mortgage credit
Ensemble du crédit
hypothécaire à
l’habitation
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Total household
credit
Ensemble des
crédits aux ménages
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V122738
V122748
V122739
V122749
V122742
V122752
V122740
V122750
V122755
V122736
V122746
V36408
V36415
336,545R
336,650R
341,322R
340,707R
336,545R
336,650R
341,322R
340,707R
6,180
6,225
6,264
6,302
6,180
6,225
6,264
6,302
70,872
71,567
72,190
72,734
70,647
71,294
71,925
72,490
15,526
15,490
15,498
15,505
15,526
15,490
15,498
15,505
9,178
9,153
9,126
9,098
24,296
24,406
24,567
24,724
52,191
55,415
55,165
57,248
14,426
14,423
14,458
14,494
529,213R
533,329R
538,589R
540,812R
527,224R
530,851R
535,876R
538,620R
771,292R
776,445R
783,206R
787,390R
768,207R
773,371R
780,238R
784,534R
2003 S
O
N
D
340,619R
341,730R
340,491R
342,616R
347,174R
349,761R
352,948R
357,547R
358,641R
361,825R
367,359R
367,781R
340,619R
341,730R
340,491R
342,616R
347,174R
349,761R
352,948R
357,547R
358,641R
361,825R
367,359R
367,781R
6,357
6,427
6,496
6,565
6,631
6,697
6,773
6,860
6,946
7,024
7,094
7,165
6,357
6,427
6,496
6,565
6,631
6,697
6,773
6,860
6,946
7,024
7,094
7,165
73,099
73,398
73,832
74,418
75,237
76,290
77,184
77,839
78,512
79,221
79,912
80,428
73,059
73,643
74,277
74,945
75,607
76,299
76,942
77,597
78,241
78,901
79,599
80,129
15,496
15,472
15,447
15,410
15,360
15,310
15,294
15,310
15,326
15,353
15,389
15,425
15,496
15,472
15,447
15,410
15,360
15,310
15,294
15,310
15,326
15,353
15,389
15,425
9,139
9,245
9,351
9,433
9,489
9,544
9,630
9,749
9,866
9,951
10,003
10,055
24,851
24,949
25,062
25,156
25,227
25,323
25,428
25,534
25,653
25,740
25,801
25,874
59,990
60,390
62,719
64,827
64,581
66,778
69,381
69,556
71,711
73,558
73,020
75,720
14,458
14,310
14,216
14,419
14,692
14,906
15,063
15,282
15,577
15,822
14,943
15,328
544,009R
545,919R
547,613R
552,843R
558,390R
564,609R
571,701R
577,678R
582,232R
588,494R
593,523R
597,777R
543,228R
547,225R
550,634R
556,220R
561,237R
566,779R
571,048R
576,350R
580,022R
585,587R
590,379R
595,185R
791,049R
793,481R
798,509R
805,902R
815,073R
825,918R
835,596R
843,740R
850,385R
858,889R
866,108R
873,411R
791,100R
796,870R
802,232R
810,195R
818,256R
827,336R
834,192R
841,539R
846,949R
855,300R
862,727R
870,152R
2004 J
F
M
A
M
J
J
A
S
O
N
D
366,681R
367,977R
366,998R
368,090R
372,518R
375,307R
380,052R
384,758R
385,384R
386,194R
390,913R
391,341R
366,681R
367,977R
366,998R
368,090R
372,518R
375,307R
380,052R
384,758R
385,384R
386,194R
390,913R
391,341R
7,276
7,418
7,560
7,686
7,789
7,892
7,980
8,055
8,128
8,191
8,245
8,300
7,276
7,418
7,560
7,686
7,789
7,892
7,980
8,055
8,128
8,191
8,245
8,300
80,737
80,934
81,271
81,851
82,759
83,979
85,055
85,901
86,745
87,656
88,565
89,296
80,684
81,216
81,797
82,458
83,189
83,994
84,783
85,616
86,425
87,294
88,217
88,949
15,363
15,209
15,055
14,925
14,825
14,725
14,618
14,501
14,386
14,335
14,344
14,353
15,363
15,209
15,055
14,925
14,825
14,725
14,618
14,501
14,386
14,335
14,344
14,353
10,108
10,157
10,205
10,292
10,417
10,541
10,678
10,830
10,979
11,040
11,014
10,987
25,900
25,883
25,876
25,938
26,061
26,205
26,416
26,671
26,932
27,149
27,318
27,479
78,332
78,271
80,639
82,736
82,574
84,420
85,884
85,574
89,702
93,863
93,924
97,010
15,452
15,580
15,749
15,848
16,049
16,244
16,637
17,203
17,789
18,249
18,394
18,693
599,849R
601,428R
603,353R
607,365R
612,992R
619,313R
627,319R
633,494R
640,044R
646,675R
652,716R
657,459R
598,967R
602,977R
606,876R
611,158R
616,199R
621,646R
626,590R
632,067R
637,660R
643,364R
649,160R
654,451R
876,049R
878,588R
884,069R
890,616R
900,102R
910,165R
921,249R
930,464R
940,877R
949,332R
957,223R
965,267R
876,092R
882,495R
888,518R
895,529R
903,480R
911,539R
919,558R
928,108R
937,072R
945,424R
953,597R
961,611R
2005 J
F
M
A
M
J
J
A
S
O
N
D
390,133R
392,107R
392,050R
395,732R
400,651R
403,340R
407,939R
411,725R
415,085R
417,378R
420,830R
420,819R
390,133R
392,107R
392,050R
395,732R
400,651R
403,340R
407,939R
411,725R
415,085R
417,378R
420,830R
420,819R
8,364
8,440
8,517
7,515
7,551
7,587
7,644
7,724
7,802
7,857
7,888
7,918
8,364
8,440
8,517
7,515
7,551
7,587
7,644
7,724
7,802
7,857
7,888
7,918
89,760
90,141
90,600
91,268
92,215
93,398
94,439
95,079
95,731
96,479
97,395
98,263
89,695
90,461
91,205
91,957
92,703
93,416
94,139
94,749
95,367
96,085
97,017
97,879
14,362
14,369
14,376
14,397
14,433
14,469
14,536
14,637
14,736
14,809
14,856
14,902
14,362
14,369
14,376
14,397
14,433
14,469
14,536
14,637
14,736
14,809
14,856
14,902
11,042
11,171
11,299
11,458
11,644
11,830
11,907
11,880
11,853
11,967
12,218
12,469
27,616
27,741
27,887
28,095
28,351
28,629
28,755
28,728
28,717
28,784
28,923
29,052
100,447
100,814
103,699
105,882
104,352
106,136
109,260
109,456
112,078
115,054
115,752
120,198
19,163
19,456
19,732
20,165
21,549
22,096
22,507
22,762
22,951
23,242
23,604
23,974
660,887R
664,238R
668,161R
674,513R
680,746R
687,483R
696,987R
701,989R
708,953R
715,570R
721,465R
727,595R
659,948R
666,027R
672,151R
678,756R
684,365R
690,012R
696,193R
700,453R
706,294R
711,895R
717,514R
724,101R
969,581R
972,747R
979,733R
987,660R
998,068R
1,008,432R
1,020,156R
1,027,684R
1,038,091R
1,045,472R
1,053,973R
1,063,005R
969,597R
977,108R
984,726R
993,138R
1,001,660R
1,009,793R
1,018,291R
1,025,217R
1,033,908R
1,041,336R
1,050,079R
1,058,818R
2006 J
F
M
A
M
J
J
A
S
O
N
D
419,367R
423,152R
424,526R
430,390R
437,075R
441,812R
449,258R
454,608
419,367R
423,152R
424,526R
430,390R
437,075R
441,812R
449,258R
454,608
7,972
8,044
8,116
8,191
8,265
8,339
8,420E
7,972
8,044
8,116
8,191
8,265
8,339
8,420E
14,930
14,938
14,945
14,997
15,095
15,192
15,293E
14,930
14,938
14,945
14,997
15,095
15,192
15,293E
12,676 R
12,830 R
12,983 R
13,168ER
13,381ER
13,595ER
13,684 E
29,123
29,157
29,209
29,149
28,985
28,836
28,744E
124,309
124,062
125,864
126,878
125,064
128,375
131,915
135,252
24,385R
24,688R
24,890R
25,180R
25,726R
26,278R
26,938ER
27,331E
731,474R
735,799R
739,669R
747,502ER
753,941ER
763,828ER
776,635E
730,493R
737,848R
744,107R
752,190ER
758,001ER
766,593ER
775,724E
1,067,833R
1,072,848R
1,081,237R
1,091,795ER
1,103,945ER
1,118,925ER
1,135,649E
1,067,843R
1,077,646R
1,086,706R
1,097,822ER
1,107,865ER
1,120,337ER
1,133,560E
2007 J
F
M
A
M
J
J
A
S
98,712
98,929
99,136
99,549
100,350
101,400
102,384ER
103,171E
98,636
99,280
99,804
100,304
100,881
101,420
102,055ER
102,806E
V122743 V800024
NHA
mortgagebacked
securities
Titres
hypothécaires
garantis en
vertu
de la LNH
Monthly
average
or average
of monthends
Moyenne
mensuelle
ou moyenne
de fin
de mois
E2
Continued
Suite
Monthly
average
or average
of monthends
Moyenne
mensuelle
ou moyenne
de fin
de mois
Short-term business credit
S 56
Millions of dollars
En millions de dollars
Canadian dollar loans
Crédits à court terme aux entreprises
Prêts en dollars canadiens
Business loans
Prêts aux entreprises
Chartered banks
Banques à charte
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Nondepository
credit
intermediaries
Other
institutions
Autres
institutions
Intermédiaires
financiers
autres que les
institutions
Chartered
bank
foreign
currency
loans to
residents
Prêts en
monnaies
étrangères
des banques
à charte
aux résidents
Specialpurpose
corporations
(securitization)
Sociétés
spécialisées
(titrisation)
Bankers’
acceptances
Acceptations
bancaires
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Commercial paper
issued by
non-financial
corporations
Papier commercial
des sociétés
non financières
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonalisées
Adjustments to
short-term
business credit
Ajustements aux
crédits à court
terme aux
entreprises
Total short-term
business credit
Ensemble des crédits à
court terme aux entreprises
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
de dépôt
V122631
V122645
V800014
V122651
V122634
V122653
V122635
V122649
V122652
V4427861
V122638
V122639
V122646
2003 S
O
N
D
120,830R
121,668R
120,180R
120,993R
120,780R
121,496R
120,570R
121,548R
16,868
16,630
16,201
15,780
25,277
25,447
25,569
25,701
17,128
16,918
15,767
15,931
15,849
15,786
15,869
15,951
38,834
38,109
37,556
35,644
38,497
37,745
36,862
36,384
16,494
16,713
16,787
15,568
16,123
16,272
16,049
15,370
874
1,071
960
-575
252,153R
252,343R
248,889R
244,993R
251,507R
251,796R
248,447R
246,193R
2004 J
F
M
A
M
J
J
A
S
O
N
D
119,706R
120,827R
122,903R
121,688R
122,623R
125,409R
128,089R
127,274R
127,766R
130,103R
131,083R
130,783R
121,251R
121,567R
122,328R
121,424R
122,427R
124,667R
126,980R
127,175R
127,573R
129,899R
131,368R
131,479R
15,729
16,070
16,450
16,773
16,912
16,932
16,666
16,100
15,472
15,162
15,180
15,307
25,883
26,123
26,368
26,561
26,710
26,867
27,070
27,320
27,609
27,813
27,960
28,104
16,151
16,520
16,869
17,396
19,203
19,854
19,550
19,379
18,511
17,890
16,976
18,463
15,934
15,817
15,700
15,818
16,173
16,536
16,673
16,578
16,485
16,676
16,747
17,411
34,745
34,605
35,519
36,577
35,148
36,909
36,383
36,798
36,137
35,922
36,854
35,550
35,979
35,043
35,474
35,938
35,047
37,165
36,324
36,129
35,729
35,740
36,089
36,367
14,591
14,561
14,256
13,935
14,069
14,221
14,647
14,909
14,661
14,443
14,057
14,290
14,856
14,743
14,501
14,362
14,320
14,846
14,746
14,386
14,382
14,092
13,469
14,084
-768
-819
-866
-920
-1,017
-1,495
-1,660
-1,726
-1,693
-1,588
-1,725
-1,589
241,971R
243,703R
247,199R
247,827R
249,821R
255,233R
257,418R
256,632R
254,947R
256,419R
257,131R
258,318R
245,121R
245,134R
246,599R
246,985R
249,437R
254,928R
255,990R
255,241R
254,558R
256,021R
257,023R
259,886R
2005 J
F
M
A
M
J
J
A
S
O
N
D
127,666R
131,284R
134,970R
134,015R
132,260R
135,065R
137,281R
136,798R
138,226R
141,250R
139,017R
141,251R
129,296R
132,131R
134,240R
133,952R
132,256R
134,167R
136,019R
136,678R
137,915R
141,040R
139,168R
142,095R
15,570
15,770
15,929
16,367
17,068
17,769
17,851
17,299
16,691
16,495
16,777
17,099
28,366
28,756
29,078
29,190
29,139
29,234
29,479
29,819
30,110
30,697
31,657
32,570
19,996
19,289
17,887
18,372
18,736
17,778
17,654
17,508
16,565
16,739
16,367
17,546
16,594
16,006
15,263
15,184
16,305
16,624
16,819
16,265
15,730
15,565
15,763
15,963
34,269
34,896
35,666
37,038
37,238
37,463
38,206
39,323
40,372
39,648
40,069
40,353
35,586
35,431
35,777
36,394
37,134
37,632
37,934
38,472
39,900
39,642
39,170
41,316
14,092
13,778
14,420
14,861
14,526
13,543
14,102
14,716
14,111
14,102
14,337
13,741
14,265
13,893
14,640
15,385
14,828
14,179
14,156
14,165
13,894
13,800
13,770
13,518
-1,560
-1,416
-1,453
-1,490
-1,483
-1,429
-1,605
-1,785
-1,721
-1,874
-1,605
-2,189
254,995R
258,362R
261,760R
263,538R
263,788R
266,047R
269,786R
269,942R
270,083R
272,622R
272,381R
276,334R
258,289R
259,987R
260,947R
262,471R
263,256R
265,281R
267,994R
268,492R
270,158R
272,585R
272,578R
278,065R
2006 J
F
M
A
M
J
J
A
S
O
N
D
140,905R
141,632R
144,262R
144,545R
146,513R
148,994R
151,248R
152,007R
151,953R
151,629R
152,994R
152,151R
142,704R
142,548R
143,420R
144,592R
146,657R
148,033R
149,794R
151,873R
151,502R
151,375R
153,085R
153,124R
17,850
18,911
19,940
20,697
21,122
21,569
21,486
20,840
20,128
19,828
20,021
20,303
32,855
32,555
32,234
32,143
32,303
32,486
32,832
33,339
33,807
34,064
34,168
34,200
17,536
20,053
20,022
20,262
20,286
20,804
20,749
19,796
19,237
19,834
21,214
22,565
16,303
16,787
17,285
17,415
17,171
16,930
16,704
16,493
16,285
16,578
17,393
18,247
41,862
44,655
44,874
46,377
47,575
47,395
49,360
50,186
49,813
50,061
53,848
54,339
43,520
45,431
45,082
45,569
47,447
47,537
48,867
49,033
49,262
50,195
52,602
55,641
13,480
14,124
12,533
10,718
10,910
11,157
12,025
12,650
11,996
12,123
13,493
13,240
13,565
14,187
12,702
11,136
11,169
11,714
12,053
12,151
11,842
11,888
12,968
13,008
-1,662
-1,103
-878
-993
-1,357
-955
-1,221
-959
-859
-890
-1,297
-1,273
279,128R
287,612R
290,271R
291,164R
294,524R
298,380R
303,183R
304,353R
302,359R
303,226R
311,834R
313,773R
282,563R
289,308R
289,165R
289,845R
293,807R
297,283R
301,009R
302,926R
302,762R
303,511R
312,262R
315,696R
2007 J
F
M
A
M
J
J
A
S
150,418R
153,377R
157,302R
160,732R
163,515R
166,555R
169,667R
172,253
152,328R
154,383R
156,372R
160,817R
163,776R
165,503R
168,000R
172,111
20,517
20,544
20,555
20,654
20,784
20,903
20,672E
34,302
34,582
34,834
35,065
35,259
35,342
35,624E
22,100
22,448
22,382
22,257
21,688
20,414
23,159
27,401
18,691 R
18,702 R
18,713 R
18,823 R
19,032 R
19,243 R
19,415 ER
19,548 E
54,741
57,627
58,917
58,856
59,899
59,431
59,248
60,784
56,942
58,687
59,234
57,829
59,742
59,564
58,572
59,348
13,038
13,953
12,963
13,039
13,439
11,638
10,905R
10,797
13,079
13,998
13,109
13,563
13,779
12,252
10,928R
10,350
-821
-583
-677
-850
-878
-1,090
-1,508
-1,428
312,984R
320,649R
324,988R
328,575R
332,736R
332,435R
337,182ER
345,580E
316,663R
322,428R
323,587R
326,980R
331,872R
331,145R
334,679ER
344,127E
S 57
Other business credit
Autres crédits
aux entreprises
Non-residential mortgages
Prêts hypothécaires sur immeubles non résidentiels
Chartered
banks
Banques
à charte
V122656
Trust and
mortgage
loan
companies
Sociétés de
fiducie ou
de prêt
hypothécaire
V122657
Credit
unions
and caisses
populaires
Caisses
populaires
et credit
unions
V122658
Leasing receivables
Créances résultant du crédit-bail
Life
insurance
companies
Companies
d’assurance
vie
Non-depository
credit intermediaries
and other
institutions
Chartered
banks
Banques
à charte
Trust and
mortgage
loan
companies
Sociétés de
fiducie ou
de prêt
hypothécaire
Non-depository
credit intermediaries
V122632
Intermédiaires
financiers
autres que les
institutions
de dépôt et
autres institutions
Intermédiaires
financiers
autres que les
institutions
de dépôt
Specialpurpose
corporations
(securitization)
Sociétés
spécialisées
(titrisation)
Bonds and
debentures
Obligations
et
débentures
Equity
and
warrants
Actions
et
bons
de souscription
Trust
units
Parts de
fiducie
Adjustments
to other
business
credit
Ajustements
aux autres
crédits aux
entreprises
V20638380 V122650
Total
Total
Monthly
average
or average
of monthends
Moyenne
mensuelle
ou moyenne
de fin
de mois
V122659
V800015
V122661
V800016
V122655
V122640
V122642
17,056
17,294
17,406
17,404
577
587
580
573
11,884
11,902
11,925
11,977
25,284
25,511
25,658
25,804
1,237
1,241
1,307
1,373
4,943
4,926
4,860
4,855
22
21
21
20
18,094
18,144
18,357
18,570
20,435
20,619
20,665
20,747
242,066R
243,571R
246,523R
248,449R
274,529R
275,545R
276,261R
276,862R
37,966R
38,922R
39,957R
42,016R
-
V36412
654,094R
658,283 R
663,519 R
668,650 R
2003 S
O
N
D
17,367
17,193
17,324
17,425
17,484
17,670
17,946
18,138
18,194
18,042
17,950
18,044
572
577
581
593
612
631
657
690
721
756
793
829
12,026
12,008
11,963
11,978
12,016
12,083
12,218
12,339
12,446
12,565
12,699
12,811
25,872
25,860
25,847
25,877
25,952
26,026
26,135
26,282
26,426
26,539
26,622
26,704
1,371
1,303
1,234
1,200
1,205
1,210
1,231
1,269
1,307
1,320
1,312
1,303
4,871
4,851
4,878
4,864
4,918
4,972
5,051
5,076
5,184
5,200
5,422
5,548
19
18
17
17
16
14
14
13
13
13
12
11
18,879
19,268
19,656
19,940
20,108
20,275
20,531
20,876
21,215
21,409
21,463
21,516
20,883
21,036
21,150
21,216
21,265
21,339
21,321
21,249
21,276
21,469
21,582
21,798
249,442R
250,559R
250,433R
250,625R
251,601R
252,404R
253,953R
255,381R
254,295R
253,283R
257,059R
260,232R
277,902R
278,997R
280,212R
281,540R
282,980R
284,356R
285,298R
286,174R
287,243R
287,997R
289,163R
291,065R
43,665R
44,118R
44,932R
46,376R
47,791R
48,728R
49,643R
50,378R
50,931R
51,706R
52,489R
53,805R
-
672,869R
675,786 R
678,227 R
681,650 R
685,946 R
689,709 R
693,997 R
697,864 R
699,252 R
700,299 R
706,563 R
713,665 R
2004 J
F
M
A
M
J
J
A
S
O
N
D
18,166
18,255
18,379
18,394
18,196
18,316
18,579
18,834
19,085
18,986
18,930
19,330
886
958
1,029
1,062
1,051
1,040
1,038
1,045
1,051
1,071
1,103
1,135
12,877
12,970
13,089
13,239
13,453
13,709
13,937
14,108
14,276
14,425
14,572
14,760
26,828
26,984
27,139
27,264
27,351
27,438
27,554
27,700
27,843
27,931
27,964
27,996
1,314
1,344
1,374
1,405
1,436
1,467
1,477
1,468
1,459
1,468
1,495
1,521
5,317
5,373
5,348
5,363
5,362
5,433
5,500
5,609
5,727
5,809
5,865
5,951
18
31
43
50
50
50
50
51
51
51
52
53
21,553
21,572
21,590
21,823
22,276
22,728
23,119
23,456
23,788
23,924
23,872
23,820
22,461
22,880
23,306
23,571
23,666
23,751
24,023
24,544
25,183
25,686
26,007
26,356
260,432R
261,128R
261,696R
261,187R
261,714R
263,139R
263,133R
262,544R
262,822R
263,544R
264,504R
263,137R
291,924R
292,274R
293,446R
294,689R
295,015R
295,041R
295,094R
295,327R
295,830R
296,154R
296,473R
297,234R
55,339R
56,341R
57,256R
57,877R
59,791R
62,641R
64,378R
66,147R
67,926R
68,997R
69,719R
71,005R
-
717,113R
720,109 R
723,696 R
725,923 R
729,361 R
734,754 R
737,882 R
740,832 R
745,041 R
748,047 R
750,554 R
752,297 R
2005 J
F
M
A
M
J
J
A
S
O
N
D
19,601
19,793
19,597
19,507
19,471
19,555
19,474
19,580
19,642
19,707
19,808
19,813
1,159
1,173
1,186
1,205
1,228
1,251
1,277
1,304
1,332
1,362
1,396
1,429
14,935
15,084
15,257
15,422
15,541
15,704
15,916
16,113
16,304
16,393
16,704
16,903
28,022
28,039
28,056
28,065
28,067
28,068
28,141
28,288
28,433
28,527
28,574
28,620
1,569
1,637
1,705
1,735
1,724
1,712
1,782
1,933
2,081
2,102
2,000
1,898
6,040
6,105
6,080
6,201
6,270
6,368
6,467
6,521
6,589
6,659
6,655
6,653
54
56
58
59
59
58
58
59
60
60
59
58
23,577
23,165
22,753
22,654
22,892
23,129
23,290
23,377
23,464
23,569
23,692
23,815
26,770
27,280
27,887
28,501
29,069
29,632
30,103
30,520
31,006
31,861
33,036
34,173
260,558R
259,173R
258,776R
259,246R
257,726R
255,671R
255,980R
257,750R
258,008R
256,794R
258,729R
261,911R
297,108R
296,589R
297,412R
298,566R
300,061R
301,273R
301,045R
299,046R
297,843R
295,256R
292,159R
293,006R
72,252R
72,906R
74,104R
75,249R
76,205R
77,399R
78,596R
80,098R
81,506R
81,740R
81,802R
82,608R
-
751,645R
751,000 R
752,871 R
756,409 R
758,311 R
759,822 R
762,130 R
764,590 R
766,266 R
764,030 R
764,613 R
770,888 R
2006 J
F
M
A
M
J
J
A
S
O
N
D
19,884R
19,978R
19,961R
20,113R
20,347R
20,422R
20,460R
20,358
1,478
1,537
1,597
1,596
1,530
1,464
1,447E
16,734
16,827
17,156
17,333
17,376
17,503
17,700 E
28,605
28,534
28,462
28,499
28,652
28,804
28,955 E
1,913
2,041
2,169
2,245
2,263
2,281
2,392E
6,722
6,757
6,790
6,867
6,922
7,002
7,120
7,180
57
57
56
55
56
56
56E
23,893
23,921
23,948
24,098
24,373
24,647
24,829E
34,953 R
35,431 R
35,980 R
36,567 R
37,183 R
37,855 R
38,274 ER
38,955 E
261,513R
260,410R
263,484R
266,519R
267,565R
268,414R
268,005R
268,096R
268,293
294,006R
295,830R
298,865R
301,345R
304,716R
307,333R
308,565R
309,761R
310,779
82,732R
82,376R
82,327R
82,384R
82,131R
82,125R
82,082R
81,135R
80,177
-
772,490R
773,698 R
780,794 R
787,621 R
793,112 R
797,906 R
799,884ER
801,561 E
2007 J
F
M
A
M
J
J
A
S
E2
Continued
Suite
Monthly
average
or average
of monthends
Moyenne
mensuelle
ou moyenne
de fin
de mois
Total business credit
Ensemble des crédits
aux entreprises
S 58
Millions of dollars
En millions de dollars
Total household and
business credit
Ensemble des crédits aux
ménages et aux entreprises
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
Unadjusted
Données
non désaisonnalisées
Seasonally
adjusted
Données
désaisonnalisées
V122643
V122647
V122644
V122648
2003 S
O
N
D
906,247R
910,625R
912,408R
913,643R
906,121R
910,380R
912,772R
914,979R
1,677,539R
1,687,071R
1,695,614R
1,701,033R
1,674,328R
1,683,750R
1,693,009R
1,699,513R
2004 J
F
M
A
M
J
J
A
S
O
N
D
914,840R
919,489R
925,426R
929,477R
935,766R
944,942R
951,415R
954,496R
954,199R
956,718R
963,695R
971,983R
917,897R
921,251R
924,812R
928,990R
935,660R
943,545R
948,977R
952,791R
954,210R
956,724R
964,620R
973,388R
1,705,890R
1,712,970R
1,723,935R
1,735,379R
1,750,839R
1,770,859R
1,787,011R
1,798,237R
1,804,584R
1,815,608R
1,829,803R
1,845,395R
1,708,997R
1,718,122R
1,727,043R
1,739,185R
1,753,916R
1,770,882R
1,783,169R
1,794,330R
1,801,159R
1,812,024R
1,827,347R
1,843,539R
2005 J
F
M
A
M
J
J
A
S
O
N
D
972,108R
978,471R
985,456R
989,460R
993,149R
1,000,801R
1,007,668R
1,010,774R
1,015,124R
1,020,669R
1,022,935R
1,028,631R
975,102R
980,277R
984,723R
988,914R
992,941R
999,009R
1,004,826R
1,008,884R
1,015,469R
1,021,118R
1,024,417R
1,030,054R
1,848,157R
1,857,059R
1,869,526R
1,880,076R
1,893,251R
1,910,965R
1,928,918R
1,941,238R
1,956,000R
1,970,001R
1,980,158R
1,993,898R
1,851,194R
1,862,772R
1,873,241R
1,884,444R
1,896,421R
1,910,548R
1,924,384R
1,936,992R
1,952,541R
1,966,542R
1,978,014R
1,991,666R
2006 J
F
M
A
M
J
J
A
S
O
N
D
1,030,772R
1,038,612R
1,043,142R
1,047,572R
1,052,835R
1,058,202R
1,065,313R
1,068,942R
1,068,625R
1,067,256R
1,076,447R
1,084,661R
1,033,787R
1,040,376R
1,042,196R
1,046,899R
1,052,455R
1,056,175R
1,062,186R
1,067,015R
1,069,111R
1,068,112R
1,078,323R
1,086,141R
2,000,353R
2,011,359R
2,022,875R
2,035,232R
2,050,903R
2,066,634R
2,085,469R
2,096,626R
2,106,716R
2,112,728R
2,130,420R
2,147,666R
2,003,384R
2,017,483R
2,026,922R
2,040,037R
2,054,115R
2,065,968R
2,080,478R
2,092,232R
2,103,019R
2,109,448R
2,128,402R
2,144,959R
2007 J
F
M
A
M
J
J
A
S
1,085,474R
1,094,347R
1,105,782R
1,116,196R
1,125,848R
1,130,341R
1,137,066ER
1,147,141E
1,088,465 R
1,096,085 R
1,104,719 R
1,115,374 R
1,125,297 R
1,128,136 R
1,133,706ER
1,145,168E
2,153,307R
2,167,195R
2,187,019R
2,207,991ER
2,229,794ER
2,249,265ER
2,272,715E
2,156,309R
2,173,731R
2,191,425R
2,213,196ER
2,233,162ER
2,248,473ER
2,267,266E
Financial market statistics
Statistiques du marché financier
F1
Effective
date
(year,
month,
day)
Date
d’entrée
en
vigueur
(année,
mois,
jour)
Bank
Rate
Taux
officiel
d’escompte
Operating
band
Fourchette
opérationnelle
Low
Bas
High
Haut
Target
overnight
rate
Taux
cible
du
financement
à un
jour
V39078 V39076 V39077 V39079
2001
2002
2003
2004
1 23
5.75
5.25
5.75
5.50
3
6
5.25
4.75
5.25
5.00
4 17
5.00
4.50
5.00
4.75
5 29
4.75
4.25
4.75
4.50
7 17
4.50
4.00
4.50
4.25
8 28
4.25
3.75
4.25
4.00
9 17
3.75
3.25
3.75
3.50
10 23
3.00
2.50
3.00
2.75
11 27
2.50
2.00
2.50
2.25
1 15
2.25
1.75
2.25
2.00
4 16
2.50
2.00
2.50
2.25
6
2.50
2006
2007
M/M
W/S
Overnight
money
market
financing
(7-day
average)
Taux des
fonds à
un jour
(moyenne
sur
7 jours)
Bankers’
acceptances
Acceptations
bancaires
V122514
V121753
V122504
V121750
1 month
À 1 mois
3 month
À 3 mois
Prime corporate
paper rate
Taux du papier
de premier choix
des sociétés
non financières
1 month
À 1 mois
V122527
V121775
3 month
À 3 mois
Chartered bank administered interest rates
Taux d’intérêt administrés des banques à charte
Prime
business
Taux de
base des
prêts aux
entreprises
Conventional
mortgage
Prêts hypothécaires ordinaires
V122520 V122521
V121763 V121764
V122509
V121809
V122491
V121812
V122495
V121796
1 year
À 1 an
5 year
À 5 ans
Nonchequable
savings
deposits
Dépôts
d’épargne
non
transférables
par
chèque
Daily
interest
savings
(balances
over
$100,000)
Comptes
d’épargne
à intérêt
quotidien
(soldes
supérieurs
à 100 000 $)
Guaranteed
investment
certificates
Certificats de
placement garantis
V122493
V121766
V122528
V121776
V122524 V122526
V121771 V121773
1 year
À 1 an
5 year
À 5 ans
5-year
personal
fixed
term
Dépôts à
5 ans des
particuliers
V122515
V121765
2005 S
O
N
D
2.7421
2.9873
2.9883
3.2437
2.84
3.02
3.22
3.35
2.99
3.15
3.38
3.53
2.85
3.05
3.24
3.36
2.98
3.14
3.37
3.52
4.50
4.75
4.75
5.00
5.00
5.25
5.60
5.80
5.80
6.00
6.15
6.30
0.05
0.05
0.05
0.05
0.75
0.75
0.75
0.75
1.28
1.78
2.03
2.03
2.48
2.68
2.78
2.78
2.23
2.43
2.53
2.53
2006 J
F
M
A
M
J
J
A
S
O
N
D
3.2961
3.4765
3.7269
3.8182
4.2126
4.2455
4.2442
4.2427
4.2465
4.2335
4.2476
4.2482
3.53
3.67
3.83
4.05
4.30
4.39
4.29
4.29
4.29
4.29
4.29
4.30
3.66
3.83
3.98
4.17
4.34
4.46
4.32
4.32
4.32
4.33
4.29
4.31
3.55
3.66
3.90
4.08
4.31
4.42
4.33
4.31
4.31
4.33
4.31
4.33
3.67
3.80
4.00
4.19
4.33
4.51
4.35
4.34
4.30
4.34
4.30
4.33
5.25
5.25
5.50
5.75
6.00
6.00
6.00
6.00
6.00
6.00
6.00
6.00
5.80
5.85
6.05
6.25
6.25
6.60
6.60
6.40
6.40
6.40
6.40
6.30
6.30
6.45
6.45
6.75
6.75
6.95
6.95
6.85
6.70
6.80
6.55
6.45
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.05
0.75
0.75
0.75
0.75
0.75
0.75
0.50
0.50
0.50
0.50
0.50
0.50
2.03
2.63
2.63
2.63
3.08
3.08
3.08
2.93
2.88
2.88
2.78
2.68
2.78
3.13
3.13
3.13
3.43
3.43
3.43
3.23
3.13
3.13
3.03
2.93
2.53
2.88
2.88
2.88
3.18
3.18
3.18
2.98
2.88
2.88
2.78
2.68
4.2447
4.2504
4.2432
4.2471
4.2352
4.2536
4.5041
4.4158
4.4637
4.31
4.31
4.31
4.32
4.34
4.42
4.56
4.89
4.84
4.32
4.31
4.31
4.33
4.41
4.58
4.68
4.88
4.88
4.33
4.36
4.35
4.33
4.35
4.43
4.60
5.15
5.36
4.33
4.35
4.35
4.35
4.43
4.58
4.70
5.10
5.40
6.00
6.00
6.00
6.00
6.00
6.00
6.25
6.25
6.25
6.50
6.50
6.40
6.60
6.85
7.05
7.05
7.05
7.05
6.65
6.65
6.49
6.64
7.14
7.24
7.24
7.24
7.19
0.05
0.05
0.05
0.05
0.10
0.10
0.10
0.10
0.10
0.50
0.50
0.50
0.50
0.50
0.50
0.50
0.50
0.50
2.68
2.98
2.83
2.83
2.98
3.13
3.28
3.08
3.13
2.93
3.18
2.98
2.98
3.38
3.58
3.73
3.48
3.48
2.68
2.93
2.73
2.73
3.13
3.45
3.60
3.23
3.23
4
2.75
2.25
2.75
7 16
3.00
2.50
3.00
2.75
3
4
3.25
2.75
3.25
3.00
2007 J
F
M
A
M
J
J
A
S
4 15
3.50
3.00
3.50
3.25
2007 J
7 15
3.25
2.75
3.25
3.00
6
13
20
27
4.2583
4.2436
4.2470
4.2536
4.33
4.37
4.36
4.42
4.45
4.51
4.55
4.58
4.36
4.38
4.40
4.43
4.45
4.52
4.53
4.58
6.00
6.00
6.00
6.00
6.85
7.00
7.05
7.05
7.14
7.29
7.24
7.24
0.10
0.10
0.10
0.10
0.50
0.50
0.50
0.50
2.98
3.13
3.13
3.13
3.38
3.58
3.58
3.58
3.13
3.45
3.45
3.45
9
J
4
11
18
25
4.2566
4.3295
4.5104
4.5041
4.51
4.53
4.55
4.56
4.60
4.65
4.68
4.68
4.53
4.56
4.60
4.60
4.63
4.64
4.69
4.70
6.00
6.25
6.25
6.25
7.05
7.05
7.05
7.05
7.24
7.24
7.24
7.24
0.10
0.10
0.10
0.10
0.50
0.50
0.50
0.50
3.13
3.28
3.28
3.28
3.58
3.73
3.73
3.73
3.45
3.60
3.60
3.60
A
1
8
15
22
29
4.5024
4.5072
4.5156
4.4202
4.4158
4.56
4.66
4.87
4.85
4.89
4.71
4.77
4.92
4.84
4.88
4.63
4.67
4.92
5.15
5.15
4.74
4.79
4.93
5.05
5.10
6.25
6.25
6.25
6.25
6.25
7.05
7.05
7.05
7.05
7.05
7.24
7.24
7.24
7.24
7.24
0.10
0.10
0.10
0.10
0.10
0.50
0.50
0.50
0.50
0.50
3.28
3.28
3.28
3.18
3.08
3.73
3.73
3.73
3.58
3.48
3.60
3.60
3.60
3.35
3.23
S
5
12
19
26
4.4148
4.4248
4.4086
4.4637
4.93
5.01
4.91
4.84
4.92
5.08
4.93
4.88
5.15
5.25
5.33
5.36
5.10
5.25
5.41
5.40
6.25
6.25
6.25
6.25
7.05
7.05
7.05
7.05
7.24
7.24
7.19
7.19
0.10
0.10
0.10
0.10
0.50
0.50
0.50
0.50
3.08
3.08
3.08
3.13
3.48
3.48
3.48
3.48
3.23
3.35
3.23
3.23
O
3
4.5242
4.86
4.90
5.38
5.43
6.25
7.05
7.19
0.10
0.50
3.13
3.48
3.23
3
3.00
2.50
3.00
2.75
1 20
2.75
2.25
2.75
2.50
3
2.25
2
2.50
2.00
2.50
4 13
2.25
1.75
2.25
2.00
9
2.50
2.00
2.50
2.25
8
10 19
2005
Wednesday
Le
mercredi
S 60
2.75
2.25
2.75
2.50
7
3.00
2.50
3.00
2.75
10 18
3.25
2.75
3.25
3.00
12
9
6
3.50
3.00
3.50
3.25
1 24
3.75
3.25
3.75
3.50
3
7
4.00
3.50
4.00
3.75
4 25
4.25
3.75
4.25
4.00
5 24
4.50
4.00
4.50
4.25
7 10
4.75
4.25
4.75
4.50
S 61
Treasury bills
Bons du Trésor
1 month 3 month
À 1 mois À 3 mois
Selected Government of Canada benchmark bond yields
Quelques rendements d’obligations types du gouvernement
canadien
6 month 1 year
À 6 mois À 1 an
2 year
À 2 ans
3 year
À 3 ans
5 year
À 5 ans
7 year
À 7 ans
10 year
À 10 ans
Long-term
À long terme
Real
Return
Bonds,
long-term
Obligations
à long
terme à
rendement
réel
Government of Canada
marketable bonds,
average yield
Rendements moyens des
obligations négociables
du gouvernement canadien
1-3 year
De 1 à
3 ans
3-5 year
De 3 à
5 ans
5-10 year
De 5 à
10 ans
Other bonds: Average weighted yield
(Scotia Capital Inc.)
Rendements moyens pondérés des obligations
d’autres émetteurs (Scotia Capital Inc.)
Provincials
Provinces
Wednesday
Le mercredi
All corporates
Ensemble des sociétés
Over
10 years
De
plus de
10 ans
Mid-term
À moyen
terme
Long-term Mid-term Long-term
À long
À moyen À long
terme
terme
terme
V122529 V122531
V121777 V121778
V122532 V122533
V121779 V121780
V122538 V122539 V122540 V122542 V122543 V122544
V121786 V121787 V121788 V121789 V121790 V121791
V122553
V121808
V122558 V122485 V122486
V121755 V121756 V121757
V122487
V121758
V122545
V121792
V122517
V121759
V122519
V121762
V122518
V121761
M/M
W/S
2.69
2.87
3.06
3.06
2.86
3.06
3.31
3.37
3.02
3.26
3.53
3.65
3.24
3.53
3.80
3.87
3.30
3.60
3.77
3.80
3.37
3.67
3.80
3.83
3.58
3.86
3.89
3.87
3.74
3.99
3.94
3.87
3.94
4.16
4.06
3.93
4.21
4.37
4.18
4.02
1.64
1.70
1.65
1.44
3.28
3.58
3.77
3.80
3.51
3.80
3.86
3.85
3.79
4.04
3.98
3.89
4.21
4.38
4.20
4.04
3.96
4.20
4.17
4.15
4.64
4.82
4.67
4.54
4.30
4.57
4.55
4.46
5.15
5.34
5.24
5.09
2005
S
O
N
D
3.34
3.46
3.64
3.89
4.13
4.09
4.02
4.15
4.12
4.12
4.14
4.09
3.47
3.72
3.86
4.03
4.18
4.32
4.15
4.13
4.15
4.16
4.18
4.16
3.67
3.87
3.97
4.13
4.23
4.46
4.25
4.17
4.13
4.20
4.17
4.17
3.86
4.00
4.06
4.24
4.33
4.58
4.35
4.22
4.10
4.22
4.12
4.15
3.83
3.91
3.98
4.19
4.18
4.45
4.15
4.02
3.89
4.08
3.90
3.98
3.87
3.96
4.07
4.30
4.25
4.50
4.19
4.01
3.88
4.09
3.87
3.95
3.98
4.02
4.13
4.38
4.31
4.53
4.25
4.03
3.88
4.08
3.85
3.95
4.03
4.05
4.19
4.45
4.39
4.58
4.31
4.06
3.92
4.11
3.87
3.98
4.11
4.10
4.23
4.52
4.45
4.63
4.38
4.12
3.98
4.17
3.94
4.05
4.20
4.15
4.23
4.57
4.50
4.67
4.45
4.20
4.07
4.24
4.02
4.10
1.54
1.44
1.59
1.79
1.83
1.90
1.80
1.61
1.66
1.78
1.63
1.73
3.83
3.92
4.00
4.19
4.22
4.49
4.20
4.04
3.91
4.10
3.92
3.98
3.95
4.00
4.11
4.34
4.29
4.53
4.25
4.01
3.87
4.07
3.85
3.94
4.05
4.07
4.20
4.47
4.40
4.61
4.35
4.07
3.94
4.13
3.90
4.01
4.22
4.17
4.26
4.59
4.51
4.69
4.46
4.22
4.08
4.25
4.03
4.11
4.29
4.30
4.44
4.71
4.67
4.85
4.60
4.31
4.17
4.36
4.11
4.26
4.71
4.67
4.78
5.07
5.01
5.18
4.96
4.69
4.55
4.70
4.47
4.56
4.64
4.68
4.82
5.09
5.05
5.25
5.01
4.72
4.58
4.75
4.51
4.64
5.30
5.27
5.37
5.67
5.60
5.81
5.60
5.33
5.18
5.33
5.11
5.18
2006
J
F
M
A
M
J
J
A
S
O
N
D
4.15
4.20
4.15
4.11
4.17
4.14
4.29
3.90
3.90
4.17
4.19
4.16
4.16
4.29
4.42
4.57
3.83
3.97
4.19
4.20
4.19
4.24
4.43
4.55
4.69
4.18
4.21
4.21
4.19
4.18
4.31
4.56
4.73
4.79
4.25
4.29
4.10
3.97
3.96
4.13
4.56
4.64
4.69
4.23
4.16
4.09
3.94
3.98
4.12
4.55
4.66
4.67
4.27
4.25
4.08
3.95
3.99
4.11
4.53
4.62
4.63
4.30
4.29
4.12
3.98
4.03
4.12
4.50
4.63
4.59
4.33
4.34
4.17
4.03
4.10
4.15
4.48
4.62
4.58
4.38
4.41
4.22
4.09
4.21
4.20
4.39
4.56
4.49
4.44
4.50
1.79
1.75
1.77
1.76
2.02
2.15
2.09
2.15
2.15
4.10
3.97
4.01
4.17
4.56
4.66
4.71
4.28
4.22
4.08
3.94
3.98
4.11
4.54
4.64
4.64
4.28
4.28
4.14
3.99
4.05
4.13
4.49
4.63
4.59
4.35
4.36
4.23
4.10
4.21
4.21
4.43
4.59
4.52
4.44
4.50
4.39
4.23
4.28
4.35
4.71
4.88
4.66
4.53
4.64
4.64
4.84
5.07
4.76
4.59
4.67
4.80
5.18
5.37
5.28
5.15
5.27
5.38
5.63
5.82
2007
J
F
M
A
M
J
J
A
S
4.17
4.11
4.14
4.14
4.30
4.36
4.36
4.42
4.46
4.56
4.54
4.55
4.58
4.78
4.74
4.73
4.62
4.73
4.68
4.64
4.62
4.75
4.70
4.66
4.60
4.72
4.66
4.62
4.56
4.70
4.66
4.63
4.52
4.68
4.64
4.62
4.39
4.60
4.55
4.56
2.01
2.18
2.15
2.15
4.63
4.74
4.69
4.66
4.60
4.73
4.68
4.64
4.53
4.69
4.65
4.63
4.42
4.62
4.58
4.59
4.79
4.94
4.91
4.88
4.88
5.09
5.06
5.07
5.24
5.41
5.37
5.37
5.64
5.84
5.81
5.82
2007
J
6
13
20
27
4.22
4.21
4.28
4.29
4.42
4.51
4.49
4.57
4.57
4.61
4.59
4.69
4.72
4.71
4.68
4.79
4.62
4.63
4.65
4.69
4.61
4.64
4.66
4.67
4.58
4.61
4.63
4.63
4.59
4.62
4.62
4.59
4.58
4.61
4.61
4.58
4.51
4.55
4.54
4.49
2.11
2.14
2.16
2.09
4.64
4.66
4.68
4.71
4.60
4.63
4.64
4.64
4.59
4.62
4.63
4.59
4.53
4.58
4.57
4.52
J
4
11
18
25
4.31
4.32
4.20
3.95
3.90
4.54
4.62
4.36
3.96
3.83
4.67
4.70
4.41
4.12
4.18
4.73
4.81
4.43
4.14
4.25
4.64
4.67
4.30
4.20
4.23
4.61
4.64
4.35
4.24
4.27
4.57
4.60
4.36
4.31
4.30
4.53
4.56
4.41
4.35
4.33
4.52
4.55
4.44
4.41
4.38
4.45
4.47
4.47
4.49
4.44
2.06
2.09
2.10
2.15
2.15
4.67
4.70
4.37
4.25
4.28
4.58
4.61
4.36
4.28
4.28
4.53
4.56
4.42
4.37
4.35
4.48
4.50
4.49
4.49
4.44
A
1
8
15
22
29
4.05
3.88
4.01
3.90
4.08
3.88
4.06
3.97
4.27
4.20
4.24
4.21
4.32
4.30
4.28
4.29
4.21
4.22
4.25
4.16
4.25
4.26
4.27
4.25
4.27
4.27
4.30
4.29
4.30
4.28
4.35
4.34
4.34
4.33
4.40
4.41
4.39
4.39
4.48
4.50
2.09
2.07
2.13
2.15
4.25
4.25
4.27
4.22
4.26
4.26
4.29
4.28
4.31
4.30
4.36
4.36
4.40
4.39
4.48
4.50
S
5
12
19
26
3.89
3.98
4.21
4.23
4.14
4.22
4.24
4.29
4.36
4.45
2.08
4.19
4.23
4.31
4.45
O
3
F1
Continued
Suite
Tuesday
Le mardi
Treasury bill auction
Adjudication de bons du Trésor
S 62
Average yields
Rendement moyen
3 month
À 3 mois
M/M
W/S
6 month
À 6 mois
Wednesday
Le mercredi
Amount auctioned
Montant adjugé
1 year
À 1 an
3 month
À 3 mois
6 month 1 year
À 6 mois À 1 an
V122541
V121799
V122552
V121800
V122498
V121801
V122534
V121802
V122535 V122536
V121803 V121804
Amount
maturing
Montant
arrivant à
échéance
V122537
V121805
Selected U.S. dollar interest rates
Quelques taux d’intérêt pratiqués aux États-Unis
Federal
funds rate
Taux des
fonds
fédéraux
M/M
W/S
Prime rate
charged
by banks
Taux de
base des
prêts
bancaires
Commercial paper
(adjusted)
Papier commercial
(taux corrigés)
1 month
À 1 mois
3 month
À 3 mois
V122150
V121821
V122148
V121820
V122144
V121822
U.S. Treasuries
constant maturity
Obligations du
Trésor américain
à échéance fixe
Forward premium or
discount (-)
U.S. dollars in Canada
Report ou déport (-)
sur le dollar É.-U.
au Canada
1 month
À 1 mois
3 month
À 3 mois
V122546
V121793
V122505
V121807
5 year
À 5 ans
10 year
À 10 ans
V122141
V121823
V122142
V121826
V4429276
V4429275
3.90
4.12
4.11
4.46
4.42
4.32
4.26
4.60
4.49
4.38
-1.04
-1.14
-1.15
-1.15
-1.04
-1.07
-1.04
-1.04
4.41
4.57
4.79
5.02
5.04
5.23
4.99
4.72
4.56
4.75
4.51
4.64
4.49
4.53
4.81
5.12
5.12
5.25
5.04
4.76
4.60
4.78
4.52
4.66
-1.06
-0.85
-1.04
-1.08
-0.99
-1.08
-1.18
-0.99
-1.09
-1.08
-1.07
-1.15
-0.99
-0.95
-1.04
-0.97
-0.96
-1.12
-1.21
-1.10
-1.09
-1.12
-1.10
-1.08
2005
S
O
N
D
2.813
3.025
3.304
3.395
2.935
3.234
3.533
3.648
3.093
3.437
3.774
3.930
5,300
4,700
6,800
4,700
2,100
1,900
2,600
1,900
2,100
1,900
2,600
1,900
9,700
9,700
9,000
8,700
2005
S
O
N
D
3.77
3.76
4.02
4.22
6.75
6.75
7.00
7.25
3.77
4.04
4.17
4.36
2006
J
F
M
A
M
J
J
A
S
O
N
D
3.490
3.712
3.788
3.974
4.175
4.300
4.157
4.129
4.165
4.169
4.177
4.161
3.670
3.865
3.891
4.080
4.203
4.441
4.244
4.200
4.163
4.183
4.167
4.172
3.849
4.013
3.990
4.184
4.278
4.553
4.339
4.271
4.172
4.172
4.105
4.147
4,100
5,900
6,800
4,700
5,300
6,200
5,000
4,400
6,200
5,900
6,800
4,100
1,700
2,300
2,600
1,900
2,100
2,400
2,000
1,800
2,400
2,300
2,600
1,700
1,700
2,300
2,600
1,900
2,100
2,400
2,000
1,800
2,400
2,300
2,600
1,700
9,100
11,500
10,300
7,900
10,700
10,400
8,100
8,900
9,700
9,700
9,200
9,800
2006
J
F
M
A
M
J
J
A
S
O
N
D
4.26
4.49
4.70
4.74
5.01
5.00
5.24
5.25
5.27
5.24
5.26
5.24
7.25
7.50
7.75
7.75
8.00
8.00
8.25
8.25
8.25
8.25
8.25
8.25
4.47
4.56
4.81
4.97
5.06
5.29
5.31
5.26
5.26
5.27
5.28
5.36
2007
J
F
M
A
M
J
J
A
S
4.156
4.184
4.173
4.168
4.286
4.418
4.562
4.009
4.105
4.182
4.213
4.195
4.240
4.433
4.563
4.685
4.067
4.300
4.190
4.233
4.170
4.295
4.559
4.745
4.780
4.061
4.392
4,400
6,500
6,200
3,800
4,400
5,600
4,400
4,700
4,400
1,800
2,500
2,400
1,600
1,800
2,200
1,800
1,900
1,800
1,800
2,500
2,400
1,600
1,800
2,200
1,800
1,900
1,800
8,400
11,600
10,000
7,400
11,200
9,500
7,500
9,000
11,400
2007
J
F
M
A
M
J
J
A
S
5.27
5.28
5.26
5.23
5.28
5.25
5.26
5.11
4.78
8.25
8.25
8.25
8.25
8.25
8.25
8.25
8.25
7.75
5.25
5.28
5.30
5.31
5.31
5.31
5.32
5.27
4.80
5.25
5.26
5.27
5.28
5.28
5.35
5.30
5.30
4.85
4.82
4.52
4.50
4.55
4.83
4.97
4.80
4.31
4.27
4.83
4.56
4.62
4.66
4.88
5.09
4.92
4.57
4.63
-1.03
-1.14
-1.15
-1.20
-1.02
-0.91
-0.94
-0.69
-0.36
-0.90
-1.07
-1.08
-1.06
-0.98
-0.83
-0.70
-0.65
-0.36
2007
J
2007
J
4.349
4.560
4.779
4,700
1,900
1,900
11,500
4.418
4.563
4.745
5,600
2,200
2,200
9,500
6
13
20
27
5.24
5.26
5.25
5.25
8.25
8.25
8.25
8.25
5.28
5.34
5.32
5.31
5.27
5.32
5.34
5.35
4.94
5.13
5.05
4.97
4.97
5.20
5.14
5.09
-1.15
-1.03
-1.03
-0.91
-0.96
-0.91
-0.87
-0.83
J
4.512
4.623
4.748
5,300
2,100
2,100
11,400
4.562
4.685
4.780
4,400
1,800
1,800
7,500
4
11
18
25
5.28
5.23
5.27
5.26
8.25
8.25
8.25
8.25
5.30
5.28
5.29
5.32
5.31
5.26
5.32
5.30
4.95
4.98
4.91
4.80
5.05
5.09
5.02
4.92
-0.92
-0.81
-0.82
-0.94
-0.84
-0.77
-0.74
-0.70
A
4.609
4.698
4.756
4,700
1,900
1,900
9,300
4.009
4.067
4.061
4,700
1,900
1,900
9,000
1
8
15
22
29
5.27
5.25
4.79
4.91
5.11
8.25
8.25
8.25
8.25
8.25
5.30
5.34
5.30
5.29
5.27
5.31
7
14
21
28
5.28
5.31
5.30
4.60
4.69
4.41
4.34
4.31
4.76
4.84
4.69
4.63
4.57
-0.92
-0.93
-0.68
-0.69
-0.69
-0.69
-0.70
-0.68
-0.61
-0.65
4
11
18
25
4.081
4.299
4.356
5,000
2,000
2,000
11,500
4.105
4.300
4.392
4,400
1,800
1,800
11,400
5
12
19
26
5.03
4.98
5.12
4.78
8.25
8.25
7.75
7.75
5.27
5.06
4.83
4.80
5.04
4.88
4.85
4.16
4.11
4.20
4.27
4.48
4.41
4.53
4.63
-0.81
-0.47
-0.36
-0.36
-0.62
-0.43
-0.20
-0.36
2
4.015
4.207
4.228
4,100
1,700
1,700
12,000
-0.24
-0.41
J
A
S
O
5
12
19
26
3
10
17
24
31
S
O
3
4.84
4.97
5.36
5.28
5.30
F2
Corporate short-term paper outstanding
Encours des effets à court terme des sociétés
Millions of Canadian dollars
End
of period
En fin
de période
2005
2006
2007
En millions de dollars canadiens
Of which: Paper
issued by
non-financial
corporations
Dont : Papier
des sociétés
non financières
Of which:
Securitizations
Dont :
Titrisation
Of which:
U.S. dollars
Dont :
Dollars
É.-U.
Canadian
dollar
bankers’
acceptances
Acceptations
bancaires
en dollars
canadiens
V122246
V122253
V122254
V122255
V122243
V122241
V122256
19,054
24,263
27,950
29,317
28,751
26,341
31,737
35,600
40,482
47,172
69,081
93,392
116,144
131,120
123,884
118,906
109,112
116,615
134,033
164,250
5,498
9,185
10,796
12,722
13,976
15,223
14,079
16,551
17,850
17,227
19,830
19,943
20,414
26,212
20,914
18,835
14,669
14,821
13,128
12,277
3,733
3,677
4,838
8,545
22,373
41,243
52,837
60,044
61,525
63,391
62,567
65,438
83,987
108,183
7,233
10,766
12,016
11,833
15,309
13,350
11,452
7,064
8,483
8,292
11,282
31,115
40,191
43,666
44,109
36,151
21,970
26,171
26,607
30,701
33,965
40,173
45,923
47,063
51,517
44,287
37,360
32,274
32,524
39,059
52,530
50,169
64,454
71,616
73,426
64,902
48,311
57,908
62,207
71,183
81,137
109,254
139,315
163,207
182,637
168,171
156,266
141,386
149,139
173,092
216,780
11,119
9,966
11,503
13,626
13,513
17,480
15,980
17,215
16,843
15,979
16,194
17,305
16,593
17,994
18,149
21,050
21,103
18,736
13,704
16,036
A
S
O
N
D
110,226
111,843
111,502
111,566
116,615
14,792
14,530
14,355
13,758
14,821
60,930
62,957
62,882
63,138
65,438
8,605
8,800
8,386
8,965
8,483
34,667
33,039
35,625
35,444
32,524
144,893
144,882
147,127
147,010
149,139
19,194
19,815
19,240
18,548
18,736
J
F
M
A
M
J
J
A
S
O
N
D
114,455
117,321
121,155
122,230
125,147
123,422
126,017
127,050
128,853
131,131
133,870
134,033
13,362
14,193
14,646
15,076
13,975
13,110
15,093
14,338
13,883
14,320
14,354
13,128
66,124
66,389
69,987
71,255
74,352
75,418
76,618
77,080
79,228
80,587
81,208
83,987
8,217
9,616
9,059
10,487
9,924
9,537
10,196
8,890
8,923
8,738
8,680
8,292
32,769
33,908
34,625
37,268
35,322
35,352
37,580
38,264
38,216
38,789
38,828
39,059
147,224
151,229
155,780
159,498
160,469
158,774
163,597
165,314
167,069
169,920
172,698
173,092
17,248
14,336
13,043
13,039
13,661
13,060
11,901
12,296
11,142
10,365
10,683
13,704
J
F
M
A
M
J
J
A
S
O
N
D
139,170
141,241
141,516
139,432
141,210
146,924
150,152
151,394
153,473
157,768
162,112
164,250
13,832
14,415
10,651
10,784
11,036
11,278
12,772
12,528
11,463
12,782
14,203
12,277
88,849
89,630
91,475
90,829
92,541
95,119
97,525
98,122
100,944
102,554
105,878
108,183
8,532
8,652
9,486
8,931
10,006
10,995
11,308
11,800
10,018
11,436
11,802
11,282
42,056
42,794
44,322
45,866
45,728
45,820
49,091
48,400
47,604
49,326
52,658
52,530
181,226
184,035
185,838
185,298
186,938
192,744
199,243
199,794
201,077
207,094
214,770
216,780
13,147
12,616
13,812
17,608
17,634
19,211
17,054
17,016
15,535
15,193
16,030
16,036
J
F
M
A
M
J
J
A
165,755R
167,057R
166,656R
170,601R
171,901R
169,276R
170,847
13,798
14,108
11,817
14,260
12,617
10,658
11,152R
10,442
108,322
109,744
111,742
114,420
115,949
115,738R
115,736
13,099
13,315
12,702
12,747
12,493
11,221
11,509
55,900
56,700
55,095
58,712
58,573
56,368
57,735
221,655R
223,757R
221,751R
229,313R
230,474R
225,644R
228,582
15,272
15,444
16,088
15,267
16,381
15,102
14,866
17,172
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
2004
S 63
Commercial paper
Papier commercial
Total
Total
Total
corporate
short-term
paper
Papier
à court terme
émis par les
sociétés
Treasury bills and
other short-term paper
Bons du Trésor et autres
effets à court terme
Provincial
governments
and their
enterprises
Provinces
et entreprises
provinciales
Municipal
governments
Municipalités
V122257
Total treasury
bills and other
short-term paper
Ensemble des
bons du Trésor
et autres effets
à court terme
Commercial
paper issued
by foreign
corporations
Papier
commercial
des sociétés
étrangères
V122258
V122259
326
289
418
559
438
210
282
321
289
306
322
116
84
153
169
43
41
112
147
141
61,615
74,709
83,537
87,611
78,853
66,000
74,170
79,743
88,316
97,423
125,770
156,737
179,884
200,785
186,490
177,359
162,530
167,987
186,944
232,956
51
164,748
112
167,987
151
168,974
148
171,983
129
178,340
147
186,944
200
199,850
157
212,112
160
216,772
141
232,956
165
238,004R
167
240,913R
302
548
812
1,098
579
24
1,285
2,028
2,346
2,562
4,172
6,406
9,531
14,007
6,107
6,239
6,117
6,244
6,406
5,909
6,621
6,856
7,278
7,544
8,525
8,799
8,056
8,938
8,269
10,101
9,531
9,310
9,698
10,503
9,040
8,568
7,341
8,675
10,452
11,635
11,300
11,818
14,007
12,414R
14,829R
17,124R
17,307R
16,826R
17,763R
17,775R
10,063
F3
Month
Mois
Stock market statistics: Canada and United States
Statistiques boursières : Canada et États-Unis
S 64
Canadian stock market indicators
Indicateurs des cours et de l’activité des Bourses au Canada
Toronto Stock Exchange Bourse de Toronto
Stock price indexes 1975 = 1000
Indices des cours des actions, 1975 = 1000
Composite
Indice synthétique
Closing quotations1
Cours de clôture durant le mois1
Closing quotations
Cours de clôture durant le mois
Energy
Énergie
Metals
and
mining
Métaux
et
minerais
Utilities
Services
aux
collectivités
Industrials
Industrie
Materials
Matériaux
Financials
Finance
Gold
Or
Telecommunication
services
Services
de
télécommunication
Consumer
discretionary
Consommation
discrétionnaire
Consumer
staples
Consommation
de base
Information
technology
Technologies
de
l’information
V19457784
V19457786
V19457782
V19457783
V19457788
V19457779
V19457780
V19457785
High
Haut
Low
Bas
Close
Dernier
jour
V122618
V122619
V122620
2003 S
O
N
D
7,667.1
7,819.0
7,908.7
8,276.8
7,379.9
7,421.1
7,710.7
7,859.4
7,421.1
7,772.7
7,859.4
8,220.9
135.4
135.7
139.7
155.6
160.7
193.2
197.7
230.4
141.4
149.4
151.3
153.0
70.7
74.6
72.2
77.0
129.0
138.4
148.5
157.7
120.5
128.8
129.5
132.5
193.5
208.1
237.2
227.9
57.9
61.0
61.4
63.2
80.0
84.9
83.3
86.9
161.4
169.8
166.8
177.0
24.4
24.9
25.1
25.5
2004 J
F
M
A
M
J
J
A
S
O
N
D
8,645.3
8,808.8
8,885.6
8,917.6
8,481.4
8,578.1
8,545.6
8,503.4
8,672.0
8,900.0
9,078.7
9,287.4
8,220.9
8,521.2
8,416.0
8,217.7
8,098.1
8,274.9
8,242.8
8,116.2
8,320.1
8,663.4
8,795.5
8,965.3
8,521.4
8,788.5
8,585.9
8,244.0
8,417.3
8,545.6
8,458.1
8,377.0
8,668.3
8,871.0
9,030.1
9,246.7
154.4
167.3
166.1
164.6
165.6
169.2
178.8
172.6
187.5
191.9
201.0
200.3
214.5
230.8
223.0
195.4
220.5
225.0
218.2
222.7
247.1
236.2
262.3
267.2
149.6
152.0
155.9
149.4
143.9
141.0
140.0
145.1
145.5
151.4
158.1
161.5
77.2
77.9
74.6
74.7
73.3
74.2
71.8
69.3
69.0
69.8
70.5
75.5
146.5
155.3
155.0
139.1
149.8
149.1
144.7
151.2
161.9
157.1
168.2
166.7
138.8
140.9
141.9
139.1
139.9
140.6
142.9
142.3
144.4
151.4
147.2
154.4
203.2
211.3
229.9
186.7
207.6
198.9
188.7
202.9
215.1
217.7
222.5
207.4
68.5
68.4
63.8
61.5
60.7
59.2
62.2
61.3
61.0
64.9
69.1
71.8
89.2
89.7
86.8
88.4
90.3
90.9
87.2
85.2
86.3
86.9
88.7
94.0
173.3
176.7
176.2
170.8
174.9
177.0
174.2
170.6
176.8
177.7
187.8
193.5
34.2
35.5
32.4
29.2
32.7
36.8
31.2
29.3
29.6
31.3
31.5
31.8
2005 J
F
M
A
M
J
J
A
S
O
N
D
9,246.8
9,774.6
9,968.4
9,701.4
9,679.9
10,075.0
10,542.0
10,728.6
11,118.0
11,084.6
11,146.1
11,296.8
8,952.8
9,204.1
9,390.5
9,246.3
9,261.5
9,604.6
9,902.8
10,373.2
10,668.9
10,145.1
10,383.3
10,824.1
9,204.1
9,668.3
9,612.4
9,369.3
9,607.3
9,902.8
10,422.9
10,668.9
11,011.8
10,383.3
10,824.1
11,272.3
209.9
235.8
235.5
223.0
235.4
263.8
286.3
317.4
332.1
287.0
297.9
319.9
262.2
320.3
311.8
290.6
288.8
290.1
325.4
326.7
364.7
348.6
368.5
388.1
167.6
163.5
163.2
163.5
169.8
177.7
185.6
196.9
205.9
200.6
210.1
213.1
77.1
78.8
80.7
79.5
81.0
78.7
85.2
82.9
84.9
82.2
85.6
86.8
159.7
174.7
165.0
153.5
154.6
158.1
167.0
166.1
173.5
165.4
177.2
189.9
151.1
157.3
158.1
159.6
160.4
163.8
170.8
168.1
173.9
171.1
182.1
186.2
197.3
208.5
194.1
179.5
181.3
199.1
192.4
199.3
219.4
213.9
227.5
251.8
75.1
76.5
77.6
78.0
78.4
79.0
79.2
82.0
84.6
78.3
76.5
79.9
93.2
94.9
93.0
94.1
98.3
98.0
102.0
101.4
101.8
96.9
99.5
102.1
200.1
204.3
203.3
203.4
205.0
204.0
205.1
207.3
204.4
193.9
187.9
189.1
30.1
28.3
29.1
27.0
29.1
27.1
27.2
28.2
27.8
27.0
26.4
27.6
2006 J
F
M
A
M
J
J
A
S
O
N
D
12,000.0
12,080.5
12,287.5
12,494.7
12,420.6
11,932.4
11,929.9
12,226.6
12,210.9
12,415.9
12,782.6
13,053.2
11,272.3
11,458.4
11,649.4
12,110.6
11,345.1
10,860.7
11,410.4
11,817.5
11,464.6
11,407.3
12,002.6
12,665.9
11,945.6
11,688.3
12,110.6
12,204.2
11,744.5
11,612.9
11,831.0
12,073.8
11,761.3
12,344.6
12,752.4
12,908.4
363.4
326.9
350.5
358.6
345.5
349.5
354.2
341.7
307.3
323.9
330.7
324.6
447.4
427.6
459.6
487.5
512.8
513.1
555.3
556.1
522.9
609.8
622.1
643.0
201.0
203.7
192.0
190.1
196.9
191.8
197.9
201.6
200.8
203.6
206.1
217.1
92.1
93.7
95.4
96.0
90.4
89.9
86.7
89.7
90.1
99.5
99.4
98.6
214.2
202.1
217.8
231.3
223.2
218.8
228.4
233.6
217.8
239.9
261.2
262.1
188.7
195.4
197.7
194.1
185.9
181.4
185.2
194.3
196.9
200.5
207.4
214.2
291.3
264.6
298.8
332.3
304.2
296.3
303.7
318.3
282.6
300.4
342.9
325.4
78.4
75.6
78.8
80.4
78.6
77.6
81.0
87.6
94.9
98.4
90.5
92.0
104.6
107.9
107.6
110.0
108.0
104.3
103.7
106.6
106.9
112.9
114.3
115.6
185.5
189.9
186.1
191.9
185.3
179.4
178.2
188.2
183.4
184.6
189.5
195.9
27.6
27.5
30.5
27.5
24.6
24.3
24.4
26.5
29.4
29.9
32.2
34.2
2007 J
F
M
A
M
J
J
A
S
13,074.1
13,433.0
13,308.1
13,713.1
14,216.2
14,209.4
14,646.8
13,868.6
14,167.3
12,412.6
12,947.9
12,661.5
13,165.5
13,305.1
13,535.3
13,705.0
12,463.8
13,539.9
13,034.1
13,045.0
13,165.5
13,416.7
14,056.8
13,906.6
13,868.6
13,660.5R
14,098.9
322.1
316.2
325.9
334.0
357.9
356.7
353.8
335.2
346.1
641.5
655.8
689.7
720.0
814.6
819.1
877.7
797.7
880.0
204.2
198.6
202.2
212.3
223.4
212.5
222.4
218.6
224.2
104.7
105.1
105.8
110.4
118.2
118.3
118.0
116.3
117.3
270.5
273.2
269.9
271.6
293.4
291.9
312.3
300.7
328.0
214.1
215.1
218.9
219.3
223.2
217.8
210.9
215.3
219.5
322.8
322.6
305.8
291.8
280.2
268.0
287.1
269.3
304.9
95.1
95.8
98.4
107.4
112.0
112.2
112.0
111.1
109.8
120.3
118.8
120.6
123.6
125.8
124.9
125.1
123.8
123.7
200.7
196.7
194.2
202.6
200.8
202.9
204.0
200.3
197.2
34.4
35.8
33.6
32.8
34.8
36.0
35.3
35.9
35.4
V19457781 V19457787 V19457789
1. Indexes compiled by Standard & Poor’s.
2. Between August 2001 and July 2002, the price-earnings ratio was not listed because published 12-month trailing earnings
were negative.
1. Indices établis par Standard & Poor’s
2. Le taux de capitalisation des bénéfices n’est pas indiqué pour la période d’août 2001 à juillet 2002 parce que les derniers
chiffres publiés pour les bénéfices sur 12 mois étaient négatifs.
S 65
U.S. stock market indicators (New York Stock Exchange)
Indicateurs des cours et de l’activité des Bourses aux États-Unis
(Bourse de New York)
29 January
1982=100
29 janvier
1982 = 100
Standard & Poor’s
Standard & Poor’s
Stock
dividend
yields
(composite)
Rendement
sous forme
de
dividendes
(indice
synthétique)
Price/
earnings
ratio
(composite)2
Taux de
capitalisation des
bénéfices
(indice
synthétique)2
Toronto stock exchange
Bourse de Toronto
Value of
shares
traded,
$ millions
Valeur des
actions
négociées
(en millions
de dollars)
Volume of
shares
traded,
millions
of shares
Volume des
actions
négociées
(en millions
d’actions)
Dow Jones
Industrials (30)
Dow Jones :
Industrielles (30)
Standard & Poor’s
(500) 1941-43 = 10
Standard & Poor’s :
(500) 1941-1943 = 10
V19457778
V122628
V122629
V37412
V37413
V37416
V37425
416.6
436.2
438.3
458.7
1.80
1.72
1.72
1.64
20.23
20.79
20.02
19.72
61,714.9
64,084.4
55,358.0
66,003.0
5,746.9
5,475.7
5,514.1
5,253.0
9,275.1
9,801.1
9,782.5
10,453.9
1,006.58
1,050.71
1,058.28
1,111.92
864,005
958,747
730,934
856,554
30,171
32,891
24,572
28,065
1.63
1.62
1.63
1.60
27.69
27.24
26.69
27.88
2003
S
O
N
D
476.6
490.6
475.6
455.9
463.6
472.8
469.3
465.5
482.2
496.4
501.2
511.9
1.62
1.62
1.67
1.74
1.74
1.72
1.75
1.82
1.74
1.71
1.70
1.67
20.22
20.48
19.28
18.82
18.83
19.17
19.24
18.74
19.45
18.74
18.40
18.81
84,253.0
72,689.0
86,439.0
75,231.5
61,916.9
62,149.9
54,344.0
51,945.6
66,082.9
70,942.4
75,957.4
71,954.5
7,183.0
5,745.0
6,125.4
5,316.2
4,477.9
4,376.7
3,925.6
4,004.4
4,669.8
4,884.7
5,421.3
5,147.9
10,488.1
10,583.9
10,357.7
10,225.6
10,188.5
10,435.5
10,139.7
10,173.9
10,080.3
10,027.5
10,428.0
10,783.0
1,131.13
1,144.94
1,126.21
1,107.30
1,120.68
1,140.83
1,101.72
1,104.24
1,114.58
1,130.20
1,173.82
1,211.92
1,006,954
879,836
1,083,838
1,028,910
938,238
914,210
925,992
829,122
877,630
1,039,680
1,029,056
1,064,684
33,261
28,142
33,982
32,018
30,001
28,799
29,781
27,358
27,767
32,414
31,383
32,193
1.53
1.53
1.56
1.60
1.68
1.65
1.69
1.75
1.73
1.72
1.70
1.75
23.71
23.48
22.52
21.20
21.00
21.36
19.50
19.53
19.64
19.29
19.81
20.44
2004
J
F
M
A
M
J
J
A
S
O
N
D
506.8
532.1
533.9
522.0
536.9
555.1
585.0
600.4
620.0
585.5
611.1
634.7
1.68
1.67
1.68
1.75
1.78
1.72
1.65
1.62
1.57
1.68
1.65
1.99
18.74
17.60
17.81
17.24
17.59
18.53
18.99
19.22
20.33
18.79
19.85
19.94
75,607.8
87,024.2
100,109.2
75,289.7
74,104.2
87,931.2
72,034.9
97,890.1
108,070.2
99,605.8
106,014.2
91,529.2
4,955.6
5,727.2
6,219.3
4,452.3
4,496.4
4,910.7
4,144.4
5,513.1
6,394.3
5,483.2
5,969.2
5,901.6
10,489.9
10,766.2
10,503.8
10,192.5
10,467.5
10,275.0
10,640.9
10,481.6
10,568.7
10,440.1
10,805.9
10,717.5
1,181.27
1,203.60
1,180.59
1,156.84
1,191.50
1,191.33
1,234.18
1,220.33
1,228.81
1,207.01
1,249.48
1,248.29
1,081,151
1,036,193
1,299,362
1,234,326
1,067,802
1,154,233
1,061,643
1,180,029
1,271,684
1,355,740
1,224,610
1,158,531
32,368
29,987
37,017
35,549
31,544
33,347
29,578
33,153
35,344
38,781
34,475
32,623
1.80
1.80
1.80
2.01
1.99
1.98
1.99
2.00
2.00
1.77
1.77
1.77
19.43
20.05
19.74
18.98
19.54
19.49
19.40
19.11
19.17
17.70
18.36
18.27
2005
J
F
M
A
M
J
J
A
S
O
N
D
672.7
659.3
682.5
685.3
657.4
653.5
667.4
682.2
673.2
703.4
732.3
742.8
1.90
2.00
2.28
2.27
2.45
2.46
2.44
2.46
2.55
2.43
2.40
2.42
20.62
19.32
19.50
19.26
17.68
18.08
17.22
16.88
15.96
16.21
16.24
15.78
118,101.2
116,780.7
123,242.6
101,584.5
133,395.5
115,547.8
101,321.4
113,190.5
125,175.2
129,146.9
134,968.3
103,614.2
7,673.6
6,987.0
7,708.4
7,061.9
7,559.5
6,062.6
4,736.9
5,768.0
6,646.0
7,282.8
8,482.8
6,080.4
10,864.9
10,993.4
11,109.3
11,367.1
11,168.3
11,150.2
11,185.7
11,381.2
11,679.1
12,080.7
12,221.9
12,463.2
1,280.08
1,280.66
1,294.83
1,310.61
1,270.09
1,270.20
1,276.66
1,303.82
1,335.85
1,377.94
1,400.63
1,418.30
1,387,638
1,253,903
1,430,885
1,221,402
37,353
33,003
38,091
31,934
1.76
1.80
1.79
1.78
1.80
1.88
1.90
1.86
1.86
1.80
1.79
1.78
18.11
17.88
17.97
17.81
17.10
17.01
16.98
17.38
17.59
17.46
17.58
17.76
2006
J
F
M
A
M
J
J
A
S
O
N
D
747.5
743.8
752.5
765.3
804.5
799.7
799.4
793.4
817.4
2.39
2.42
2.46
2.41
2.36
2.39
2.42
2.49
2.40
15.96
15.97
16.30
16.59
17.54
17.32
17.47
17.65
18.50
128,940.9
122,599.2
134,644.3
124,157.5
155,025.4
152,561.0
152,256.5
157,510.7
129,817.2
7,768.5
8,062.1
7,907.4
7,952.4
8,836.1
8,000.5
7,750.9
8,030.4
7,074.3
12,621.7
12,268.6
12,354.3
13,062.9
13,627.6
13,408.6
13,212.0
13,357.7
13,895.6
1,438.24
1,406.82
1,420.86
1,482.37
1,530.62
1,503.35
1,455.27
1,473.99
1,526.75
1.78
1.76
1.81
1.80
18.06
17.13
17.06
17.45
17.99
17.71
16.78
17.06
17.68
2007
J
F
M
A
M
J
J
A
S
Toronto 60
Index
Indice
Toronto 60
Common stock price indexes,
closing quotations at month-end
Indices des cours de clôture des actions
ordinaires en fin de mois
Value of
shares
traded,
U.S. $
millions
Valeur
des actions
négociées
(en millions
de dollars
É.-U.)
Volume
of shares
traded,
millions
of shares
Volume des
actions
négociées
(en millions
d’actions)
V37417
V37418
Stock
dividend
yields
(common)
Rendement
sous forme
de dividendes
(actions
ordinaires)
Month
Mois
Priceearnings
ratio
Taux de
capitalisation
des bénéfices
V37422
F4
Net new security issues placed in Canada and abroad
Émissions nettes de titres placés au Canada et à l’étranger
Millions of Canadian dollars, par value
Year
and
quarter
Année
ou
trimestre
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
S 66
En millions de dollars canadiens, valeur nominale
Government
of Canada
bonds
Obligations
du
gouvernement
canadien
Provincial
bonds
Obligations
des
provinces
Municipal
bonds
Obligations
des
municipalités
V122305
V122308
10,641
19,606
10,264
-2,651
7,015
19,520
13,088
22,053
34,101
25,695
33,364
18,439
9,895
2,214
-4,958
-16,622
-8,498
-13,563
-19,501
-8,845
-7,367
15,528
10,014
9,756
10,153
11,349
30,404
22,234
32,546
17,817
14,144
3,674
2,689
7,623
4,823
-113
7,730
4,564
1,068
19,118
10,074
9,000
Corporations
Sociétés
Bonds
Obligations
Preferred
and
common
stocks
Actions
privilégiées
ou ordinaires
Trust
units
Parts de
fiducie
Other
institutions
and
foreign
borrowers
Autres
institutions
et emprunteurs
étrangers
V122311
V122314
V122335
V20647460
V122323
864
465
1,314
1,041
972
1,528
625
546
126
215
153
197
-16
-200
-482
117
446
1,508
1,594
387
1,300 R
12,442
7,999
13,786
18,565
6,196
5,379
1,581
7,540
4,148
19,151
20,475
39,360
33,882
40,679
22,869
64,444
11,636 R
36,828
31,336 R
11,753 R
4,853 R
15,205
13,872
3,359
13,050
5,839
11,540
10,873
20,153 R
15,847 R
10,295 R
21,359 R
21,241 R
14,631 R
18,228 R
17,453 R
13,656 R
15,053 R
8,680 R
11,647 R
8,350 R
-1,212 R
5
14
61
4
4
4
4
59
60
694
3,684
6,622
1,952R
736R
1,323R
5,197
9,919R
13,238R
11,319R
17,304R
11,192R
36
-345
95
-140
10
84
-168
80
65
-372
-126
-90
173
-109
-54
-90
513
2,074
4,592
10,005
22,476
Term securitizations
Titrisation à terme
Total
Total
NHA
mortgagebacked
securities
Titres
hypothécaires
garantis
en vertu
de la LNH
Other
asset-backed
securities
Autres
titres
adossés
à des créances
V760338
V760339
V122328
432
824
1,895
1,829
2,627
4,459
4,146
1,161
-411
-3,167
725
4,269
8,493
6,623
759
10,736
14,336
18,855
21,639
23,904
861
-557
-268
594
3,425
5,856
5,916
2,262
2,579
8,860
2,701
8,059
8,905
54,743
52,059
39,457
41,916
33,214
71,089
52,693
87,124 R
74,187
68,852 R
79,151 R
89,774 R
75,834 R
80,718 R
48,577 R
77,453 R
46,949 R
73,032 R
81,663 R
78,724 R
73,050 R
2003 IV
-7,314
-345
659
13,145
2,229 R
5,034
190
4,518
3,203
21,321 R
2004 I
II
III
IV
2,462
-4,300
-5,861
-11,802
9,120
-4,456
5,584
8,870
208
908
60
418
2,403
9,467
6,466 R
13,000
1,900
3,062 R
1,936 R
4,749 R
1,961
3,707
2,060
3,591R
130
-18
960
3,520
5,123
4,287
4,736
4,709
-72
101
-587
3,259
23,236
12,759 R
15,354 R
30,314 R
2005 I
II
III
IV
3,193
-2,301
-3,634
-6,103
7,793
1,304
7
970
-196
230
598
-245
2,306
4,040
2,960
2,447 R
3,445 R
906 R
570
3,429 R
2,873R
6,081R
4,788
3,562R
3,568
285
3,910
2,242
4,177
3,586
7,273
6,603
1,852
1,740
1,004
3,463
29,010
15,871 R
17,475
16,368 R
2006 I
II
III
IV
2,171
-3,149
-1,157
-5,232
-894
-757 R
5,739 R
4,912
31
360
609
300 R
5,330
-7,015
1,296
5,242 R
158
4,237 R
-2,612 R
-2,995 R
2,873R
3,218R
4,024R
1,077R
6,586
7,382
3,200
5,308
6,164
2,504
5,927
9,309
3,232
704
1,748
3,221
25,651 R
7,484 R
18,775 R
21,140 R
2007 I
II
III
534R
-4,367R
-628
246
256 R
2,231
-253
-243 R
2,959 R
11,038 R
3,935
7,427 R
9,039 R
3,058
-795R
197R
-2,692
13,338
10,640
2,771
3,913
4,243
6,218
-255
33,588 R
30,548 R
S 67
Treasury bills and other short-term instruments
Bons du Trésor et autres titres à court terme
Total
Total
Government
of Canada
treasury bills,
U.S.-pay
Canada bills,
and other
short-term
instruments
Bons du
Trésor
canadien,
bons du
Canada en
dollars É.-U.
et autres
titres à
court terme
Provincial
governments
and their
enterprises,
and municipal
governments
Provinces,
entreprises
provinciales
et
municipalités
Total
commercial
paper
Ensemble
du papier
commercial
Canadian
dollar
bankers’
acceptances
Acceptations
bancaires
en
dollars
canadiens
V122343
V122344
V122339
V122342
V122327
11,597
4,595
20,755
24,992
15,184
11,122
12,752
12,083
-7,279
-372
-22,384
-25,492
-18,407
-41
-14,140
15,367
7,322
11,892
-179
10,870
-3,325
2,519
1,465
-1,191
1,666
2,264
-235
3,739
-1,426
1,275
-404
-847
231
905
-745
1,471
170
2,774
51
-2,295
-4,997
2,325
2,116
3,752
5,208
3,687
1,367
-565
-2,410
5,396
3,863
4,882
6,690
21,909
24,311
22,752
14,976
-7,236
-4,978
-9,794
7,503
17,418
30,217
7,891
6,218
9,076
3,475
442
-7,959
-14,181
4,202
435
4,095
3,264
6,208
5,749
1,140
4,455
-7,231
-6,927
-5,087
250
6,535
13,471
78,865
68,088
73,307
75,737
52,472
73,453
52,593
107,377R
72,481
77,053R
65,873R
92,628R
88,394R
103,826R
55,337R
78,526R
45,138R
70,094R
86,940R
108,551R
115,737R
Of which placed in:
Dont : Émissions placées
Canada
Au Canada
Total
Total
United States
Aux ÉtatsUnis
Total less
CPP, CSB, and
other retail
instruments
Total, moins
Régime
de pensions
du Canada
moins obligations
d’épargne du
Canada et
autres titres
de placement
au détail
V122345
59,871
59,338
62,401
64,909
45,291
56,392
38,985
75,341R
51,831
52,839R
39,686R
71,796R
52,055R
98,653R
60,434R
40,203R
50,232R
67,357R
85,976R
115,551R
123,741R
Other
Ailleurs
Year
and
quarter
Année
ou
trimestre
V122393
61,723
49,039
61,546
74,605
51,878
53,801
39,367
79,546R
52,225
54,791R
39,498R
75,757R
54,739R
101,726R
63,042R
43,047R
53,646R
69,860R
88,845R
118,962R
128,851R
1,908
1,710
2,853
3,820
7,539
6,674
10,094
25,641
10,680
17,923
25,153
14,360
26,689
7,050
6,972
43,898
1,231R
-1,581R
8,593R
-7,216
-9,619R
17,086
7,040
8,053
7,008
-358
10,387
3,514
6,395R
9,970
6,291
1,034
6,472
9,650
-1,877
-12,069R
-5,575
-6,325
4,318
-7,629
216R
1,615R
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
4,243
4,183
-1,017
-3,782
24,948R
18,028R
18,761R
9,165R
-2,245
2003 IV
-2,177
27
-870
2,841
-7,010
8,897
-3,164
-1,018
-697
2,021
1,407
4,772
1,148
414
-798
-514
14,500
24,117R
11,929R
36,394R
18,916
22,016R
12,386R
32,658R
19,216
22,462R
12,867R
34,301R
-1,072
4,899
-737R
5,503
-3,344
-2,798
280
-1,767
2004 I
II
III
IV
12,300
-6,306
76
4,800
-5,654
14
-1,937
2,580
4,540
2,267
5,431
5,180
2,101
727
2,864
843
42,297
12,575R
23,908
29,771R
42,340
12,597R
30,497
30,117R
42,680
13,600R
31,339
31,343R
1,129
-360
-5,337
-2,648
-1,172
338
-1,252
2,302R
2005 I
II
III
IV
6,702
-12,452
-913
3,338
161
5,356
-3,673
481
7,483
5,408
6,549
10,777
5,263
1,498
1,784
4,926
45,258R
7,294R
22,522R
40,663R
47,859R
17,398R
23,014R
35,470R
48,589R
18,947R
23,967R
37,348R
-4,180
-6,416
694R
283R
1,579
-3,688
-1,186R
4,910
2006 I
II
III
IV
9,640
-14,857
-8,178
77
-984
2,565
1,273
48,276R
18,600R
44,157R
16,659R
44,837R
18,155R
2,555R
-560R
1,564
2,501
2007 I
II
III
2,406R
2,620R
F5
Net new security issues placed in Canada (includes foreign currency issues placed in Canada)
Émissions nettes de titres placés au Canada (y compris les titres libellés en monnaies étrangères placés au Canada)
Millions of dollars, par value
Year
and
quarter
Année
ou
trimestre
En millions de dollars, valeur nominale
Government of Canada
Gouvernement canadien
Canada
Savings
Bonds
and other
retail
instruments
Obligations
d’épargne
du Canada
et autres
titres de
placement
au détail
V122395
Other
bonds
Autres
obligations
Provincial governments and their
enterprises
Provinces et entreprises
provinciales
Canada
Pension
Plan
Régime
de pensions
du Canada
Other
bonds
Autres
obligations
Total
Total
Municipal
bonds
Obligations
municipales
Corporations
Sociétés
Bonds
Obligations
Preferred
and common
stocks
Actions
privilégiées
ou ordinaires
Trust
units
Parts de
fiducie
Other
institutions
and foreign
borrowers
Autres
institutions et
emprunteurs
étrangers
V122326
V122355
V122309
V122312
V122315
V122358
V20647461
-4,308
8,615
-480
-10,822
-8,090
1,425
-860
-3,158
769
-1,165
1,991
-2,162
-2,120
-1,349
-1,798
-1,542
-1,540
-1,199
-2,206
-1,784
-2,251
12,533
11,977
11,484
9,981
16,016
18,971
14,829
26,167
27,913
23,610
27,927
21,135
499
2,430
-873
-13,788
-4,805
-9,117
-13,555
-5,235
-3,505
1,230
794
821
1,061
1,081
1,156
473
-1,039
-1,153
-1,376
-1,510
-1,641
-1,673
-715
-488
-1,285
-1,855
-1,288
-646
-1,456
-1,631
7,817
7,031
7,790
7,132
4,755
13,244
10,361
10,917
2,612
8,214
638
5,854
10,143
14,091
13,469
12,079
9,994
8,389
22,502
9,403
13,030 R
9,048
7,825
8,612
8,193
5,837
14,400
10,835
9,878
1,458
6,841
-871
4,213
8,470
13,375
12,981
10,795
8,140
7,102
21,858
7,947
11,399R
618
255
1,029
814
1,067
1,262
240
143
-83
380
677
675
170
98
-60
523
912
2,252
1,947
387
1,424
3,958
3,004
3,456
7,802
5,677
4,537
2,440
5,152
4,064
5,741
9,724
19,593
12,256
20,686
20,174
21,082
13,495
23,528
23,461
18,164R
7,461R
14,682
11,965
2,889
13,073
5,389
10,375
9,874
18,757R
15,588R
8,722R
15,608R
18,979R
14,031R
17,238R
13,047R
11,629R
12,039R
8,765R
9,163R
8,093R
-728R
5
14
61
4
4
4
4
59
60
694
3,684
6,622
1,952 R
736 R
1,323 R
5,197
9,773 R
13,109
11,242 R
17,257 R
11,188 R
2003 IV
-521
-6,793
-209
3,768
3,559
798
5,895
1,396R
5,007
2004 I
II
III
IV
-318
-110
-184
-1,594
2,780
-4,190
-5,670
-6,475
20
-327
-292
-47
10,800
-587
5,293
6,996
10,821
-913
5,001
6,949
283
1,099
72
493
4,928
5,170
5,081
8,282
488
3,012R
1,907R
3,756R
1,945
3,660
2,060
3,577 R
130
-18
1,000
3,520
2005 I
II
III
IV
-398
-225
-215
-946
3,591
-2,076
-1,593
-5,157
59
-674
-598
-243
5,268
872
3,250
13
5,327
198
2,652
-230
-196
230
598
-245
5,728
2,492
4,271
5,673R
3,238R
829R
1,036
2,990R
2,826 R
6,081 R
4,788
3,562 R
3,568
285
3,910
2,242
2006 I
II
III
IV
-366
-256
-189
-1,440
3,037
-2,893
143
-3,792
-293
-610
-321
-407
2,634
525 R
5,769 R
4,102
2,341
-85R
5,448R
3,695
65
450
609
300
R
5,546
1,047
-189
1,057R
86R
3,835R
-2,626R
-2,023R
2,872
3,217
4,023 R
1,076
6,586
7,382
3,200
5,308
831
-4,114
-473
-187
-850
-259
239
2,953 R
5,720
52
2,103R
5,461
-153
-243
R
-1,373R
7,785R
4,132
7,468R
8,191
2,964
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
2007 I
II
III
-297R
-253R
-156
V122350
S 68
R
-804
191
-2,692
V122324
-14
-328
75
-165
-26
47
-168
81
47
-330
-75
-90
173
-69
-54
-60
513
2,114
4,632
10,005
22,476
190
13,338
10,640
2,771
S 69
Term securitizations
Titrisation à terme
Total
Total
NHA
mortgagebacked
securities
Titres
hypothécaires
garantis
en vertu
de la LNH
Other
asset-backed
securities
Autres
titres
adossés
à des créances
V760340
V760341
V122346
Treasury bills and other short-term instruments
Bons du Trésor et autres titres à court terme
Total
Total
Government
of Canada
treasury
bills, and
other
short-term
instruments
Bons du
Trésor
canadien
et autres
titres à
court terme
Provincial
governments
and their
enterprises,
and municipal
governments
Provinces,
entreprises
provinciales
et municipalités
Total
commercial
paper
Ensemble
du papier
commercial
Bankers’
acceptances
Acceptations
bancaires
V122366
V122367
V122362
V122342
10,300
4,500
20,900
25,450
14,850
12,200
11,850
6,450
-6,350
1,148
-25,183
-26,546
-20,577
5,359
-15,050
16,300
9,350
12,450
250
10,050
-2,400
3,026
1,109
-731
1,524
927
-935
2,076
-1,933
2,044
-807
-315
-58
-550
1,912
-1,229
1,514
944
34
-124
-2,986
2,182
2,116
3,752
5,208
3,687
1,367
-565
-2,410
5,396
3,863
4,882
6,690
21,909
24,311
22,752
14,976
-7,236
-4,978
-9,794
7,503
17,418
30,217
7,891
6,218
9,076
3,475
442
-7,959
-14,181
4,202
435
4,095
3,264
6,208
5,749
1,140
4,455
-7,231
-6,927
-5,087
250
6,535
13,471
Year
and
quarter
Année
ou
trimestre
V122345
432
824
1,895
1,829
2,627
4,459
4,146
1,161
-411
-3,167
725
4,269
8,493
6,623
759
10,736
14,336
18,855
21,639
23,904
861
-557
-268
594
3,425
5,856
5,916
2,262
2,579
8,860
2,701
8,059
8,905
36,540
43,759
27,947
30,773
27,704
53,651
41,649
61,227R
51,838
43,522R
55,230R
70,284R
43,122R
67,492R
57,282R
36,856R
51,842R
69,753R
78,099R
84,533R
80,270R
4,518
3,203
17,254R
4,700
873
-1,017
-3,782
18,028R
2003 IV
5,123
4,287
4,736
4,709
-72
101
-587
3,259
26,108
12,100R
13,416R
26,475R
-3,400
800
-400
3,250
-4,242
6,682
-1,239
-1,325
-697
2,021
1,407
4,772
1,148
414
-798
-514
18,916
22,016R
12,386R
32,658R
2004 I
II
III
IV
4,177
3,586
7,273
6,603
1,852
1,740
1,004
3,463
29,714
13,140R
23,725
17,954R
10,150
-4,900
500
4,300
-4,165
1,362
-2,022
1,839
4,540
2,267
5,431
5,180
2,101
727
2,864
843
42,340
12,597R
30,497
30,117R
2005 I
II
III
IV
6,164
2,504
5,927
9,309
3,232
704
1,748
3,221
29,562R
15,905R
18,094R
16,709R
4,500
-9,600
-1,000
3,700
1,051
4,187
-2,413
-643
7,483
5,408
6,549
10,777
5,263
1,498
1,784
4,926
47,859R
17,398R
23,014R
35,470R
2006 I
II
III
IV
3,913
4,243
6,218
-255
29,193R
28,288R
9,400
-14,900
-8,300
593
-622
2,565
1,273
44,157R
16,659R
2007 I
II
III
2,406R
2,620R
59,871
59,338
62,401
64,909
45,291
56,392
38,985
75,341R
51,831
52,839R
39,686R
71,796R
52,055R
98,653R
60,434R
40,203R
50,232R
67,357R
85,976R
115,551R
123,741R
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
F6
Net new security issues placed abroad (includes Canadian dollar issues placed in overseas markets)
Émissions nettes de titres placés à l’étranger (y compris les titres libellés en dollars canadiens placés sur les marchés d’outre-mer)
Millions of Canadian dollars, par value
Year
and
quarter
Année
ou
trimestre
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
En millions de dollars canadiens, valeur nominale
Total
Ensemble des émissions
Government
of Canada
bonds
Obligations
du
gouvernement
canadien
Provinces
Provinces
V122307
V122310
2,419
-985
-739
-1,811
-912
-877
-882
-956
5,420
3,248
3,447
-535
11,517
1,135
-2,289
-1,291
-2,153
-3,247
-3,740
-1,827
-1,611
United States
États-Unis
Municipalities
Municipalités
Corporations
Sociétés
Bonds
Obligations
Preferred
and
common
stocks
Actions
privilégiées ou
ordinaires
Trust
units
Parts de
fiducie
V122313
V122316
V122381
V20647462 V122392
6,483
2,189
1,145
1,961
5,511
16,004
11,401
22,668
16,359
7,304
4,546
-1,525
-845
-8,553
-13,093
-3,066
-3,576
-6,034
-2,740
2,128
-2,401 R
247
210
284
226
-94
266
386
403
209
-165
-523
-477
-185
-299
-423
-406
-466
-743
-353
-124
8,484
4,995
10,332
10,763
519
841
-859
2,387
83
13,411
10,752
19,767
21,626
19,993
2,695
43,362
-1,859R
13,301
7,875R
-6,411
-2,607
523
1,907
470
-23
449
1,166
1,000
1,395
259
1,574
5,751
2,261
599
989
4,407
2,027
3,014 R
-85 R
2,484 R
256
-483 R
2003 IV
-
-3,904
-139
7,250
2004 I
II
III
IV
-7
-3,733
-1,700
-3,543
582
1,921
-75
-191
-12
-75
-2,524
4,297
1,384R
4,718
1,412
50
29
993 R
2005 I
II
III
IV
-1,827
-
2,466
1,107
-2,645
1,200
-
-3,422
1,548
-1,311
-3,226
207
77
-467
439
2006 I
II
III
IV
-500
-1,111
-
-3,235
-673
290 R
1,217
-34
-90
-
-216
-8,061
1,485
4,185
72 R
402 R
15 R
-972 R
2007 I
II
III
-
-41 R
849 R
94
194
-1,847
-3,230
S 70
-100
-
4,332
3,253R
-197
834 R
146
128 R
77 R
47
4R
26
Total short-term
paper, including
U.S.-pay
Canada bills
Ensemble
du papier
à court terme,
bons du Canada
en dollars
É.-U. compris
789
452
-606
-315
1,669
-377
2,564
6,139
-1,699
-1,115
2,266
1,343
3,626
-8,055
3,608
-2,276
-200
-543
-2,600
-1,192
-783
Total
Total
Government
of Canada
bonds
Obligations
du
gouvernement
canadien
Provinces
Provinces
V122368
V122370
V122373
18,992
8,750
10,904
10,828
7,182
17,060
13,608
32,036
20,651
24,214
26,188
20,833
36,340
5,173
-5,096
38,323
-5,094 R
2,736 R
963 R
-7,000
-8,003 R
1,104
-59
-123
-1,477
-756
-191
-7
5,420
3,248
3,447
-1,736
5,397
267
-2,219
-652
-1,675
-3,156
-2,379
-1,827
-1,611
1,222
473
409
783
5,461
2,623
3,551
10,937
1,789
1,472
2,577
-797
2,725
633
-4,076
4,263
1,357
-5,065
554
-2,224
-3,155 R
Municipalities
Municipalités
Corporations
Sociétés
V122376
V122379 V122382
-88
-69
-15
-22
-20
-66
-24
-66
-5
-19
-240
-223
-10
-81
-43
-
Bonds
Obligations
-1,345
121
2,791
4,901
766
3,661
3,056
7,263
4,924
12,819
11,498
13,743
14,357
13,311
5,301
40,642
-1,407 R
7,232
10,659 R
-1,857
-3,024
2,853
6,919 R
-
-1,070
-
6,632
16
47
14 R
-1,545
1,442
-2,395
-102
-4,417
2,101
-457 R
3,736
-7
-2,372
-494
-381
671
758
-
-457
3,814
996 R
6,306
47
-
660
-2,754
-339
1,241
-43
-22
-6,589
-346
-1,827
-
-644
138
-1,224
-494
-
1R
1R
1R
1R
1,311
-1,683
-1,173
762
-2,600
-10,104
-492 R
5,193 R
-500
-1,111
-
-2,902
-716
-2 R
465
-
9R
6R
-
-276
-319
4,119 R
1,941 R
-
119
-479
-1,883
-
Preferred
and
common
stocks
Actions
privilégiées ou
ordinaires
230
794
399
-51
420
1,026
954
1,368
252
1,518
5,611
2,032
594
989
4,401
1,920
3,009 R
-178 R
2,281 R
-164
-1,052 R
V20647463
V122394
V122393
789
452
-606
-315
1,669
-377
2,564
6,139
-1,699
-1,115
2,266
1,343
3,626
-8,055
3,608
-2,276
-200
-543
-2,600
-1,192
-783
1,908
1,710
2,853
3,820
7,539
6,674
10,094
25,641
10,680
17,923
25,153
14,360
26,689
7,050
6,972
43,898
1,231 R
-1,581 R
8,593 R
-7,216
-9,619 R
146
128 R
77 R
47
4R
26
2,853
9,165 R
1,408
-23
-2
898 R
16
47
14 R
-1,545
1,442
-2,395
-102
-1,072
4,899
-737 R
5,503
894
2,327
-1,434
-3,644
172
-72
-513
249
47
-
660
-2,754
-339
1,241
1,129
-360
-5,337
-2,648
-2,086
-4,176
3,047
191
-4 R
158 R
-69 R
-1,137 R
1R
1R
1R
1R
1,311
-1,683
-1,173
762
-4,180
-6,416
694 R
283 R
-176 R
751 R
-104
9R
6R
-
-276
-319
2,555 R
-560 R
2,880
-518 R
1,197
724 R
Total
Total
Trust
units
Parts de
fiducie
Total short-term
paper, including
U.S.-pay
Canada bills
Ensemble
du papier
à court terme,
bons du Canada
en dollars
É.-U. compris
F7
Gross new bond issues and retirements: Government of Canada and provinces
Émissions brutes d’obligations et remboursements : Gouvernement canadien et provinces
Millions of Canadian dollars, par value
Year,
quarter
and
month
Année,
trimestre
ou mois
S 71
En millions de dollars canadiens, valeur nominale
Government of Canada direct and guaranteed bonds
Obligations émises ou garanties par le gouvernement canadien
Provincial direct and guaranteed bonds
Obligations émises ou garanties par les provinces
Gross new issues delivered
Émissions brutes (livraisons)
Retirements
Remboursements
Net new issues
Émissions nettes
Gross new issues delivered
Émissions brutes (livraisons)
Retirements
Remboursements
Net new issues
Émissions nettes
In Canada Abroad
Total
Au Canada À l’étranger Total
In Canada Abroad
Total
Au Canada À l’étranger Total
In Canada Abroad
Total
Au Canada À l’étranger Total
In Canada Abroad
Total
Au Canada À l’étranger Total
In Canada Abroad
Total
Au Canada À l’étranger Total
In Canada Abroad
Total
Au Canada À l’étranger Total
V122262Q
V122463M
V122263Q
V122465M
V122261Q V122284Q
V122464M
V122285Q
V122466M
V122283Q V122306Q
V122307Q
V122305Q V122265Q
V122473M
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
62,466
47,803
43,752
45,373
45,837
42,363
46,438
44,920
40,684
38,224
37,305
4,811
2,873
12,760
4,855
1,106
-
67,277
50,676
56,512
50,228
45,837
43,469
46,438
44,920
40,684
38,224
37,305
32,549
28,829
45,374
44,293
48,506
57,694
52,783
55,236
56,445
45,243
43,061
1,364
3,409
1,243
3,720
2,289
2,396
2,153
3,247
3,740
1,827
1,610
33,913
32,238
46,617
48,013
50,795
60,090
54,936
58,483
60,185
47,070
44,671
29,917
18,974
-1,622
1,080
-2,669
-15,331
-6,345
-10,316
-15,761
-7,019
-5,756
3,447
-536
11,517
1,135
-2,289
-1,290
-2,153
-3,247
-3,740
-1,827
-1,610
33,364
18,438
9,895
2,215
-4,958
-16,621
-8,498
-13,563
-19,501
-8,846
-7,366
2003 IV
11,170
-
11,170
18,485
-
18,485
-7,315
-
2004 I
II
III
IV
11,591
9,256
10,600
9,238
-
11,591
9,256
10,600
9,238
9,129
13,556
16,454
17,307
7
3,733
9,129
13,556
16,461
21,040
2,462
-4,300
-5,854
-8,069
-7
-3,733
2005 I
II
III
IV
9,803
9,401
10,566
8,454
-
9,803
9,401
10,566
8,454
6,610
11,702
12,373
14,558
1,827
-
6,610
11,702
14,200
14,558
3,193
-2,301
-1,807
-6,104
2006 I
II
III
IV
7,348
9,874
10,849
9,234
-
7,348
9,874
10,849
9,234
4,677
13,023
10,895
14,466
500
1,111
-
5,177
13,023
12,006
14,466
2,671
-3,149
-46
-5,232
2007 I
II
III
5,336R
9,975R
10,610
-
5,336R
9,975R
10,610
4,802
14,342R
11,238
-
4,802
14,342R
11,238
534R
-4,367R
-628
2006 O
N
D
3,031
4,972
1,232
-
3,031
4,972
1,232
1,322
3,201
9,943
-
1,322
3,201
9,943
2007 J
F
M
A
M
J
J
A
S
3,858
437R
1,042R
3,270R
5,643R
1,062R
1,530R
4,728R
4,351
-
3,858
437R
1,042R
3,270R
5,643R
1,062R
1,530R
4,728R
4,351
1,863
1,878
1,060
2,129R
2,655R
9,558R
1,122R
994R
9,122
-
1,863
1,878
1,060
2,129R
2,655R
9,558R
1,122R
994R
9,122
V122266Q
V122478M
V122264Q V122287Q
V122474M
V122288Q
V122479M
V122286Q V122309Q
V122310Q
V122308Q
-871
4,214
8,470
13,376
12,981
10,794
8,139
7,102
21,858
7,946
11,399R
4,545
-1,525
-846
-8,552
-13,093
-3,065
-3,575
-6,034
-2,739
2,128
-2,400R
3,674
2,689
7,624
4,824
-112
7,729
4,564
1,068
19,119
10,074
8,999R
14,876
20,197
26,918
27,552
34,481
30,204
26,627
29,648
40,772
27,306
35,115R
18,722
11,591
15,257
7,306
3,452
14,629
13,557
13,254
7,606
11,558
9,034
33,598
31,788
42,175
34,858
37,933
44,833
40,184
42,902
48,378
38,864
44,149R
15,747
15,983
18,448
14,176
21,500
19,410
18,488
22,546
18,914
19,360
23,716R
14,177
13,116
16,103
15,858
16,545
17,694
17,132
19,288
10,345
9,430
11,434R
29,924
29,099
34,551
30,034
38,045
37,104
35,620
41,834
29,259
28,790
35,150R
-7,315
9,525
1,247
10,772
5,965
5,151
11,116
3,560
-3,904
-344
2,462
-4,300
-5,861
-11,802
12,303
9,662
8,550
10,257
207
1,759
3,144
2,496
12,510
11,421
11,694
12,753
1,483
10,575
3,549
3,307
1,907
5,302
2,561
575
3,390
15,877
6,110
3,882
10,820
-913
5,001
6,950
-1,700
-3,543
583
1,921
9,120
-4,456
5,584
8,871
-1,827
-
3,193
-2,301
-3,634
-6,104
8,153
6,638
6,443
6,073
4,479
2,265
880
3,934
12,632
8,903
7,323
10,007
2,826
6,440
3,791
6,303
2,013
1,159
3,525
2,734
4,839
7,599
7,316
9,037
5,327
198
2,652
-230
2,466
1,106
-2,645
1,200
7,793
1,304
7
970
-500
-1,111
-
2,171
-3,149
-1,157
-5,232
9,305
8,257R
9,727
7,826
2,247
1,033
657
5,098
11,552
9,290R
10,384
12,924
6,964
8,341
4,278R
4,132
5,481
1,705
366R
3,881
12,445
10,046
4,644R
8,013
2,341
-84R
5,449R
3,694
-3,234
-672
291R
1,217
-893
-756R
5,740R
4,911
-
534R
-4,367R
-628
5,726
6,474
9,100
2,084
-
7,810
6,474
9,100
5,674
4,371R
3,639
1,890
1,847
3,230
7,564
6,218R
6,869
52
2,103R
5,461
194
-1,847
-3,230
246
256R
2,231
1,709
1,771
-8,711
-
1,709
1,771
-8,711
2,179
3,532
2,115
1,250
2,905
943
3,429
6,437
3,058
862
1,568
1,702
885
918
2,078
1,747
2,486
3,780
1,317
1,964
413
365
1,987
-1,135
1,682
3,951
-722
1,995
-1,441R
-18R
1,141R
2,988R
-8,496R
408R
3,734R
-4,771
-
1,995
-1,441R
-18R
1,141R
2,988R
-8,496R
408R
3,734R
-4,771
3,525
1,851
350
2,282
1,295
2,897
2,500
2,400R
4,200
500
1,584
-
4,025
3,435
350
2,282
1,295
2,897
2,500
2,400R
4,200
944
1,476
3,254
344
1,434
2,593R
813
187
2,639
1,231
243
416
94
125
1,629
1,174
2,057
2,175
1,719
3,670
438
1,559
4,222R
1,987
187
4,696
2,581
375
-2,904
1,938
-139
304R
1,687
2,213R
1,561
-731
1,341
-416
-94
-125
-1,629
-1,174
-2,057
1,850
1,716
-3,320
1,844
-264
-1,325R
513
2,213R
-496
F8
Gross new bond issues and retirements: Municipalities
Émissions brutes d’obligations et remboursements : Municipalités
Millions of Canadian dollars, par value
Year
and
quarter
Année
ou
trimestre
S 72
En millions de dollars canadiens, valeur nominale
Direct and guaranteed bonds
Obligations émises ou garanties par les municipalités
Gross new issues delivered
Émissions brutes (livraisons)
Issues sold directly to provinces and their agencies
Titres vendus directement aux provinces et à leurs agences
Retirements
Remboursements
Net new issues
Émissions nettes
In Canada
Au
Canada
Abroad
À
l’étranger
Total
Total
In Canada
Au
Canada
Abroad
À
l’étranger
Total
Total
In Canada
Au
Canada
Abroad
À
l’étranger
Total
Total
V122268
V122269
V122267
V122290
V122291
V122289
V122312
V122313
V122311
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
3,155
3,030
2,850
3,044
2,904
3,868
3,762
5,279
4,968
4,131
4,795R
184
100
-
3,338
3,130
2,850
3,044
2,904
3,868
3,762
5,279
4,968
4,131
4,795R
2,479
2,354
2,680
2,947
2,965
3,345
2,850
3,027
3,020
3,745
3,370
707
577
185
299
423
406
466
743
353
124
3,185
2,933
2,866
3,245
3,387
3,751
3,316
3,770
3,373
3,745
3,494
677
675
170
98
-60
523
912
2,252
1,947
387
1,424R
-523
-477
-185
-299
-423
-406
-466
-743
-353
-124
153
197
-16
-200
-482
117
446
1,508
1,594
387
1,300R
2002 III
IV
354
1,577
-
354
1,577
530
1,054
91
100
621
1,154
-176
523
-91
-100
2003 I
II
III
IV
576
1,661
1,094
1,948
-
576
1,661
1,094
1,948
562
596
720
1,149
375
129
100
139
937
725
820
1,288
14
1,066
374
798
2004 I
II
III
IV
822
1,573
789
1,784
-
822
1,573
789
1,784
538
473
718
1,291
75
191
12
75
613
664
730
1,366
2005 I
II
III
IV
461
891
1,181
1,598
-
461
891
1,181
1,598
657
661
583
1,844
-
657
661
583
1,844
2006 I
II
III
IV
588
1,167
1,392
1,648R
-
588
1,167
1,392
1,648R
523
716
783
1,348
34
90
-
557
806
783
1,348
65
450
609
300R
-34
-90
-
256
576R
-
256
576R
409
819
100
-
509
819
-153
-243R
-100
-
2007 I
II
Gross
new issues
Émissions
brutes
Retirements
Remboursements
Net
new issues
Émissions
nettes
1,353
936
778
1,585
1,499
837
858
892
874
1,204
1,905
808
1,112
4,518
2,628
938
1,223
1,095
1,442
718
1,107
1,050
545
-176
-3,739
-1,043
561
-387
-237
-550
155
97
855
-267
423
132
218
193
345
-61
-128
-375
-129
-100
-139
-361
936
274
659
113
270
90
419
238
157
177
870
-125
113
-87
-451
283
1,099
72
493
-75
-191
-12
-75
208
908
60
418
116
185
361
211
104
142
159
314
12
44
203
-103
-196
230
598
-245
-
-196
230
598
-245
337
347
169
350
151
237
179
539
186
110
-9
-190
31
360
609
300R
749
382
229
545
198
304
195
352
551
78
33
192
-253
-243R
368
402
199
251
169
150
F9
Gross new issues and retirements: Corporations, other institutions, and foreign borrowers
Émissions brutes de titres, remboursements et rachats : Sociétés, autres institutions et emprunteurs étrangers
Millions of Canadian dollars, par value
Year,
quarter
and
month
Année,
trimestre
ou mois
En millions de dollars canadiens, valeur nominale
Corporate bonds
Obligations de sociétés
Preferred stocks
Actions privilégiées
Gross new issues delivered
Émissions brutes (livraisons)
Retirements
Remboursements
Net new issues
Émissions nettes
Retirements
Rachats
Net
new
issues
Émissions
nettes
Gross
new issues
delivered
Émissions
brutes
(livraisons)
Retirements
Rachats
Net
new
issues
Émissions
nettes
V122317Q
V122276Q
V122298Q
V122320Q
Abroad
À
l’étranger
Total
Total
In Canada
Au Canada
Abroad
À
l’étranger
Total
Total
In Canada
Au Canada
Abroad
À
l’étranger
Total
Total
V122271Q
V122272Q
V122270Q
V122293Q
V122294Q
V122292Q
V122315Q
V122316Q
V122314Q
V122273Q
V122295Q
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
16,755
28,589
24,827
31,382
32,497
38,384
36,429
49,256
54,708
54,384 R
51,822 R
22,080
30,618
37,054
33,804
22,924
67,467
36,280
47,382
38,413
17,163
25,158
7,031
8,996
12,572
10,696
12,322
17,303
22,934
25,728
31,247
36,220
44,361 R
11,328
10,850
15,426
13,811
20,229
24,105
38,139 R
34,081
30,538 R
23,575
27,765
18,359
19,846
27,998
24,506
32,550
41,407
61,073 R
59,809
61,785 R
59,795
72,127 R
9,724
19,593
12,255
20,686
20,175
21,082
13,495
23,528
23,461
18,164 R
7,461 R
10,752
19,768
21,627
19,993
2,695
43,362
-1,859 R
13,301
7,875 R
-6,412
-2,608
20,475
39,361
33,883
40,679
22,870
64,444
11,636 R
36,829
31,336 R
11,752 R
4,853 R
4,427
3,979
4,327
2,476
5,570
5,253
3,553
4,459
2,110
7,912
4,865
2,805
2,988
2,346
2,179
725
842
456
3,146
2,183
1,682
2,935
2003 IV
13,273
13,725
26,998
7,378
6,475
13,853
5,895
7,250
2004 I
II
III
IV
12,800
12,568
11,059
18,281
5,213
11,120
10,216
11,864
18,013
23,688
21,275
30,144
7,872
7,398
5,978
9,999
7,738
6,823
8,832 R
7,146
15,610
14,221
14,810 R
17,145
4,928
5,170
5,081
8,282
-2,524
4,297
1,384 R
4,718
2005 I
II
III
IV
13,276
14,155
12,789
14,164 R
3,478
6,458
4,153
3,075
16,754
20,613
16,941
17,239 R
7,548
11,663
8,518
8,491
6,900
4,910
5,464
6,300
14,448
16,574
13,982
14,791
5,728
2,492
4,271
5,673 R
2006 I
II
III
IV
16,350
8,767
10,976
15,730 R
6,096
1,832
4,817
12,412
22,445
10,599
15,794
28,142 R
10,804
7,720
11,165
14,673 R
6,312
9,894
3,332
8,227
17,115
17,614
14,497
22,900 R
5,546
1,047
-189
1,057 R
2007 I
II
III
7,848
16,557 R
15,258
9,227
12,293 R
4,305
17,075
28,850 R
19,563
9,222 R
8,772 R
11,126
4,895
9,040
4,502
14,117 R
17,812 R
15,628
-1,373 R
7,785 R
4,132
2006 O
N
D
3,772
5,023
6,935 R
808
6,770
4,835
4,580
11,793
11,769 R
4,969
2,767
6,936 R
3,810
2,566
1,852
8,779
5,333
8,789 R
-1,197
2,256
-2 R
2007 J
F
M
A
M
J
J
A
S
910
1,481
5,457
3,869 R
6,302
6,386
3,953
4,112 R
7,193
42
983
8,202
1,363
5,651
5,278 R
1,560
730 R
2,015
952
2,464
13,659
5,232 R
11,954
11,664 R
5,512
4,842 R
9,208
2,568
2,740
3,914 R
1,389
3,283
4,100 R
5,235
2,411
3,480
852
489
3,554
1,648
3,510
3,882
1,457
770
2,275
3,420
3,229
7,468 R
3,037
6,793
7,982 R
6,692
3,182
5,755
-1,658
-1,258
1,543 R
2,480 R
3,019
2,286 R
-1,282
1,700 R
3,713
1,622
991
1,981
296
4,845
4,412
3,097
1,312
-72
6,230
1,930
24,329 R
25,241 R
16,359 R
21,740 R
20,115 R
10,841 R
15,299 R
14,125 R
22,443 R
17,112 R
23,742 R
4,591
4,991
3,710 R
3,809 R
7,506 R
1,596 R
3,343 R
6,757 R
10,723
14,992 R
26,884 R
19,738 R
20,250 R
12,649 R
17,931 R
12,609 R
9,245 R
11,956 R
7,367 R
11,720 R
2,120 R
-3,142 R
477
451
26
4,819 R
2,616 R
2,203 R
2,403
9,467
6,466 R
13,000
116
443
1,402
150
691
642
813
36
-575
-199
588
114
4,844
5,963 R
4,579 R
7,057 R
2,369
2,702
3,231
2,421
2,475
3,261 R
1,348 R
4,635 R
-3,422
1,548
-1,311
-3,226
2,306
4,040
2,960
2,447 R
1,955
2,347
1,285
2,325
7
15
1,124
536
1,948
2,332
161
1,789
4,098
3,647 R
3,298
6,069 R
2,601 R
5,073 R
2,889
4,429 R
1,497 R
-1,426 R
409
1,640 R
-216
-8,061
1,485
4,185
5,330
-7,015
1,296
5,242 R
765
1,211
1,389
1,500
224
996
23
1,691
541
215
1,366
-191
7,183
7,131 R
3,304 R
6,124
7,566
3,109
7,281 R
8,927 R
-383
4,022 R
-3,977 R
-2,804 R
2,959 R
11,038 R
3,935
2,151 R
1,050
36
1
139
210
2,151
911
-174
7,998
11,954
6,211
2,721 R
3,826 R
2,979
5,276 R
8,128 R
3,232
-4,199
6,460
2,981 R
400
850
250
579
1,112
-
-179
-262
250
838
2,260
3,026
6,389 R
1,798 R
740 R
-5,551 R
462 R
2,285 R
-2,468
-765
6,192 R
2,195 R
5,161
3,682 R
-1,179
1,660 R
3,454
952
550
650
550
200
300
29
7
133
6
10
200
-
951
550
650
550
67
294
19
-200
7
1,092
4,525
2,381
3,993
4,894
3,068
2,544
2,338 R
1,329
1,432 R
648 R
641 R
943 R
877 R
2,006 R
1,346 R
1,171 R
463
-341 R
3,877 R
1,740 R
3,050 R
4,017 R
1,062 R
1,198 R
1,168 R
866
4,332
3,253 R
-197
-3,002
4,204
2,983
-810
494
4,649
-285
2,142
1,396 R
102
-40 R
-260
13,145
Common stocks
Actions ordinaires
Gross
new issues
delivered
Émissions
brutes
(livraisons)
In Canada
Au Canada
38,835
59,207
61,881
65,185
55,420
105,851
72,709
96,638
93,121
71,547 R
76,980 R
S 74
S 75
Trust units
Parts de fiducie
Other institutions and foreign borrowers
Autres institutions et emprunteurs étrangers
Gross
new issues
delivered
Émissions
brutes
(livraisons)
Retirements
Rachats
Net new
issues
Émissions
nettes
Gross
new issues
delivered
Émissions
brutes
(livraisons)
Retirement
Remboursements
Net new
issues
Émissions
nettes
V20647410Q
V20647411Q
V20647412Q
V122279Q
V122301Q
V122323Q
3,685
6,621
2,093
1,311
1,837
6,715
10,546R
13,457R
11,924R
18,805R
19,551R
5,034
141 R
576
514 R
1,519
627
220 R
605
1,501
8,360 R
-
3,685
6,621
1,952 R
735
1,323 R
5,196
9,919 R
13,238 R
11,319 R
17,303 R
11,191 R
5,034
281
560
2,191
4,720
10,108
22,508
127
90
108
109
54
90
47
117
127
103
34
-127
-90
173
-109
-54
-90
513
2,074
4,593
10,005
22,475
Year,
quarter
and
month
Année,
trimestre
ou mois
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
200
10
190
2003 IV
1,962
4,309
2,061
3,593R
1
602
1
1
1,961
3,707
2,060
3,591 R
150
1,000
3,570
20
18
40
50
130
-18
960
3,520
2004 I
II
III
IV
3,141R
6,620R
4,792
4,252R
268
540
4
690
2,873 R
6,081 R
4,788
3,562 R
3,615
300
3,920
2,273
47
15
10
31
3,568
285
3,910
2,242
2005 I
II
III
IV
6,443R
5,436R
4,669R
3,004R
3,570 R
2,218 R
645 R
1,927
2,873 R
3,218 R
4,024 R
1,077 R
6,600
7,383
3,200
5,325
14
2
17
6,586
7,382
3,200
5,308
2006 I
II
III
IV
1,830R
3,514R
1,937
2,626
3,317
4,628
-795 R
197 R
-2,692
13,350
10,640
2,775
12
4
13,338
10,640
2,771
2007 I
II
III
662
1,394
947
1,203
722
2
-541
673 R
945 R
1,975
2,750
600
16
1
-
1,959
2,749
600
2006 O
N
D
825R
707R
298R
1,077R
367R
2,071R
1,042
286
609
1,523
722
380
880
1,069
1,369
1,818
1,405
1,405
-698 R
-15 R
-82 R
197 R
-702 R
702 R
-776
-1,119
-796
4,750
5,200
3,400
3,500
5,240
1,900
1,950
300
525
12
4
4,750
5,188
3,400
3,500
5,240
1,900
1,950
300
521
2007 J
F
M
A
M
J
J
A
S
F10
Net new issues of securities by financial and non-financial corporations
Émissions nettes de titres : Sociétés financières ou non financières
Millions of Canadian dollars, par value
Year
and
quarter
Année
ou
trimestre
S 76
En millions de dollars canadiens, valeur nominale
Bonds
Obligations
Common and preferred stocks
Actions ordinaires ou privilégiées
Financial corporations
Sociétés financières
Non-financial corporations
Sociétés non financières
Total
Total
Total
Total
Placed:
Titres placés :
In Canada
Au Canada
Abroad
À l’étranger
Total
bonds
Total des
obligations
Placed:
Titres placés :
In Canada
Au Canada
Financial corporations
Sociétés financières
Non-financial corporations
Sociétés non financières
Total
Total
Total
Total
Abroad
À l’étranger
Placed:
Titres placés :
In Canada
Au Canada
Abroad
À l’étranger
Total
stocks
Ensemble
des
actions
Placed:
Titres placés :
In Canada
Au Canada
Abroad
À l’étranger
V122334
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
8,334
19,746
14,758
19,389
11,794
21,888
8,948
25,464
19,936
10,999
3,319
6,198
10,030
6,470
9,509
13,285
8,633
8,472
18,064
18,737
14,331
6,700
2,136
9,716
8,288
9,880
-1,491
13,255
477
7,400
1,199
-3,332
-3,381
12,141
19,614
19,125
21,290
11,076
42,556
2,688R
11,364
11,400R
754R
1,534R
3,525
9,563
5,785
11,178
6,890
12,448
5,023
5,464
4,724
3,833R
761R
8,616
10,051
13,339
10,113
4,186
30,108
-2,336R
5,900
6,675R
-3,079
773
2002 IV
2,332
1,560
2003 I
II
III
IV
5,870
4,552
8,450
6,593
5,520
2,911
4,607
5,025
773
-2,511
2,345
350
1,640
3,843
1,567
4,315
866
-369
6,553
1,182
2,534
878
870
2004 I
II
III
IV
1,316
6,332
6,723
5,565
3,696
3,738
4,924
6,378
-2,380
2,594
1,799
-814
1,087
3,135
-257R
7,435
1,232
1,432
157
1,903
2005 I
II
III
IV
651
2,474
2,926
4,949
4,941
1,832
3,520
4,038
-4,291
641
-594
911
1,655
1,566
34
-2,501R
787
660
751
1,635R
2006 I
II
III
IV
6,860
-2,603
-1,211
273
4,771
2,024
-597
501
2,088
-4,627
-614
-228
-1,530
-4,411
2,507
4,968R
775
-977
408
555R
2007 I
II
III
-1,293
9,727R
3,577
-1,727
7,352R
4,984
435
2,376
-1,407
4,252R
1,311R
358
354R
434R
-852
V122335
20,475
39,360
33,882
40,679
22,869
64,444
11,636R
36,828
31,336R
11,753R
4,853R
-52
2,795
2,402
4,673
4,809
4,727
2,729
1,640
-3,014
2,476
2,572R
85
2,922
2,263
4,524
4,905
5,046
2,655
2,170
-3,419
2,601
2,562R
-4,855
-178
1,096
3,133
-1,668
-1,247
5,683
10,185
5,417
8,081
13,145
1,478
-1,233
1,658
-262
2,403
9,467
6,466R
13,000
868
906
-717
-4,137
2,306
4,040
2,960
2,447R
-2,305
-3,434
2,099
4,413
5,330
-7,015
1,296
5,242R
147
556
941
929R
2,959R
11,038R
3,935
1,626R
1,000R
-146
-145
1,703
-415R
5,531
3,897
877R
1,209
-137
-126
139
148
-95
-318
74
-529
405
-125
10
21,412R
18,445R
12,228R
13,555R
12,644R
8,929R
12,324R
7,040R
14,661R
5,874R
-3,785R
15,524R
16,058R
11,768R
12,714R
8,142R
6,583R
9,384R
6,595R
12,582R
5,492R
-3,291R
5,888
2,388
460
841
4,502
2,346
2,940R
444R
2,079R
381
-494R
21,359R
21,241R
14,631R
18,228R
17,453R
13,656R
15,053R
8,680R
11,647R
8,350R
-1,212R
1,096
-
1,553R
2,220R
-667R
2,649R
1,413
-541
1,658
-361
65
-692
98
982R
1,206R
2,360
2,492R
1,018R
1,598R
2,223R
1,756R
-36R
-391R
137R
735R
2,460R
-27R
4,018
2,229R
-1,551
-1,085
-820
442
-1,551
-1,087
-820
39
2
403
3,452
4,146R
2,756R
4,307R
2,040
4,099R
2,726R
3,717R
1,412
47
29
590R
1,900
3,062R
1,936R
4,749R
1,357
-242
-47
1,408
1,357
-242
78
1,408
-125
-
2,088R
1,148R
617
2,021R
1,881R
1,071R
958
1,582R
207
77
-342
439
3,445R
906R
570
3,429R
147
546
941
929R
10
-
11
3,680R
-3,552R
-3,924R
-61R
3,289R
-3,567R
-2,951R
72R
392R
15R
-972R
158
4,237R
-2,612R
-2,995R
1,626R
1,000R
-146
-
5,801R
8,039R
3,204
5,842R
7,190R
3,110
-41R
849R
94
7,427R
9,039R
3,058
S 77
Trust units
Parts de fiducie
Financial corporations
Sociétés financières
Non-financial corporations
Sociétés non financières
Total
Total
Total
Total
Placed:
Titres placés :
In Canada
Au Canada
Abroad
À l’étranger
Placed:
Titres placés :
In Canada
Au Canada
Abroad
À l’étranger
Total
trusts units
Ensemble
des
parts de
fiducie
Year,
quarter
and
month
Année,
trimestre
ou mois
V20647412Q
219
25
18
32
-219
107
124
219
25
18
32
-219
107
124
-
3,685
6,621
1,733 R
709
1,305 R
5,196
9,887 R
13,456 R
11,319 R
17,196 R
11,067 R
3,685
6,621
1,733 R
709
1,305 R
5,196
9,740 R
13,328
11,242 R
17,150 R
11,063 R
146
128 R
77 R
47
4R
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
-
-
-
2,543 R
2,397 R
2,543 R
2002 IV
-219
-
-219
-
-
2,371 R
2,079
3,973
5,034
2,340
2,048
3,933
5,007
31 R
31
40
26
2,152 R
2,079
3,973
5,034
2003 I
II
III
IV
-
-
-
1,961
3,707
2,060
3,591 R
1,945
3,660
2,060
3,577 R
16
47
14 R
1,961
3,707
2,060
3,591 R
2004 I
II
III
IV
7
100
7
100
-
2,873 R
6,074 R
4,788
3,462 R
2,826 R
6,074 R
4,788
3,462 R
47
-
2,873 R
6,081 R
4,788
3,562 R
2005 I
II
III
IV
106
12
6
106
12
6
-
2,873 R
3,112 R
4,012 R
1,071 R
2,872
3,111
4,011 R
1,070
1R
1R
1R
1R
2,873 R
3,218 R
4,024 R
1,077 R
2006 I
II
III
IV
12
-
12
-
-
-795 R
185 R
-2,692
9R
6R
-
-795 R
197 R
-2,692
2007 I
II
III
-804
179
-2,692
146
3,685
6,621
1,952 R
735
1,323 R
5,196
9,919 R
13,238 R
11,319 R
17,303 R
11,191 R
F11
Money market trading by type of security(1)
Répartition des opérations conclues sur le marché monétaire, par catégorie de titres(1)
S 78
Millions of dollars En millions de dollars
Government of Canada treasury bills
Bons du Trésor du gouvernement canadien
Total
trading
Ensemble
des
opérations
Of which:
Pre-auction
trades
Dont :
Opérations
conclues avant
l’adjudication
2005 J
J
A
S
O
N
D
33,401
25,667
27,859
31,971
28,547
28,038
29,989
2,779
3,279
3,290
4,771
4,966
4,259
4,089
2,199
1,640
2,040
1,948
2,083
2,061
1,951
3,953
2,850
2,368
2,762
3,913
2,250
7,990
23,479
21,850
22,489
20,697
24,097
23,206
22,946
24,024
22,153
23,872
26,883
21,373
21,923
20,091
32,610
28,319
28,142
31,538
35,056
31,831
37,653
42,341
36,740
32,567
32,595
28,244
26,921
32,219
204
492
627
192
307
339
208
2006 J
F
M
A
M
J
J
A
S
O
N
D
28,195
24,467
25,846
21,358
20,126
24,524
20,519
19,022
21,154
21,969
22,055
25,228
4,042
2,933
2,553
1,676
2,935
2,182
1,360
908
1,187
1,197
1,110
939
1,580
2,136
1,656
2,365
2,241
1,897
1,962
3,359
2,002
1,519
1,976
2,086
2,886
3,072
4,019
7,270
4,533
6,759
6,309
5,464
5,220
3,602
3,631
3,976
23,220
21,672
25,430
24,112
26,076
26,680
26,986
26,874
28,063
25,411
28,591
26,314
24,268
25,617
25,868
24,057
24,138
21,880
24,394
25,389
27,138
26,176
23,873
23,954
34,018
33,149
36,669
35,265
37,543
45,409
45,963
37,429
41,949
39,103
40,943
46,008
32,624
34,786
37,594
35,781
45,802
45,432
38,952
38,541
35,230
34,469
35,650
32,743
2007 J
F
M
A
M
J
17,638
21,523
24,044
18,177
18,240
19,478
1,258
1,440
1,448
1,106
1,457
1,867
1,478
1,456
1,948
1,833
1,857
2,074
2,841
3,490
4,092
4,692
3,667
3,547
30,569
30,338
30,677
34,182
32,133
34,537
22,644
22,779
25,375
23,291
23,861
26,073
38,087
38,671
45,910
42,217
46,348
46,967
7
14
21
28
17,308
21,843
22,274
24,666
1,274
668
3,186
630
1,637
1,942
1,070
1,176
2,761
3,797
3,664
3,738
28,209
29,610
28,474
35,057
23,812
20,679
22,390
24,235
M
7
14
21
28
29,035
25,736
19,535
21,872
2,657
675
2,145
315
1,795
2,493
2,085
1,417
4,704
3,381
4,610
3,672
34,395
23,394
32,968
31,950
A
4
11
18
25
23,676
18,738
15,621
14,674
1,949
318
1,733
425
2,131
1,285
1,788
2,130
5,828
4,619
4,693
3,629
M
2
9
16
23
30
18,178
18,021
17,604
16,632
20,766
895
1,946
1,311
747
2,384
2,061
2,132
1,561
1,464
2,066
J
6
13
20
27
21,974
17,614
19,746
18,579
437
3,133
1,423
2,473
2,386
1,445
1,969
2,495
2007 F
Federal
Crown
corporation
securities
Titres des
sociétés
d’État du
gouvernement
fédéral
Provincial
securities
Titres des
provinces
Bankers’
acceptances
Acceptations
bancaires
Total
Total
Other
domestic
money
market
securities
Autres
titres
du marché
monétaire
intérieur
18
19
12
11
29
50
48
42,564
37,251
33,206
32,797
28,579
27,310
32,475
421
440
445
403
2,019
1,563
2,059
162,650
140,170
140,421
148,999
145,667
138,183
155,152
55
71
57
40
140
97
97
76
78
99
96
71
45
42
29
32
29
53
23
32
16
46
29
30
32,724
34,900
37,680
35,853
45,971
45,581
39,072
38,650
35,323
34,613
35,776
32,845
1,679
1,916
1,624
1,394
1,319
1,827
261
178
722
490
967
639
148,571
146,928
158,792
151,675
161,946
174,559
165,466
156,365
161,572
152,883
157,812
161,050
28,372
31,524
34,344
34,521
27,809
26,045
64
41
28
44
62
75
25
21
25
43
53
83
28,461
31,585
34,397
34,609
27,925
26,204
384
414
1,057
817
768
1,550
142,102
150,256
167,500
159,818
154,799
160,429
33,951
39,701
44,406
36,628
29,036
32,984
37,017
27,059
48
75
22
17
25
21
20
17
29,109
33,080
37,058
27,093
999
558
34
66
137,784
151,208
159,370
152,660
25,705
25,028
27,740
23,028
40,984
46,374
52,338
43,945
22,975
34,508
43,835
36,059
18
62
13
19
20
22
26
32
23,013
34,592
43,873
36,110
768
1,425
1,081
956
160,398
162,423
184,230
162,949
42,542
23,534
32,687
37,964
25,663
18,452
24,368
24,682
43,607
38,550
49,892
36,818
35,789
28,739
39,997
33,560
23
7
129
17
24
19
27
103
35,836
28,765
40,153
33,681
399
773
980
1,114
179,682
134,716
170,181
154,691
3,832
3,806
3,960
3,435
3,302
39,979
31,297
30,909
23,672
34,807
28,654
20,249
25,218
21,021
24,166
55,794
39,609
45,387
42,174
48,776
35,663
27,997
20,528
29,228
25,631
18
44
103
122
24
28
42
24
139
35
35,709
28,083
20,655
29,488
25,689
503
776
1,003
1,202
357
184,708
143,972
146,297
139,089
159,930
4,800
2,637
4,512
2,239
36,808
30,465
37,132
33,741
26,750
26,108
27,662
23,771
48,139
46,572
50,075
43,082
28,430
27,866
22,146
25,740
59
58
133
51
66
51
118
99
28,555
27,975
22,397
25,890
614
1,203
1,652
2,731
170,026
154,018
165,145
152,528
(1) Trading as reported by government securities distributors
(2) Effective January 2004, Asset-backed paper has been broken out from total corporate. Also banks, trust
companies, and mortgage companies have been split into three separate categories.
Corporate
and finance
company
paper
Papier des
sociétés non
financières et
des sociétés
de financement
Assetbacked
paper
Papier
adossé
à des
actifs
Bank, trust, and mortgage company paper (2)
Papier des banques et des sociétés de fiducie ou
de prêt hypothécaire (2)
Monthly
average of
Wednesdays
and week
ending
Wednesday
Moyenne
mensuelle
des mercredis
ou données
de la semaine
se terminant
le mercredi
Banks
Banques
Trust
companies
Sociétés
de fiducie
Mortgage
companies
Sociétés
de prêt
hypothécaire
Total
domestic
money
market
trading
Ensemble
des
opérations
du marché
monétaire
intérieur
(1) Données fournies par les distributeurs de titres d’État
(2) Depuis janvier 2004, le papier adossé à des actifs ne fait plus partie de la catégorie « Papier des sociétés non
financières et des sociétés de financement » et forme une catégorie distincte. De plus, la catégorie « Papier des
banques et des sociétés de fiducie ou de prêt hypothécaire » a été fractionnée en trois sous-catégories, soit
« Banques » , « Sociétés de fiducie » et « Sociétés de prêt hypothécaire ».
F12
Bond market trading by type of security*
Répartition des opérations conclues sur le marché obligataire, par catégorie de titres*
S 79
Millions of dollars En millions de dollars
Monthly
average of
Wednesdays
and week
ending
Wednesday
Moyenne
mensuelle
des mercredis
ou données
de la semaine
se terminant
le mercredi
indiqué
Government of Canada bonds
Obligations du gouvernement canadien
3 years
and under
3 ans ou
moins
3-10 years
De 3 à
10 ans
2005 J
J
A
S
O
N
D
40,384
36,323
36,094
49,744
42,565
36,769
34,750
56,043
51,912
51,191
60,888
54,854
50,396
51,668
9,853
9,287
7,159
9,237
9,599
10,457
8,596
402
236
355
300
481
662
333
106,683
97,758 145
94,798 30
120,168 13
107,499
98,284
95,346
7,808
4,898
4,397
12,719
6,853
6,400
9,885
10,257
7,637
9,386
10,968
12,845
10,247
10,324
3,697
1,820
2,605
3,871
2,644
3,173
2,375
2006 J
F
M
A
M
J
J
A
S
O
N
D
41,058
45,975
43,786
38,635
42,028
45,727
35,305
30,258
44,194
36,020
34,362
35,731
53,794
63,390
62,220
68,967
83,001
84,647
51,550
56,873
52,516
51,069
48,349
60,333
11,865
13,373
12,431
12,299
14,461
10,485
8,691
5,809
9,234
9,703
9,240
11,453
247
325
507
308
446
365
364
326
624
409
710
523
106,964
123,063
118,944
120,209
3
139,936 60
141,224 139
95,909
93,266
106,568
97,201 86
92,661 56
108,040 414
8,620
8,681
10,182
7,865
5,962
10,026
5,363
5,332
15,698
7,523
7,001
14,007
11,619
13,804
10,201
9,607
12,897
10,911
9,106
11,332
12,124
11,044
14,732
10,243
2007 J
F
M
A
M
J
34,064
34,421
41,723
32,050
32,372
39,612
52,883
57,695
68,768
52,550
66,903
94,481
12,265
14,385
11,859
10,275
11,710
13,566
683
634
731
322
577
874
99,895
107,135
123,082
95,197
111,562
148,532
5,476
7,018
14,713
7,355
7,991
17,319
7
14
21
28
31,039
30,846
27,172
48,628
60,237
57,943
51,861
60,739
13,276
11,557
11,302
21,405
364
303
572
1,297
104,916
100,649
90,907
132,068
M
7
14
21
28
47,721
43,986
43,295
31,890
62,134
107,395
56,643
48,900
12,096
13,387
11,375
10,578
1,275
373
562
715
123,226
165,142 887
111,875
92,082
5
A
4
11
18
25
29,783
23,452
38,590
36,373
47,367
39,171
64,827
58,835
7,904
6,708
15,888
10,602
462
166
435
224
85,516
69,497
119,740
106,034
M
2
9
16
23
30
37,306
28,676
24,200
33,013
38,666
64,509
60,254
62,999
60,516
86,236
10,903
8,895
9,903
13,470
15,381
524
413
251
455
1,242
113,243
98,239
97,353
107,453
141,524
6
13
20
27
39,359
47,168
36,708
35,212
93,552
104,220
105,226
74,927
18,232
15,409
10,207
10,413
1,396
639
977
482
152,540
167,435
153,118
121,035
2007 F
J
*
Over
10 years
Plus de
10 ans
Real Return
Bonds
Obligations à
rendement
réel
Total
Total
Bank,
trust and
mortgage
company
securities
Titres des
banques
et des
sociétés de
fiducie
ou de prêt
hypothécaire
Asset-backed
securities
Titres
adossés à
des
créances
Maple
bonds and
other
domestic
bonds(1)
Obligations
émises en
dollars
canadiens
par des
émetteurs
étrangers et
autres
obligations
intérieures(1)
Total
domestic
bond
trading
Ensemble
des
opérations
sur
obligations
intérieures
309
182
182
622
319
282
237
1,324
1,225
1,508
1,844
1,451
1,848
1,410
767
764
492
872
1,858
605
812
29
18
13
26
17
21
130,873
114,300
113,382
151,330
133,495
120,856
120,411
2,228
4,366
3,377
3,128
3,251
3,628
2,364
2,138
3,792
3,439
3,799
3,078
181
222
232
280
237
174
293
281
276
268
432
216
1,437
1,771
1,942
2,236
1,516
1,651
1,423
1,406
1,743
1,278
1,933
2,522
577
1,344
1,164
790
646
1,312
498
769
1,685
2,143
1,284
1,747
426
443
529
403
660
495
299
378
655
706
478
557
132,051
153,693
146,571
144,518
165,104
169,421
115,254
114,902
142,541
123,602
122,321
140,410
12,268
12,068
10,883
11,877
10,628
14,499
3,085
3,358
4,330
4,076
3,619
4,093
139
148
141
170
233
321
1,389
1,569
1,645
1,354
1,657
2,976
766
1,048
805
1,718
1,278
1,876
804
799
1,010
798
1,088
967
123,823
133,144
156,609
122,545
138,057
190,583
4,588
7,527
6,208
9,751
13,739
12,274
11,155
11,102
2,862
3,464
2,613
4,494
168
156
120
147
1,753
1,089
1,080
2,354
530
515
1,750
1,399
699
1,035
725
739
129,254
126,708
114,559
162,054
11,505
28,447
12,604
6,295
10,380
10,020
12,676
10,456
4,309
4,843
3,923
4,247
122
69
205
169
1,844
1,610
1,571
1,556
623
1,075
948
573
1,477
1,082
584
897
153,486
212,289
144,384
116,276
6,501
6,540
7,163
9,217
9,673
8,333
15,279
14,222
5,012
2,344
4,440
4,509
158
66
198
259
1,470
1,412
1,089
1,445
1,093
1,436
2,288
2,054
567
1,072
1,001
554
109,989
90,700
151,198
138,294
34
16
6,154
9,860
8,191
7,567
8,182
9,202
7,843
15,384
9,608
11,105
3,125
3,063
4,102
3,280
4,524
109
133
358
150
414
2,889
1,460
965
1,780
1,191
838
837
2,665
1,391
661
909
460
1,862
996
1,214
136,469
121,895
130,880
132,225
168,815
-
9,596
10,782
23,584
25,313
15,585
13,803
14,453
14,153
3,439
4,337
5,263
3,335
148
245
615
276
3,729
3,105
2,360
2,711
702
965
2,538
3,300
624
1,851
898
495
186,362
202,524
202,828
170,619
Of which:
Pre-auction
trades
Dont :
Opérations
conclues avant
l’adjudication
-
Federal
Crown
corporation
bonds
Obligations
des
sociétés
d’État du
gouvernement
fédéral
Trading as reported by government securities distributors
(1) Effective 4 January 2006, the Other domestic bonds product category has been renamed Maple bonds and other
domestic bonds.
Provincial
bonds
Obligations
des
provinces
*
Corporate
bonds
Obligations
des
sociétés
Municipal
bonds
Obligations
des
municipalités
Données fournies par les distributeurs de titres d’État
(1) Au 4 janvier 2006, la catégorie de produit « autres obligations intérieures » est devenue la catégorie « obligations
émises en dollars canadiens par des émetteurs étrangers et autres obligations intérieures ».
F13
Government of Canada treasury bill and bond trading with counterparties*
Répartition des opérations conclues sur bons du Trésor et obligations du gouvernement canadien, par partie contractante*
S 80
Millions of dollars En millions de dollars
Monthly
average of
Wednesdays
and week
ending
Wednesday
Moyenne
mensuelle
des mercredis
ou données
de la semaine
se terminant
le mercredi
indiqué
Government of Canada treasury bills
Bons du Trésor du gouvernement canadien
Investment
dealers
Courtiers
en valeurs
mobilières
Anonymous
systems (1)
Systèmes
anonymes(1)
Banks
Banques
Other
Autres
2005 J
J
A
S
O
N
D
1,345
1,524
1,521
1,188
1,364
1,200
1,205
8,350
6,084
6,086
9,331
5,329
6,529
7,793
2,234
2,159
2,889
2,124
2,798
3,390
2,699
2006 J
F
M
A
M
J
J
A
S
O
N
D
971
1,077
1,070
984
896
1,736
1,087
926
1,048
1,048
822
1,365
6,985
4,673
5,509
4,182
4,264
4,036
3,321
3,679
4,234
4,604
5,433
5,367
2007 J
F
M
A
M
J
918
816
1,022
871
938
1,811
7
14
21
28
M
Nonresidents
Nonrésidents
Total
trading
Ensemble
des
opérations
Domestic
Marché intérieur
Investment
dealers
Courtiers
en valeurs
mobilières
Anonymous
systems(1)
Systèmes
anonymes(1)
Banks
Banques
Other
Autres
17,800
14,659
16,108
18,017
17,887
15,754
16,855
3,671
1,240
1,255
1,311
1,168
1,165
1,436
33,401
25,667
27,859
31,971
28,547
28,038
29,989
9,211
9,427
7,830
10,539
10,535
8,552
9,196
40,166
34,486
35,028
49,743
41,484
35,721
35,490
10,814
9,451
9,923
12,151
10,290
10,003
9,938
24,285
21,643
20,051
25,488
25,064
24,945
23,472
22,207
22,751
21,967
22,248
20,125
19,063
17,251
106,683
97,758
94,798
120,168
107,499
98,284
95,346
2,487
2,659
2,990
1,906
1,486
2,275
1,749
1,846
1,682
2,068
1,963
2,151
15,663
14,728
14,581
13,010
11,634
13,962
12,725
11,393
12,278
12,467
12,493
15,143
2,089
1,330
1,695
1,276
1,846
2,515
1,636
1,179
1,913
1,783
1,344
1,202
28,195
24,467
25,846
21,358
20,126
24,524
20,519
19,022
21,154
21,969
22,055
25,228
10,171
14,194
10,263
12,325
11,585
14,806
9,454
8,987
9,638
7,870
8,158
9,014
39,788
44,373
43,593
42,097
49,324
49,129
34,180
33,053
42,389
35,819
36,602
37,929
10,770
11,413
11,019
11,450
14,407
14,291
10,058
8,929
9,575
11,258
8,662
13,651
24,001
26,647
28,449
23,549
32,777
30,524
22,277
22,337
24,539
22,013
21,791
26,826
22,235
26,436
25,620
30,789
31,843
32,473
19,941
19,960
20,427
20,240
17,448
20,620
106,964
123,063
118,944
120,209
139,936
141,224
95,909
93,266
106,568
97,201
92,661
108,040
2,667
3,803
4,973
2,625
3,089
1,327
1,168
1,808
2,108
1,097
1,320
915
11,632
13,298
14,593
12,110
10,687
13,650
1,254
1,797
1,348
1,474
2,206
1,775
17,638
21,523
24,044
18,177
18,240
19,478
9,859
8,785
10,962
8,855
9,551
11,827
36,759
39,356
41,454
33,663
38,958
51,443
11,125
10,846
13,084
12,006
12,101
17,864
19,348
22,930
31,021
22,087
27,163
38,773
22,805
25,218
26,560
18,585
23,788
28,626
99,895
107,135
123,082
95,197
111,562
148,532
407
1,208
521
1,130
1,901
3,907
3,397
6,009
1,014
2,176
2,196
1,845
12,011
12,386
14,524
14,271
1,975
2,167
1,636
1,411
17,308
21,843
22,274
24,666
8,751
8,091
7,968
10,330
37,809
37,208
32,276
50,133
10,053
11,043
10,349
11,939
20,713
22,061
21,361
27,583
27,590
22,246
18,954
32,083
104,916
100,649
90,907
132,068
7
14
21
28
654
1,940
661
833
7,753
5,690
2,551
3,899
2,524
3,425
1,314
1,169
16,221
13,147
14,217
14,787
1,883
1,535
792
1,183
29,035
25,736
19,535
21,872
9,292
16,345
10,016
8,197
43,225
53,037
34,667
34,888
9,756
19,743
12,951
9,887
29,761
39,789
31,375
23,158
31,193
36,228
22,867
15,953
123,226
165,142
111,875
92,082
A
4
11
18
25
677
949
691
1,167
2,883
3,861
2,471
1,286
2,370
502
640
876
16,399
12,459
9,737
9,845
1,347
967
2,082
1,499
23,676
18,738
15,621
14,674
9,661
7,341
9,699
8,721
27,963
24,452
46,207
36,029
10,570
10,333
13,839
13,282
19,810
14,233
28,361
25,946
17,513
13,138
21,634
22,056
85,516
69,497
119,740
106,034
M
2
9
16
23
30
1,105
796
585
996
1,207
2,701
3,513
3,042
2,807
3,382
1,621
681
932
1,318
2,049
10,002
10,455
10,615
10,761
11,603
2,749
2,577
2,430
750
2,524
18,178
18,021
17,604
16,632
20,766
11,009
7,616
9,770
7,852
11,510
39,129
38,032
36,552
35,360
45,718
12,817
9,073
10,774
12,482
15,361
25,393
22,819
19,337
29,883
38,382
24,895
20,698
20,920
21,876
30,552
113,243
98,239
97,353
107,453
141,524
J
6
13
20
27
1,838
1,325
2,702
1,379
1,483
397
1,494
1,932
1,529
446
1,131
555
14,611
12,631
13,619
13,740
2,513
2,814
801
973
21,974
17,614
19,746
18,579
11,817
10,915
12,055
12,520
50,622
61,339
50,310
43,503
18,408
18,795
20,728
13,523
41,674
40,682
42,909
29,825
30,018
35,703
27,116
21,665
152,540
167,435
153,118
121,035
2007 F
*
Government of Canada bonds
Obligations du gouvernement canadien
Domestic
Marché intérieur
Trading as reported by government securities distributors
(1) Effective 4 January 2006, the Interdealer brokers counterparty category has been renamed Anonymous systems.
*
Nonresidents
Nonrésidents
Total
trading
Ensemble
des
opérations
Données fournies par les distributeurs de titres d’État
(1) Au 4 janvier 2006, la catégorie de contrepartie « intermédiaires entre courtiers » est devenue la catégorie « systèmes
anonymes ».
F14
Strip bond trading and repos by type of security*
Répartition des opérations sur obligations coupons détachés et opérations avec clause de réméré, par catégorie de titres*
Millions of dollars
Monthly
average of
Wednesdays
and week
ending
Wednesday
Moyenne
mensuelle
des mercredis
ou données
de la semaine
se terminant
le mercredi
indiqué
S 81
En millions de dollars
Strip bond trading (coupons and residuals)
Opérations sur obligations coupons détachés (coupons et résidus)
Repos
Opérations avec clause de réméré
Government
of Canada
bonds
Obligations du
gouvernement
canadien
Provincial
bonds
Obligations
des
provinces
Total
Total
Government
of Canada
treasury
bills
Bons du
Trésor du
gouvernement
canadien
Other
domestic
money
market
securities
Autres
titres
du marché
monétaire
intérieur
Total
domestic
money
market
Ensemble
des
opérations
du marché
monétaire
intérieur
Government
of Canada
bonds
Obligations
du
gouvernement
canadien
Other
domestic
bonds
Autres
obligations
intérieures
Total
domestic
bond
market
Ensemble
des
opérations
sur
obligations
intérieures
2005 J
J
A
S
O
N
D
850
599
545
995
835
1,209
533
1,355
743
718
988
1,085
1,377
1,607
141
76
60
83
71
63
72
2,346
1,418
1,323
2,066
1,991
2,649
2,212
55,011
72,235
73,485
68,442
54,811
65,178
62,430
102
11
1
6
7
15
55,113
72,247
73,485
68,443
54,817
65,186
62,445
413,436
381,084
382,165
433,733
399,350
378,784
356,300
62,724
55,864
61,494
57,985
70,042
74,808
74,385
476,159
436,947
443,659
491,718
469,393
453,591
430,685
2006 J
F
M
A
M
J
J
A
S
O
N
D
679
791
478
813
872
419
500
273
533
334
313
353
1,591
1,364
1,223
1,683
1,905
1,805
1,224
581
1,817
1,303
1,556
1,280
49
94
55
65
48
46
42
42
83
93
92
61
2,319
2,249
1,756
2,561
2,825
2,270
1,766
896
2,433
1,730
1,961
1,694
48,512
50,558
74,977
60,000
53,104
33,191
41,135
38,989
37,813
57,661
60,853
57,312
31
7
260
413
145
27
140
152
1,388
2,410
2,404
3,076
48,543
50,565
75,237
60,413
53,249
33,218
41,276
39,141
39,201
60,071
63,257
60,388
400,563
488,659
499,302
493,343
505,115
522,399
499,754
497,534
536,198
522,746
496,123
476,425
79,312
95,272
100,607
93,218
89,600
90,296
95,364
95,215
106,731
98,587
93,227
93,708
479,875
583,930
599,909
586,561
594,715
612,695
595,118
592,749
642,929
621,333
589,350
570,134
2007 J
F
M
A
M
J
413
405
423
526
764
650
939
1,362
1,775
1,167
794
1,220
54
73
130
39
53
68
1,406
1,840
2,328
1,732
1,611
1,938
50,989
45,759
55,825
36,899
33,125
34,315
1,931
936
729
963
1,092
1,349
52,920
46,694
56,554
37,862
34,217
35,664
488,742
534,429
585,851
489,968
513,615
602,129
101,079
104,619
129,219
141,149
129,889
139,930
589,821
639,049
715,070
631,118
643,505
742,060
7
14
21
28
548
189
630
253
1,764
1,812
783
1,089
87
118
46
40
2,399
2,119
1,459
1,382
44,777
46,076
38,518
53,663
601
687
1,836
621
45,378
46,763
40,353
54,284
523,310
548,980
499,007
566,420
108,243
108,111
111,529
90,595
631,553
657,091
610,536
657,015
M
7
14
21
28
488
410
323
470
1,492
1,787
2,038
1,782
42
246
177
55
2,022
2,443
2,538
2,307
56,711
60,058
49,271
57,261
161
237
2,049
470
56,871
60,295
51,319
57,731
623,073
596,252
561,850
562,230
114,057
133,235
132,133
137,450
737,130
729,487
693,983
699,680
A
4
11
18
25
365
319
180
1,240
1,142
528
1,499
1,497
68
29
35
27
1,575
876
1,714
2,764
53,560
30,148
35,004
28,886
413
599
2,017
823
53,973
30,747
37,021
29,709
551,761
409,617
493,635
504,858
151,662
106,410
150,030
156,497
703,423
516,027
643,665
661,355
M
2
9
16
23
30
664
1,544
589
595
431
907
320
963
1,015
764
37
31
68
45
82
1,608
1,895
1,620
1,655
1,277
38,555
29,941
33,561
27,076
36,493
701
559
3,274
476
450
39,256
30,499
36,834
27,551
36,943
522,190
566,507
512,612
433,560
533,208
130,701
124,524
134,863
134,207
125,152
652,891
691,031
647,475
567,767
658,359
J
6
13
20
27
728
678
526
668
1,192
910
947
1,833
104
70
47
49
2,024
1,658
1,520
2,550
43,911
36,381
32,289
24,678
2,017
1,343
1,819
219
45,928
37,724
34,108
24,896
598,047
591,631
615,355
603,484
141,172
142,798
125,836
149,915
739,219
734,429
741,191
753,399
2007 F
*
Trading as reported by government securities distributors
Other
domestic
bonds
Autres
obligations
intérieures
*
Données fournies par les distributeurs de titres d’État
F15
Financial futures
Contrats à terme sur instruments financiers
S 82
Number of contracts Nombre de contrats
Annual,
monthly
and week
ending
Friday
Données
annuelles,
mensuelles
ou données
de la semaine
se terminant
le vendredi
2001
2002
2003
2004
2005
2006
3-month bankers’
acceptances futures (BAX)
Contrats à terme sur
acceptations bancaires
à 3 mois
Volume
Volume
Daily
average
Moyenne
quotidienne
Open interest
at end of period
Position
ouverte en fin
de période
2-year Government
of Canada bond futures (CGZ)*
Contrats à terme sur
obligations du gouvernement
canadien à 2 ans
5-year Government
of Canada bond futures (CGF)**
Contrats à terme sur
obligations du gouvernement
canadien à 5 ans*
10-year Government
of Canada bond futures (CGB)
Contrats à terme sur
obligations du gouvernement
canadien à 10 ans
Volume
Volume
Volume
Volume
Volume
Volume
Daily
average
Moyenne
quotidienne
Open interest
at end of period
Position
ouverte en fin
de période
1,825,435
1,773,290
2,220,676
2,725,551
4,692,287
7,691,797
7,007
6,815
8,623
10,878
18,787
30,576
59,642
63,542
77,177
123,862
162,620
335,215
Daily
average
Moyenne
quotidienne
4,221,550
4,782,580
6,542,926
7,755,051
11,157,298
16,702,302
16,208
18,316
25,095
30,926
44,726
66,869
156,352
147,870
187,905
255,289
331,916
393,078
132,637
83,214
535
334
2005 O
N
D
745,295
844,716
936,352
37,265
40,225
46,818
320,789
389,304
331,916
9,025
16,836
11,733
2006 J
F
M
A
M
J
J
A
S
O
N
D
1,207,930
1,086,412
1,630,245
1,331,920
1,663,319
1,618,476
1,615,008
1,375,094
1,345,273
1,186,687
1,125,947
1,515,991
57,520
54,321
70,880
70,101
75,605
73,567
80,750
62,504
67,264
56,509
53,617
79,789
353,836
428,647
374,678
420,578
472,191
463,773
542,233
521,929
437,793
399,580
457,979
393,078
2007 J
F
M
A
M
J
J
A
S
1,271,946
1,811,601
2,114,892
1,039,710
1,598,875
1,384,886
990,108
1,494,878
796,474
57,816
90,580
96,131
51,986
72,676
65,947
47,148
67,949
41,920
6
13
20
27
179,065
251,383
160,955
297,604
A
3
10
17
24
31
S
7
14
21
28
2007 J
Open interest
at end of period
Position
ouverte en fin
de période
Daily
average
Moyenne
quotidienne
Open interest
at end of period
Position
ouverte en fin
de période
-
-
3,884
1,905
-
-
-
451
802
587
3,818
13,282
3,884
-
-
-
314,835
676,829
327,159
15,742
32,230
16,358
161,595
198,577
162,620
2,696
19,277
4,153
9,293
18,102
4,789
2,882
3,404
5,685
6,766
4,296
1,871
128
964
181
489
823
218
144
155
284
322
205
98
4,884
7,589
7,943
8,337
2,155
4,268
50
2,057
3,620
1,549
2,163
1,905
-
-
-
390,633
742,684
450,767
403,209
1,113,309
552,721
404,200
1,025,073
482,602
478,332
1,164,400
483,867
18,602
37,134
19,599
21,222
50,605
25,124
20,210
46,594
24,130
22,778
55,448
25,467
146,281
220,762
217,932
265,779
347,276
282,430
270,828
334,933
274,155
300,462
370,039
335,215
428,032
655,983
442,693
459,429
485,592
443,212
432,282
363,405
288,431
2,614
1,669
1,105
147
599
15
6
208
-
119
83
50
7
27
1
9
-
1,846
2,342
170
140
125
117
117
-
-
-
-
543,434
1,359,269
633,968
490,876
1,449,918
660,783
599,330
1,118,602
492,358
24,702
67,963
28,817
24,544
65,905
31,466
28,540
50,846
25,914
383,107
440,734
327,666
346,691
383,763
318,589
301,618
262,313
244,251
44,766
50,277
32,191
59,521
457,138
418,007
434,494
460,508
6
-
2
-
117
117
117
117
-
-
-
108,853
163,613
122,547
152,084
27,213
32,723
24,509
30,417
308,427
302,518
305,930
303,142
267,143
319,317
549,434
301,692
158,393
53,429
79,829
109,887
60,338
31,679
432,768
490,505
477,444
383,201
363,405
42
42
124
11
8
25
117
117
159
117
-
-
-
-
142,755
128,116
182,879
155,082
562,003
28,551
32,029
36,576
31,016
112,401
286,767
295,577
299,564
239,742
262,313
184,255
230,147
233,620
148,452
46,064
46,029
46,724
29,690
361,312
346,766
288,901
288,431
-
-
-
-
-
-
153,947
84,649
127,367
126,395
38,487
16,930
25,473
25,279
258,745
254,412
257,178
244,251
* The Montreal Exchange launched a 2-year Government of Canada bond futures contract (CGZ) on 3 May 2004.
** The Montreal Exchange launched a 5-year Government of Canada bond futures contract (CGF) on 19 January 1995.
* La Bourse de Montréal a lancé un contrat à terme sur obligations du gouvernement canadien à 2 ans le 3 mai 2004.
** La Bourse de Montréal a lancé un contrat à terme sur obligations du gouvernement canadien à 5 ans le 19 janvier 1995.
G1
Government of Canada fiscal position: National accounts basis
Trésorerie du gouvernement canadien : Sur la base des comptes nationaux
Millions of dollars
Year
and
quarter
Année
ou
trimestre
En millions de dollars
Seasonally adjusted at annual rates
Données désaisonnalisées, chiffres annuels
Revenues Recettes
Expenditures Dépenses
Direct taxes on:
Impôts directs
Persons
Particuliers
S 83
Corporations
and
government
business
enterprises
Sociétés et
entreprises
commerciales
publiques
Nonresidents
Nonrésidents
Indirect
taxes
Impôts
indirects
Investment
income
Revenus
de
placements
Capital
consumption
allowance
Provisions
pour
consommation
de capital
V498369
V498384
Total
Total
Current and
capital
expenditures
on goods and
services
Dépenses
courantes en
biens et en
services et
dépenses
en immobilisations
Transfers
to persons
and nonresidents
Transferts
aux
particuliers
et aux
nonrésidents
Transfers
to provincial
and local
governments
Transferts
aux administrations
provinciales
et locales
Interest
on public
debt
Intérêts
sur
la dette
publique
Subsidies
Subventions
Capital
assistance
Subventions
d’équipement
V498358
+V498370
+V498384
V498372
-V498370
+V498094
V498374
+V498376
V498378
+V498379
V498380
V498375
V498387
Total
Total
Surplus
or deficit (-)
Excédent
ou déficit (-)
V498371
+V498094
V498381
V498360
+V498363 V498361
+V498365
V498362
V498364
1985
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
40,934
47,553
52,431
58,168
61,494
71,711
74,160
78,026
77,077
78,718
83,113
86,596
94,017
99,087
101,250
109,003
111,820
105,767
106,420
112,193
120,370
124,224
11,586
10,300
11,868
11,860
12,126
10,436
9,899
9,982
10,687
12,207
13,377
16,231
20,243
19,413
25,823
31,764
24,188
24,274
27,890
31,572
33,529
34,739
954
1,684
1,223
1,678
1,542
1,725
1,515
1,575
1,649
1,697
1,963
2,845
2,957
2,818
3,386
3,755
4,530
4,383
4,158
4,643
5,478
7,000
19,103
21,420
23,929
26,061
28,929
27,135
30,371
30,996
31,057
30,630
31,446
32,384
34,939
35,457
36,243
38,343
39,845
43,239
45,088
46,418
48,624
48,049
4,812
4,604
4,501
5,239
5,771
5,939
5,612
5,222
4,149
4,144
5,441
4,750
5,242
5,661
6,155
7,599
7,954
7,118
7,084
6,266
6,871
7,363
1,963
2,064
2,201
2,353
2,543
2,733
2,720
2,772
2,924
3,180
3,311
3,288
3,427
3,509
3,460
3,451
3,576
3,841
3,716
3,728
3,707
3,592
84,658
93,406
102,587
112,153
119,743
127,257
132,427
136,552
135,187
139,120
147,868
155,754
170,552
175,299
185,251
203,723
202,235
199,119
204,780
216,219
231,002
237,925
24,072
24,501
25,278
26,724
28,337
31,379
31,927
32,619
34,018
33,803
33,569
32,107
30,491
31,924
33,837
37,626
38,450
41,591
43,179
45,154
47,064
49,364
31,075
33,007
34,196
35,864
37,640
41,896
48,488
52,414
54,482
52,946
51,624
51,421
51,812
53,234
54,279
56,090
60,827
63,888
66,357
68,978
71,675
73,707
22,769
22,192
23,908
26,134
27,020
28,476
29,290
31,496
32,308
31,562
33,474
29,450
25,686
26,449
32,435
32,230
34,948
33,329
40,181
39,612
56,707
52,750
24,742
26,222
27,891
31,717
37,437
41,891
41,047
39,554
39,215
40,175
46,261
45,348
43,404
43,911
43,633
45,305
41,816
36,763
35,164
33,454
32,103
32,122
7,065
5,744
6,263
5,358
4,578
4,294
6,609
4,583
3,583
3,438
3,266
3,252
4,135
3,823
3,585
3,538
3,682
2,970
4,317
5,028
5,061
4,206
-3,735
-2,467
-2,044
-2,932
-1,471
-1,431
-1,718
-1,162
-818
-1,045
-719
-493
-304
-807
-1,599
-1,542
-1,909
-1,603
-642
-1,416
-1,844
-1,805
112,246
114,412
120,593
129,017
138,490
151,597
161,205
164,393
167,159
165,920
172,425
166,075
160,060
163,661
171,844
179,324
184,485
183,337
194,015
197,426
218,317
218,228
-37,965
-28,939
-25,982
-26,290
-27,703
-33,352
-37,206
-35,802
-39,675
-35,088
-31,685
-16,921
6,535
7,689
8,829
20,042
11,963
9,413
4,139
9,805
2,104
8,447
2001 II
III
IV
113,148
111,748
110,608
26,440
21,804
19,072
4,372
4,508
4,692
39,640
40,312
40,124
8,308
7,564
7,224
3,548
3,596
3,676
205,768
200,224
195,612
38,472
39,044
39,796
58,204
59,860
62,132
35,820
35,372
35,980
41,276
41,104
40,228
3,700
3,476
3,816
-2,016
-2,076
-2,184
182,240
183,800
186,640
17,312
10,040
2,744
2002 I
II
III
IV
104,592
105,028
105,564
107,852
21,524
24,056
25,184
26,268
4,180
3,972
4,288
5,084
41,652
42,756
43,684
44,824
7,356
6,724
7,184
7,208
3,736
3,812
3,876
3,936
193,648
197,372
199,204
206,116
40,840
41,048
42,308
42,144
64,580
62,884
63,776
64,316
31,004
33,116
33,924
35,220
37,500
36,904
36,356
36,308
2,744
2,908
3,048
3,176
-1,700
-1,604
-1,440
-1,672
181,520
181,912
183,708
186,152
6,520
8,840
9,080
13,144
2003 I
II
III
IV
103,708
104,884
107,436
109,576
29,012
26,704
27,588
28,268
4,024
4,168
4,124
4,312
44,648
44,548
45,552
45,588
6,940
7,072
7,328
6,992
3,856
3,764
3,668
3,580
202,776
202,256
205,640
208,376
42,748
42,604
43,452
43,896
65,100
66,728
66,476
67,100
36,896
50,496
37,936
35,436
36,108
35,128
34,812
34,628
3,608
4,260
4,636
4,748
-656
-580
-780
-552
189,360
204,344
191,884
190,484
7,472
-9,228
6,868
11,372
2004 I
II
III
IV
110,476
110,484
112,448
115,328
29,708
31,852
32,032
32,680
4,264
4,864
4,796
4,648
45,324
46,096
46,692
47,544
6,308
6,404
6,116
6,236
3,636
3,692
3,760
3,824
210,208
215,404
217,592
221,596
45,156
44,360
45,332
45,760
68,268
68,632
69,072
69,928
35,668
45,268
37,612
39,920
34,512
33,956
33,020
32,344
4,928
4,860
5,176
5,144
-1,332
-1,372
-1,484
-1,476
193,408
202,664
195,488
198,156
8,840
3,260
12,720
14,320
2005 I
II
III
IV
116,744
118,932
121,608
124,100
32,428
33,116
33,924
34,620
5,332
5,628
5,704
5,248
48,024
48,304
48,800
49,352
6,868
6,604
6,976
7,032
3,756
3,716
3,692
3,664
225,156
228,756
233,208
236,736
47,204
47,080
46,808
47,168
72,028
70,524
72,104
72,040
70,620
48,424
58,656
49,340
32,100
32,268
32,116
31,928
5,124
4,840
5,052
5,228
-1,656
-1,996
-1,840
-1,880
232,560
208,744
220,540
211,628
-17,168
9,196
1,868
14,180
2006 I
II
III
IV
123,268
122,112
123,836
127,636
33,612
33,384
34,512
37,408
7,548
6,556
6,316
7,588
49,852
50,472
46,096
45,840
6,632
7,532
7,460
7,812
3,644
3,608
3,556
3,560
236,900
236,468
234,840
243,452
48,392
48,868
49,528
50,640
73,788
71,260
74,648
75,108
49,664
48,212
63,580
49,428
32,036
32,308
32,144
32,000
4,596
4,236
4,132
3,868
-2,052
-1,608
-1,624
-1,940
214,448
210,844
230,104
217,352
11,240
14,596
-6,512
14,592
2007 I
II
132,692
140,152
35,496
35,884
7,092
7,064
47,352
48,896
9,892
8,844
3,540
3,524
249,284
257,656
51,260
51,488
77,664
76,220
52,244
61,384
31,892
31,988
3,776
3,760
-1,604
-1,692
222,956
231,024
14,924
15,004
G1
Financial operations of the Government of Canada
Opérations financières du gouvernement canadien
S 84
Millions of dollars, not seasonally adjusted En millions de dollars, données non désaisonnalisées
Fiscal
year,
calendar,
quarter
and month
Exercice
financier,
trimestre
ou mois
civil
Net Canadian dollar financing requirement: Public accounts basis* Besoins nets de trésorerie en dollars canadiens : sur la base des Comptes publics*
Excluding foreign exchange transactions
Budgetary transactions
Non compris le financement des opérations de change
Opérations budgétaires
Revenue Recettes
Total non-budgetary
source or requirement
Ensemble des
sources ou des
besoins de
financement
non budgétaires
Total
Total
Requirements
for foreign
exchange
transactions
Besoins de
financement
des opérations
de change
Total
Total
Total
program
spending
Ensembles
des
dépenses de
programme
Debt
charges
Service
de la
dette
Total
budgetary
expenditures
Ensemble
des
dépenses
budgétaires
Budgetary
surplus
or deficit
Excédent
ou déficit
budgétaire
153,162
155,671
165,708
178,590
173,315
106,941
111,393
111,763
119,348
126,673
40,931
41,394
41,647
42,094
37,735
147,872
152,787
153,410
161,442
164,408
3,478
2,884
12,298
18,148
8,907
9,251
8,607
2,268
843
-4,210
12,729
11,491
14,566
18,991
4,697
-2,155
-5,700
-6,826
-8,776
-1,776
10,574
5,791
7,740
10,215
2,921
5,971
3,513
47,521
47,327
34,002
36,014
8,810
8,382
42,812
44,396
4,709
2,931
1,966
399
6,675
3,330
-484
4,267
6,191
7,597
10,624
11,484
11,833
11,959
3,821
5,101
5,866
6,124
56,539
53,057
51,116
53,365
50,062
41,245
41,365
42,406
8,266
8,516
8,400
8,393
58,328
49,761
49,765
50,799
-1,789
3,296
1,351
2,566
721
-9,297
-138
298
-1,068
-6,001
1,213
2,864
-517
589
1,295
338
-1,585
-5,412
2,508
3,202
5,044
4,737
3,621
2,482
10,899
11,322
11,164
10,518
6,581
5,345
6,115R
7,264
62,530
56,480
53,250R
55,584
49,642
42,107
45,197R
45,276
8,412
8,487
8,591
8,399
58,054
50,594
53,788R
53,675
4,476
5,886
-538R
1,909
13,984
9,809
5,967
4,974
10,579
10,705
7,394
6,622
65,721
60,411
50,409
45,603
8,364
8,700
58,773
54,303
6,948
6,108
4,458
-3,885
8,896
7,707
7,726
8,604
7,718
9,155
1,997
1,272
1,921
2,199
2,393
2,512
1,461
1,297
1,140
1,003
896
802
3,815
3,984
4,034
4,537
4,157
3,265
2,247
1,788
1,831
1,983
2,105
2,036
18,416
16,048
16,652
18,326
17,269
17,770
13,852
13,839
13,674
13,877
14,193
14,336
2,802
2,784
2,814
2,882
2,990
2,521
16,654
16,623
16,488
16,759
17,183
16,857
1,762
-575
164
1,567
86
913
J
F
M
A
M
J
J
A
S
O
N
D
10,378
8,422
9,338
9,511
8,212
9,104
9,590
8,217
8,413
8,645
8,560
10,044
2,599
5,226
4,043
2,333
2,941
2,975
1,990
1,938
2,202
2,256
2,490
3,325
1,677
1,710
1,657
1,636
1,581
1,520
1,365
1,210
1,046
918
825
739
4,322
3,748
2,829
3,946
3,670
3,706
3,898
3,548
3,718
4,004
3,619
2,895
2,423
1,893
2,265
1,529
1,865
1,951
2,307R
2,202
1,606
2,322
2,818
2,124
21,399
20,999
20,132
18,955
18,269
19,256
19,150R
17,115
16,985
18,145
18,312
19,127
17,185
14,320
18,137
13,605
14,419
14,083
15,374R
14,342
15,481
14,851
15,298
15,127
2,676
2,731
3,005
2,714
2,857
2,916
2,938
2,767
2,886
2,863
2,709
2,827
19,861
17,051
21,142
16,319
17,276
16,999
18,312R
17,109
18,367
17,714
18,007
17,954
J
F
M
A
M
J
J
10,139
8,638
9,020
10,099
8,439
9,763
9,389
2,911
6,466
4,607
3,374
3,324
3,111
2,992
1,894
2,273
1,800
1,766
1,666
1,542
1,316
4,804
3,225
2,550
3,857
3,076
3,772
4,255
2,495
2,205
2,694
1,925
2,176
2,521
2,197
22,243
22,807
20,671
21,021
18,681
20,709
20,149
17,128
15,502
17,779
15,278
15,035
15,290
16,099
2,835
2,718
2,811
2,976
2,855
2,869
2,860
19,963
18,220
20,590
18,254
17,890
18,159
18,959
Personal
income tax
Impôt sur
le revenu des
particuliers
Corporate
income tax
Impôt sur
les bénéfices
des sociétés
Unemployment
insurance
contributions
Cotisations à
l’assurance-chômage
Excise tax
and duties
Taxes d’accise
et autres
droits
Other revenue** Total
Autres recettes** Total
1997/98
1998/99
1999/0
2000/1
2001/2
2002/3
2003/4
2004/5
2005/6
2006/7
70,787
72,488
79,378
83,305
83,790
22,496
21,575
23,170
28,212
24,013
18,802
19,363
18,512
18,731
17,980
30,860
31,399
32,886
36,116
36,638
10,217
10,846
11,762
12,226
10,894
2004
III
IV
21,508
22,104
4,519
7,276
3,938
2,803
11,585
11,631
2005
I
II
III
IV
24,262
23,687
24,329
25,477
12,376
7,680
5,190
7,104
5,456
5,105
3,898
2,701
2006
I
II
III
IV
28,138
26,827
26,220
27,249
11,868
8,249
6,130
8,071
2007
I
II
27,797
28,301
2005
J
A
S
O
N
D
2006
2007
*Fiscal year totals are from the Public Accounts of Canada. Non-budgetary monthly data are from the “Statement of Financial
Transactions.” Quarterly data are the sum of the monthly data. Unlike the Public Accounts, the monthly estimates are
unaudited.
**Residual
3,038
2,822
2,125R
-911
7,514
8,708
1,587R
998
-1,268
1,078
179
-51
6,246
9,786
1,766R
947
11,406
2,223
-4,556
2,853
6,850
5,076
-3,499
1,289
2,072
746
358
-806
-1,737
714
2,236
2,313
444
107
1,679
-728
344
-1,027
-314
1,679
-58
-14
2,580
1,286
130
1,786
1,538
3,948
-1,010
2,636
993
2,257
838R
6
-1,382
431
305
1,173
2,279
-3,167
3,926
4,199
2,060
-3,437
1,249R
280
596
-1,158
-187
434
3,817
781
2,916
6,835
3,053
-1,180
2,087R
286
-786
-727
118
1,607
284
15
-1,567
1,058
413
-393
-431
932
-322
536
-207
-380
4,101
796
1,349
7,893
3,466
-1,573
1,656R
1,218
-1,108
-191
-89
1,227
2,280
4,587
81
2,767
791
2,550
1,190
1,248
-2,031
5,241
-653
3,931
-7,163
1,657
3,528
2,556
5,322
2,114
4,722
-4,613
2,847
-1,487
-21
-3,048
703
1,176
974
-741
2,041
2,535
2,274
2,817
5,898
-3,639
2,106
*Les données de l’exercice sont tirées des Comptes publics du Canada. Les données non budgétaires mensuelles proviennent
de l’État des opérations financières. Les données trimestrielles s’obtiennent par addition des données mensuelles.
Contrairement aux données des Comptes publics, les estimations mensuelles ne sont pas vérifiées.
**Calculé par différence
S 85
Net Canadian
dollar
financing
requirement
Besoins
nets de
trésorerie
en dollars
canadiens
Canadian dollar financing requirement met by:
Financement des besoins de trésorerie en dollars canadiens
Changes in holdings of Canadian dollar securities outside government accounts
Variations des portefeuilles de titres en dollars canadiens (non compris les comptes du gouvernement)
Reduction or
increase (-)
in Canadian
dollar cash
balances
Réduction ou
augmentation
(-) des dépôts
en dollars
canadiens
Increase in Canadian dollar securities
outside government accounts
Augmentation des titres en dollars
canadiens (non compris les comptes
du gouvernement)
Other
Autres
Treasury
bills
Bons du
Trésor
Marketable
bonds
Obligations
négociables
Canada Savings
Bonds and other
retail instruments
Obligations
d’épargne du Canada
et autres titres de
placement au détail
-10,574
-5,791
-7,740
-10,215
-2,921
-1,039
1,068
-3,778
-176
1,229
-22,982
-15,360
2,948
-11,179
5,496
10,455
8,802
13,821
4,400
2,500
15,376
9,572
-888
-39
-3,964
-11,895
-10,599
-17,599
-8,645
-4,134
-2,645
-1,491
-1,707
-635
-2,225
-7,755
-2,142
-2,115
-1,474
-1,757R
21,864
12,002
11,165
22,244
2,385
9,195
3,939
5,893
5,719
3,391R
-6,191
-7,597
-3,437
1,677
-393
3,242
-2,935
-10,431
-170
-1,440
1,585
5,412
-2,508
-3,202
-13,098
13,681
739
-1,756
10,230
-4,963
491
4,348
3,533
-2,320
-3,877
-5,342
-321
-186
-200
-816
-6,246
-9,786
-1,766R
-947
-13,473
15,182
-688
-630
4,524
-9,639
-961
3,700
2,894
-2,120
-135
-3,042
-272
-221
-173
-1,184
-6,850
-5,076
-17,143
16,431
9,400
-14,900
1,163
-4,161
58
14
-2,580
-1,286
-130
-1,786
80
-3,929
4,588
-871
-3,401
2,516
1,363
1,705
-2,577
1,003
891
2,454
-4,101
-796
-1,349
-7,893
-3,466
1,573
-1,656R
-1,218
1,108
191
89
-1,227
1,728
-1,318
-13,883
13,423
-6,249
8,008
-1,291
-213
816
11
-9,920
9,279
-2,041
-2,535
-2,274
-2,817
-5,898
3,639
-2,106
489
-5,342
-12,290
10,408
193
5,830
1,423
Bank of Canada
Banque du Canada
Treasury
bills
Bons du
Trésor
Marketable
bonds
Obligations
négociables
General public
Public
Total
Total
Treasury
bills
Bons du
Trésor
Marketable
bonds
Obligations
négociables
Canada
Savings Bonds
and other
retail
instruments
Obligations
d’épargne
du Canada et
autres titres de
placement au détail
Total
Total
Year,
quarter
and month
Année,
trimestre
ou mois
-2,671
-1,596
-925
-7
455
-103
167
1,503
1,433
2,985
4,106
3,992
3,301
3,712
1,772
1,515
1,577
306
159
-53
1,435
2,396
2,376
3,705
2,227
1,412
1,744
1,810
1,591
2,932
-20,311
-13,764
3,873
-11,172
5,041
10,558
8,635
12,318
2,967
-485
11,270
5,580
-4,189
-3,751
-5,736
-13,410
-12,176
-17,905
-8,804
-4,081
-2,645
-1,491
-1,707
-635
-2,225
-7,755
-2,142
-2,115
-1,474
-1,757R
-11,650
-9,676
-2,029
-15,564
-2,922
-4,203
-4,891
-7,873
-7,597
-6,748R
1997/98
1998/99
1999/0
2000/1
2001/2
2002/3
2003/4
2004/5
2005/6
2006/7
13,126
14,549
198
646
-1,290
2,182
-1,092
2,828
-591
2,596
-1,645
-12,613
-170
-1,440
-2,419
-11,611
2004
III
IV
1,241
-800
5,355
6,768
-1,169
1,980
101
1,692
-1,276
460
-1,043
690
-2,444
2,439
-942
2,381
11,399
-6,943
390
2,656
4,809
-2,780
-2,834
-6,032
-321
-186
-200
-816
15,809
-9,946
-2,660
-4,330
2005
I
II
III
IV
12,573
6,584
3,723R
2,103
-2,340
2,580
655
1,245
52
740
-195
843
-2,287
3,320
460
2,088
6,864
-12,219
-1,616
2,455
2,842
-2,860
60
-3,885
-272
-221
-173
-1,184
9,339
-15,336
-1,745
-2,869
2006
I
II
III
IV
-179R
-190R
13,609R
7,896R
-1,495
3,965
-1,441
-225
-2,936
3,740
10,895
-18,865
2,604
-3,936
-179R
-190R
13,202R
-23,054R
2007
I
II
-1,049
2,005
-4,833
-1,603
2,772
-6,511
-87
-79
-34
-66
-766
16
-249
312
276
251
374
-261
-50
680
-529
-505
509
1,688
-180
510
-1,373
495
195
-229
1,189
-1,902
-505
1,004
1,882
1,413
1,025
-2,048
1,508
382
766
-869
1,495
-3,460
-1,603
2,277
-6,706
-87
-79
-34
-66
-766
16
451
2,437
-5,548
-164
1,836
-6,002
2005
J
A
S
O
N
D
-5,151
-2,092
11,767
-10,532
2,749
-1,856
-1,532
-2,629
3,200
-1,300
8,200
-3,200
306
2,164
424
162
667
-2,949
584
1,818
-2,537
1,543
3,824
-8,409
-75
-124
-73
-76
-70
-75
-78
-58
-37
-37
-1,206
59
-909
574
416
-10,870
-563
-1,555
661R
-136
-334
-26
-809
1,044
-2,040
-274
-26
764
1,072
744
-141
496
300
305
465
475
-370
485
-63
230
315
195
-425
1,145
-915
1,088
-465
220
-2,410
212
-89
994
1,387
939
-566
1,641
-615
1,393
695
-3,111
-1,818
11,793
-11,296
1,677
-2,600
-1,391
-3,125
2,900
-1,605
7,735
-3,675
676
1,679
487
-68
352
-3,144
1,009
673
-1,622
455
4,289
-8,629
-75
-124
-73
-76
-70
-75
-78
-58
-37
-37
-1,206
59
-2,527
-312
12,178
-11,459
1,950
-5,827
-464
-2,514
1,233
-1,189
10,695
-12,375
2006
J
F
M
A
M
J
J
A
S
O
N
D
-5,700
5,000
10,100
-17,100
-3,500
5,700
-4,200
2,079
-1,118
202
1,132
2,788
-8,081
707
1,121
-975R
-237R
2,794R
-5,343R
293R
29
-1,570
-250
325
375
1,675
1,915
-940
-1,425
-16
260
1,130
-1,615
-440
-2,995
-250
309
635
2,805
300
-1,380
-4,130
5,250
9,775
-17,475
-5,175
3,785
-3,260
3,504
-1,118
218
872
1,658
-6,466
1,147
-693
3,997R
9,898R
-16,691R
-3,573R
-2,790R
-2,185
2007
J
F
M
A
M
J
J
-30
-100R
-49R
-51R
-36R
-103R
-65
-30
-100R
-49R
-51R
-36R
-103R
-65
Government of Canada direct marketable bonds: New issues and retirements
Obligations négociables émises par le gouvernement canadien : Émissions et remboursements
G2
Millions of Canadian dollars, par value, unless otherwise indicated
Issue or
retirement
date
(year, month, day)
Date d’émission
ou de
remboursement
(année, mois, jour)
2007
5
4
5
5
7
8
5
18
5
5
25
28
6
1
6
6
6
4
11
12
6
Amount Montant
Gross
new
issues
Émissions
brutes
Gross
retirements
Remboursements
bruts
V37303M
V37306M
975
-975
400
2,000
-400
578
-578
500
3,500
-500
7,739
-7,739
359
650
300
-359
15
948
-948
6
7
29
13
37
322
-37
-322
7
7
23
24
250
1,400
-250
7
8
8
27
7
8
2,600
8
8
8
10
20
21
2,000
9
9
9
1
4
7
9
9
17
18
136
9
21
3,600
9
24
2,000
3,500
650
300
1,400
243
Amount*
Montant*
2012-6-1
2,000
2009-12-1
2041-12-1 (b)
2037-6-1
2037-6-1
-20
2,000
-400
2012-6-1
2041-12-1 (b)
263
-7,095
500
-263
136
-66
2017-6-1
66
1,000
2,600
2009-12-1
500
-500
20
7,095
500
3,500
Coupon
rate %
Taux
de
l’emprunt
3 3/4
4 1/4
Issue
prices %
Prix
d’émission,
en %
98.173
99.553
Details of gross retirements Description des remboursements bruts
Yield
to final
maturity %
Taux de
rendement
à l’échéance
finale
Coverage
ratio at
auction
Taux de
couverture à
l’adjudication
Final maturity
date (year, month, day)
Date de
l’échéance
finale
(année, mois, jour)
650
300
1,400
2,600
2,000
500
136
3,600
Special features of a number of issues are as follows:
(a) This item represents the cancellation of bonds bought via Government of Canada repurchase operations.
(b) Real Return Bonds.
(c) Floating rate notes (3month LIBOR less 25 bps).
* Currency of payments, when not in Canadian dollars, noted.
2
5
5
4
3 3/4
2
4
4 1/4
99.752
111.043
108.008
95.962
97.295
95.672
97.542
100.076
Amount*
Montant*
Coupon
rate %
Taux
de
l’emprunt
2007-6-1 (a)
2007-9-1 (a)
400
575
3
4 1/2
2010-6-1 (a)
2011-6-1 (a)
2007-6-1 (a)
2007-6-1 (a)
2007-9-1 (a)
2007-12-1 (a)
249
151
40
40
393
105
5 1/2
6
3
7 1/4
4 1/2
2 3/4
275
89
136
1,524
6,215
4 1/4
5 1/2
6
3
7 1/4
2023-6-1 (a)
2027-6-1 (a)
2007-9-1 (a)
2007-12-1 (a)
2007-9-1 (a)
2007-9-1 (a)
2008-6-1 (a)
259
100
848
100
37
122
200
8
8
4 1/2
2 3/4
4 1/2
4 1/2
3 3/4
2023-6-1 (a)
2025-6-1 (a)
2027-6-1 (a)
2029-6-1 (a)
2007-9-1 (a)
47
127
50
26
243
8
9
8
5 3/4
4 1/2
2013-6-1 (a)
2023-6-1 (a)
2025-6-1 (a)
2027-6-1 (a)
2029-6-1 (a)
2007-9-1 (a)
125
90
68
73
35
20
5 1/4
8
9
8
5 3/4
4 1/2
2010-6-1 (a)
2010-9-1 (a)
2007-9-1
29
371
7,095
5 1/2
4
4 1/2
2008-6-1 (a)
2008-6-1 (a)
2008-6-1 (a)
2008-9-1 (a)
238
1
11
13
3 3/4
6
10
4 1/4
2021-3-15 (a)
2021-6-1 (a)
2023-6-1 (a)
2025-6-1 (a)
2007-12-1 (a)
2008-6-1 (a)
2008-9-1 (a)
2010-9-1 (a)
2011-6-1 (a)
3
2
10
50
425
300
275
482
18
10 1/2
9 3/4
8
9
2 3/4
3 3/4
4 1/4
4
6
4.153
4.440
2009-9-1 (a)
2010-6-1 (a)
2011-6-1 (a)
2007-6-1
2007-6-1
2017-6-1
400
Description des émissions brutes
Final maturity
date (year, month, day)
Date de
l’échéance
finale
(année, mois, jour)
-243
2,600
-391
391
En millions de dollars canadiens, valeur nominale, sauf indication contraire
Details of gross new issues
Net new
issues
Émissions
nettes
S 86
2.010
4.338
4.509
4.513
4.382
2.180
4.312
4.211
Les notes ci-dessous indiquent les particularités de certaines émissions :
(a)
Effet visant l’annulation d’obligations achetées dans le cadre d’opérations de rachat d’obligations du gouvernement
du Canada.
(b)
Obligations à rendement réel
(c)
Billets à taux flottants (taux LIBOR à 3 mois moins 25 points de base)
* Les monnaies de paiement autres que le dollar canadien sont indiquées.
Government of Canada direct marketable bonds: Details of unmatured outstanding issues
Obligations négociables émises par le gouvernement canadien : Description des titres non échus en circulation
G3
Millions of Canadian dollars, par value, unless otherwise indicated
Date
of final
maturity
(year, month,
day)
Date de
l’échéance
finale
(année, mois,
jour)
2007 10
10
12
2008 3
6
6
6
Amount
outstanding
30 September
2007*
Encours
au 30
septembre
2007*
1
3
1
1
1
1
1
418
377 NZ
6,377
579
2,262
5,009
3,026
7 7
9 1
2,901 EU
9,855
10
11
12
2009 3
6
6
6
9
1
5
1
1
1
1
1
1
396
2,487 US
7,300
140
3,500
6,175
638
9,034
10
12
2010 1
3
6
6
1
1
15
1
1
1
230
7,100
157 US
83
5,127
2,225
9 1
8,606
10 1
2011 3 1
120
583
6 1
10,328
6 1
9 1
608
9,328
2012 6 1
6,600
6 1
10,357
2013 6 1
8,997
2014 3 15
767
6 1
9,779
2015 6 1
10,300
6 1
483
Coupon
rate %
Taux
de
l’emprunt
Date
of issue
(year, month, day)
Date
d’émission
(année, mois, jour)
13
6 5/8
2 3/4
12 3/4
3 3/4
6
10
1984-8-22; 9-12
1997-10-3
2005-6-10; 7-29; 9-16
1984-10-1; 10-24
2005-12-16; 2006-3-17
1997-8-15; 11-17; 1998-2-16; 5-15
1985-12-15; 1987-9-1; 1988-2-1; 4-14;
6-1; 7-21; 10-15; 12-15; 1989-2-23;
6-1
4 7/8
1998-7-7
4 1/4
2002-11-18; 12-23; 2003-2-24; 3-31;
4-29; 6-2; 7-21; 9-2; 10-14
11 3/4
1985-2-1; 5-1
5 1/4
1998-11-5
4 1/4
2006-6-16; 7-10; 9-1
11 1/2
1985-5-22
3 3/4
2006-11-17; 12-18; 2007-3-9; 4-13
5 1/2
1998-8-17; 11-16; 1999-2-15; 5-17
11
1985-10-1; 10-23; 1987-10-15
4 1/4
2003-12-1; 2004-1-26; 2-23; 4-13;
5-17; 7-26; 8-30; 10-12
10 3/4
1985-6-12; 7-1; 9-1; 1988-9-1
4 1/4
2007-5-25; 9-21
8. 600 1990-1-10
9 3/4
1986-3-15
5 1/2
1999-8-3; 11-1; 2000-2-1; 3-20
9 1/2
1986-4-10; 1987-7-1; 1989-7-1; 8-10;
10-1; 12-15; 1990-2-1
4
2004-11-22; 2005-1-24; 2-21; 4-26;
5-24; 7-18; 8-29; 10-11
8 3/4
1986-4-28
9
1986-7-3; 9-2; 10-23; 12-15;
1987-5-1; 1988-3-15
6
2000-5-1; 8-1; 10-30; 2001-1-29; 5-7;
7-30
8 1/2
1987-2-19; 3-15
3 3/4
2005-11-21; 2006-1-23; 2-20; 5-23;
6-27; 7-31; 8-21
3 3/4
2006-11-6; 12-11; 2007-2-19; 5-7;
8-20
5 1/4
2001-10-29; 2002-2-11; 4-22; 6-25;
8-6; 9-30; 10-15
5 1/4
2002-11-4; 12-16; 2003-2-10; 3-24;
5-12; 6-25; 8-11; 9-30
10 1/4
1989-3-15; 3-30; 1990-3-15; 7-1; 8-1;
1991-2-21
5
2003-10-20; 12-15; 2004-2-9; 3-22;
5-3; 6-22; 8-16; 9-28
4 1/2
2004-10-18; 12-20; 2005-2-7; 3-14;
5-9; 6-21; 8-15; 9-26
11 1/4
1990-5-1; 5-31; 10-1; 11-15
S 87
En millions de dollars canadiens, valeur nominale, sauf indication contraire
Date
of final
maturity
(year, month,
day)
Date de
l’échéance
finale
(année, mois,
jour)
Amount
outstanding
30 September
2007*
Encours
au 30
septembre
2007*
2016 6 1
10,300
12 15
2017 6 1
33 US
10,343
2018 6 30
2019 6 1
2021 3 15
6 1
12 1
16 US
3 US
720
436
5,175(b)
2022 6 1
2023 6 1
470
6,122
2025 6 1
5,457
2026 12 1
5,250(b)
2027 6 1
7,708
2029 6 1
13,348
2031 12 1
2033 6 1
2036 12 1
2037 6 1
2041 12 1
TOTAL
Special features of a number of issues are as follows:
(a) Assumed by the Government of Canada on 5 February 2001, on the dissolution of Petro Canada Limited.
(b) Real Return Bonds.
5,800(b)
13,410
5,850(b)
11,549
1,150(b)
Coupon
rate %
Taux
de
l’emprunt
Date
of issue
(year, month, day)
Date
d’émission
(année, mois, jour)
Date
of final
maturity
(year, month,
day)
Date de
l’échéance
finale
(année, mois,
jour)
Amount
outstanding
30 September
2007*
Encours
au 30
septembre
2007*
Coupon
rate %
Taux
de
l’emprunt
Date
of issue
(year, month, day)
Date
d’émission
(année, mois, jour)
4
2005-11-7; 12-12; 2006-2-6; 3-13;
4-24; 6-12; 8-8; 9-19
1986-12-15
2006-10-16; 11-27; 2007-1-29; 3-19;
4-23; 8-7; 9-17
9. 700 1988-7-17
8. 800 1989-6-6
10 1/2
1990-12-15; 1991-1-9; 2-1
9 3/4
1991-5-9; 6-1; 7-1; 8-1; 9-1; 10-17
4 1/4
1991-12-10; 1992-10-14; 1993-5-1;
12-1; 1994-2-22; 6-21; 9-15; 12-15;
1995-2-2; 5-8; 8-4
9 1/4
1991-12-15; 1992-1-3; 5-15
8
1992-8-17; 1993-2-1; 4-1; 7-26;
10-15; 1994-2-1; 5-2
9
1994-8-2; 11-1; 1995-2-1; 5-1; 8-1;
11-1; 1996-2-1
4 1/4
1995-12-7; 1996-3-6; 6-6; 9-6; 12-6;
1997-3-12; 6-9; 9-8; 12-8; 1998-3-9;
6-8; 9-8; 12-7
8
1996-5-1; 8-1; 11-1; 1997-2-3; 5-1;
8-1; 11-3
5 3/4
1998-2-2; 5-1; 11-2; 1999-5-3; 10-15;
2000-4-24; 10-16; 2001-4-23
4
1999-3-8; 6-8; 9-7; 12-6; 2000-3-6;
6-5; 9-5; 12-11; 2001-3-5; 6-11;
9-24;
12-10; 2002-3-18; 6-10; 9-16;
12-9;
2003-3-17
5 3/4
2001-10-15; 2002-1-21; 3-4; 5-6;
7-15; 11-25; 2003-1-20; 3-3; 4-14;
7-14; 8-25; 11-10; 2004-1-19; 3-1
3
2003-6-9; 9-15; 12-8; 2004-3-8; 6-7;
9-7; 12-6; 2005-3-7; 6-6; 9-6; 12-5;
2006-3-6; 6-5; 10-2; 12-4; 2007-3-5
5
2004-7-19; 9-14; 11-8; 2005-1-17;
4-11; 7-11; 10-18; 2006-1-16; 5-1;
7-24; 10-31; 2007-1-15; 6-11; 7-23
2
2007-6-4; 9-4
8 1/4
4
255,393
Les notes ci-dessous indiquent les particularités de certaines émissions :
(a) Pris en charge par le gouvernement du Canada le 5 février 2001, au moment de la dissolution de Petro Canada
Limitée.
(b) Obligations à rendement réel
* Currency of payments, when not in Canadian dollars, noted.
* Les monnaies de paiement autres que le dollar canadien sont indiquées.
Government of Canada direct securities and loans: Distribution of holdings
Titres et emprunts émis par le gouvernement canadien : Répartition des portefeuilles
G4
S 88
Millions of dollars, par value En millions de dollars, valeur nominale
End
of period
En fin
de période
Securities Titres
Government of Canada accounts1
Comptes du gouvernement
canadien1
Bank of Canada
Banque du Canada
Treasury
bills
Bons du
Trésor
Bonds
Obligations
Total
Total
V37370
V37371
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
19,408
18,298
17,593
14,233
10,729
12,254
9,448
12,838
13,544
13,635
14,076
16,680
18,820
2005 D
2006 J
F
M
A
M
J
J
A
S
O
N
D
2007 J
F
M
A
M
J
J
A
S
General public2
Public2
Total
securities
outstanding
Encours
total des
titres
Total loans
and drawings
under standby
facilities
Emprunts
plus tirages
sur lignes
de crédit
Total
securities,
and loans
outstanding
Encours
total
des titres
et des
emprunts
V37341
V37312
Treasury
bills
Bons du
Trésor
Bonds
Obligations
Short-term
instruments
Titres
à court
terme
Total
Total
Treasury
bills
Bons du
Trésor
U.S.-pay
Canada bills
Bons du
Canada en
dollars É.-U.
Marketable
bonds
and notes
Obligations
et billets
négociables
Canada Savings
Bonds and other
retail instruments
Obligations d’épargne
du Canada et autres
titres de placement
au détail
Total
Total
V37369
V37382
V37383
V37347
V37363
V37377
V37323
V37378
V37295
V37339
5,953
5,312
7,927
12,771
16,963
23,177
24,532
26,835
28,719
29,422
31,487
30,318
31,758
25,361
23,609
25,519
27,004
27,692
35,431
33,980
39,672
42,263
43,057
45,563
46,997
50,578
90
141
143
158
179
80
46
127
71
76
80
24
-
4,860
4,978
5,557
5,535
4,926
4,447
4,615
5,198
4,917
4,948
5,027
4,849
2,595
598
316
169
1,291
300
-
4,950
5,717
6,016
5,862
6,396
4,827
4,661
5,325
4,988
5,024
5,107
4,873
2,595
140,052
141,661
117,464
94,409
76,192
81,116
69,206
82,035
90,735
103,089
102,894
110,396
105,880
5,649
4,130
6,928
7,982
10,153
4,753
5,662
4,729
2,700
2,141
1,712
2,532
1,607
226,790
253,946
282,192
298,553
308,675
304,423
300,436
283,834
275,571
259,800
239,577
232,740
228,897
32,583
31,418
33,409
31,246
29,126
27,776
25,980
24,437
22,897
21,846
19,640
17,848
15,597
405,074
431,155
439,993
432,191
424,146
418,068
401,284
395,035
391,903
386,876
363,824
363,517
351,981
435,385
460,481
471,528
465,057
458,233
458,326
439,925
440,033
439,155
434,956
414,493
415,387
405,155
-
435,385
460,480
471,528
465,057
458,233
458,326
439,925
440,033
439,155
434,956
414,493
415,387
405,155
16,680
30,318
46,997
24
4,849
-
4,873
110,396
2,532
232,740
17,848
363,517
415,387
-
415,387
14,640
14,366
14,340
15,104
16,176
16,920
16,779
17,275
17,575
17,880
18,345
18,820
29,948
30,433
30,370
30,600
30,915
31,110
30,685
31,830
30,915
32,003
31,538
31,758
44,587
44,799
44,710
45,704
47,091
48,030
47,464
49,105
48,490
49,883
49,883
50,578
75
67
32
83
39
71
-
4,716
4,716
4,603
4,456
4,666
3,645
3,878
3,172
2,789
3,075
2,674
2,595
-
4,791
4,783
4,603
4,488
4,749
3,684
3,949
3,172
2,789
3,075
2,674
2,595
107,285
105,467
117,260
105,964
107,641
105,041
103,650
100,525
103,425
101,820
109,555
105,880
2,072
1,723
4,734
2,797
1,889
1,882
1,820
1,994
1,969
1,879
1,959
1,607
233,416
235,095
235,582
235,514
235,866
232,722
233,731
234,404
232,782
233,237
237,526
228,897
17,757
17,584
17,482
17,387
17,307
17,226
17,144
17,080
17,036
16,997
15,669
15,597
360,530
359,869
375,058
361,662
362,704
356,870
356,344
354,004
355,212
353,933
364,708
351,981
409,908
409,450
424,371
411,854
414,544
408,584
407,758
406,281
406,491
406,892
417,266
405,155
-
409,908
409,450
424,371
411,854
414,544
408,584
407,758
406,281
406,491
406,892
417,266
405,155
17,250
17,000
17,325
17,700
19,375
21,290
20,350
21,700
20,600
30,333
30,333
30,317
30,577
31,707
30,092
29,652
30,212
30,189
47,583
47,333
47,642
48,277
51,082
51,382
50,002
51,912
50,789
-
2,595
2,441
2,254
2,117
1,986
1,687
1,532
1,513R
1,462
-
2,595
2,441
2,254
2,117
1,986
1,687
1,532
1,513R
1,462
101,750
107,000
116,775
99,300
94,125
97,910
94,650
94,600
90,300
2,090
1,774
1,847
1,561
1,670
1,890
1,994
2,306
2,012
232,401
231,283
231,501
232,373
234,031
227,565
228,712
231,837R
226,922
15,529
15,394R
15,300R
15,212R
15,157R
15,047R
14,975R
14,922R
14,891
351,771
355,452R
365,423R
348,446R
344,982R
342,412R
340,331R
343,665R
334,125
401,949
405,226R
415,319R
398,840R
398,050R
395,481R
391,865R
397,090R
386,376
-
401,949
405,226R
415,319R
398,840R
398,050R
395,481R
391,865R
397,090R
386,376
2007 A
1
8
15
22
29
20,440
20,350
20,500
20,500
21,200
29,917
29,912
29,962
30,212
30,212
50,357
50,262
50,462
50,712
51,412
-
1,532
1,531
1,531
1,531
1,531
-
1,532
1,531
1,531
1,531
1,531
94,560
90,750
89,800
89,800
93,600
228,370
230,554
230,580
231,851
231,869
14,972R
14,954R
14,937R
14,913R
14,899R
S
5
12
19
26
21,700
21,125
21,125
20,600
28,742
28,742
28,742
29,102
50,442
49,867
49,867
49,702
-
1,462R
1,462
1,462
1,462
-
1,462R
1,462
1,462
1,462
94,600
91,175
91,175
90,300
226,696R
226,395
226,322
228,033
14,914R
14,899
14,889
14,881
O
3
20,600
29,586
50,186
-
1,457
-
1,457
90,300
226,704
14,872
(1) Includes Government of Canada Accounts held at the Bank of Canada, plus non-market bonds held by the
Canada Pension Plan.
(2) For details of “General Public” holdings, see Table G5.
V37340
(1) Comprend les comptes du gouvernement canadien à la Banque du Canada et les titres non négociables
détenus par le Régime de pensions du Canada.
(2) Pour en savoir plus sur la catégorie « Public », voir Tableau G5.
G5
Government of Canada direct securities and loans: Distribution by type of holder
Titres et emprunts émis par le gouvernement canadien : Répartition des portefeuilles par type de détenteur
End
of period
En fin
de période
Bank of
Canada
Banque
du Canada
S 90
Millions of dollars, par value En millions de dollars, valeur nominale
Government
of Canada
accounts1
Comptes du
gouvernement
canadien1
General public
Public
Financial institutions Institutions financières
Chartered banks
Banques à charte
Total
Total
Of which:
Drawings
on
standby
facilities
Dont :
Tirages sur
lignes
de crédit
Trust
and
mortgage
loan
companies
Sociétés de
fiducie ou
de prêt
hypothécaire
Investment
dealers
Courtiers
en valeurs
mobilières
Investment
funds
Sociétés de
placement
Local and
central
credit
unions and
caisses
populaires
Caisses
populaires
et credit
unions
locales et
centrales
Life
insurance
companies
Compagnies
d’assurancevie
Other
insurance
companies
Autres
compagnies
d’assurance
Nondepository
credit
intermediaries
Intermédiaires
financiers
autres que les
institutions
de dépôt
V37369M
V37363M
V37324M
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
23,609
25,519
27,004
27,692
35,431
33,980
39,672
42,263
43,057
45,563
46,997
50,578
5,717
6,016
5,862
6,396
4,827
4,661
5,325
4,988
5,024
5,107
4,873
2,595
79,834
74,593
67,034
62,041
60,058
62,946
77,523
73,008
75,270
66,052
64,352
71,554
-
6,098
6,394
4,450
4,567
5,581
427
473
820
995
876
1,114
1,683
5,002
5,186
5,407
4,322
4,380
5,442
5,731
6,249
6,422
14,494
10,246
14,302
30,939
44,758
53,545
60,801
48,049
39,221
41,960
38,647
38,906
44,936
49,019
53,860
4,780
4,505
2,539
2,016
2,304
2,414
2,789
2,463
2,641
3,974
4,394
4,393
29,430
28,557
30,053
31,330
32,176
29,204
29,769
32,241
33,711
31,817
30,382
28,205
13,189
14,904
14,628
14,131
14,204
13,373
13,156
15,203
17,997
19,343
22,897
25,071
368
469
314
352
26
16
59
103
132
520
739
722
1999 IV
35,431
4,827
60,058
-
5,581
4,380
48,049
2,304
32,176
14,204
26
2000 I
II
III
IV
32,221
32,381
33,006
33,980
4,682
5,014
4,644
4,661
64,783
64,399
64,785
62,946
-
580
567
386
427
3,922
4,358
4,056
5,442
47,598
45,309
41,694
39,221
2,263
2,314
2,833
2,414
31,503
30,560
28,956
29,204
14,001
13,687
13,802
13,373
22
18
22
16
2001 I
II
III
IV
35,926
36,392
38,083
39,672
5,420
5,250
6,163
5,325
74,914
80,718
76,339
77,523
-
524
484
436
473
5,424
5,607
5,736
5,731
40,618
41,864
41,144
41,960
3,036
2,945
2,836
2,789
27,808
26,966
28,242
29,769
12,945
12,521
13,080
13,156
16
57
56
59
2002 I
II
III
IV
38,153
40,209
40,631
42,263
6,268
6,647
6,944
4,988
79,135
82,538
73,856
73,008
-
522
985
854
820
5,972
5,959
6,135
6,249
42,575
41,752
39,355
38,647
3,240
3,113
2,509
2,463
30,404
32,294
32,049
32,241
12,640
13,040
13,476
15,203
98
101
107
103
2003 I
II
III
IV
39,565
41,128
40,921
43,057
5,800
6,301
6,586
5,024
68,033
69,645
74,244
75,270
-
916
857
1,076
995
6,515
6,471
6,515
6,422
37,384
37,346
39,103
38,906
2,365
2,746
2,595
2,641
33,885
33,727
33,048
33,711
15,430
15,798
17,135
17,997
170
166
159
132
2004 I
II
III
IV
41,309
43,827
42,735
45,563
4,960
8,749
5,145
5,107
72,262
62,720
58,222
66,052
-
1,000
914
1,168
876
9,863
10,465
13,794
14,494
42,464
43,219
43,562
44,936
2,046
2,428
2,475
3,974
33,194
32,964
33,610
31,817
18,041
17,916
18,405
19,343
254
359
463
520
2005 I
II
III
IV
43,119
45,558
44,616
46,997
4,891
4,993
4,846
4,873
66,152
70,893
64,635
64,352
-
760
738
843
1,114
13,991
12,524
10,155
10,246
48,108
49,200
48,309
49,019
3,070
3,621
3,268
4,394
31,401
31,421
31,357
30,382
20,191
21,271
22,527
22,897
719
763
816
739
2006 I
II
III
IV
44,710
48,030
48,490
50,578
4,603
3,684
2,789
2,595
73,771
70,593
67,463
71,554
-
1,547
1,616
1,658
1,683
11,494
12,056
13,408
14,302
51,295
50,922
50,590
53,860
4,177
4,101
4,575
4,393
28,712
27,778
28,154
28,205
22,839
23,448
24,482
25,071
656
686
706
722
2007 I
II
III
47,642
51,382
50,789
2,254
1,687
1,462
77,136
66,612R
-
(1) Includes Government of Canada Accounts held at the Bank of Canada, plus non-market bonds held by the
Canada Pension Plan.
Trusteed
pension
funds
Caisses de
retraite
en fiducie
Total
Total
63,453
242,819
74,592
254,152
75,165
228,208
67,976
236,710
70,515
252,527
(1) Comprend les comptes du gouvernement canadien à la Banque du Canada et les titres non négociables
détenus par le Régime de pensions du Canada.
S 91
Nonfinancial
corporations
Sociétés
non
financières
11,857
9,858
10,311
4,371
9,172
10,845
8,665
8,285
7,841
8,070
8,161
7,814
Provincial
governments
Provinces
26,808
24,943
25,082
20,691
22,186
25,276
26,594
25,019
31,238
31,892
33,454
32,874
Municipal
governments
Municipalités
2,715
2,844
3,045
2,923
3,017
2,538
4,005
3,983
3,398
2,436
3,100
3,359
All other
holdings of
market issues
by Canadian
residents
(residual)
Autres
résidents
canadiens :
Titres négociables (données
obtenues par
soustraction)
1,730
2,582
17,531
13,464
-6,010
Total
general
public
Total
détenu
par le
public
Total
securities
and loans
outstanding
Encours
total
des titres
et des
emprunts
End
of period
En fin
de période
Canada
Savings
Bonds
and other
retail
instruments
Obligations
d’épargne
du Canada
et autres
titres de
placement
au détail
Total
residents
of Canada
Ensemble
des résidents
canadiens
Non-residents
Non-résidents
Securities
Titres
Drawings
under
standby
facilities and
U.S.-pay
Canada bills
Tirages sur
lignes de
crédit et bons
du Canada en
dollars É.-U.
Term
loans
Emprunts
à terme
Total
Total
V37295M
V37336-V37325
V37302
V37323M
V37322M
V37325
V37336
V37312M
31,418
33,409
31,246
29,126
27,776
25,980
24,437
22,897
21,846
19,640
17,848
15,597
309,095
315,603
314,679
313,732
316,390
310,276
317,220
310,262
323,812
307,453
311,921
298,281
117,930
117,462
109,530
100,261
96,925
85,346
73,086
78,941
60,923
54,659
49,064
52,093
4,130
6,928
7,982
10,153
4,753
5,662
4,729
2,700
2,141
1,712
2,532
1,607
-
122,060
124,390
117,512
110,414
101,678
91,008
77,815
81,641
63,064
56,371
51,596
53,700
431,155
439,993
432,191
424,146
418,068
401,284
395,035
391,903
386,876
363,824
363,517
351,981
460,480
471,528
465,057
458,233
458,326
439,925
440,033
439,155
434,956
414,493
415,387
405,155
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
27,776
316,390
96,925
4,753
-
101,678
418,068
458,326
1999 IV
27,098
26,552
26,076
25,980
320,422
315,792
310,297
310,276
92,952
91,716
85,420
85,346
6,008
5,936
4,681
5,662
-
98,960
97,652
90,101
91,008
419,382
413,444
400,398
401,284
456,286
450,839
438,048
439,925
2000 I
II
III
IV
26,457
26,276
26,078
24,437
312,428
306,518
309,258
317,220
85,382
80,775
73,827
73,086
7,228
6,692
5,212
4,729
-
92,610
87,467
79,039
77,815
405,038
393,985
388,297
395,035
446,383
435,627
432,543
440,033
2001 I
II
III
IV
24,229
23,912
23,661
22,897
323,187
323,603
317,725
310,262
71,701
70,746
72,215
78,941
3,355
3,041
2,947
2,700
-
75,056
73,787
75,162
81,641
398,243
397,390
392,887
391,903
442,664
444,246
440,463
439,155
2002 I
II
III
IV
22,878
22,631
22,367
21,846
307,954
306,086
323,747
323,812
82,731
81,334
64,342
60,923
2,603
2,497
2,599
2,141
-
85,334
83,831
66,941
63,064
393,288
389,917
390,688
386,876
438,653
437,346
438,196
434,956
2003 I
II
III
IV
21,528
21,418
21,234
19,640
328,933
316,393
316,486
307,453
56,861
59,749
57,237
54,659
3,364
2,591
2,121
1,712
-
60,225
62,340
59,358
56,371
389,158
378,733
375,844
363,824
435,427
431,310
423,724
414,493
2004 I
II
III
IV
19,242
19,018
18,803
17,848
324,507
317,825
316,443
311,921
53,414
50,150
48,872
49,064
3,862
2,456
2,032
2,532
-
57,276
52,606
50,904
51,596
381,783
370,431
367,347
363,517
429,793
420,982
416,809
415,387
2005 I
II
III
IV
17,482
17,226
17,036
15,597
315,361
301,280
303,519
298,281
54,963
53,708
49,724
52,093
4,734
1,882
1,969
1,607
-
59,697
55,590
51,693
53,700
375,058
356,870
355,212
351,981
424,371
408,584
406,491
405,155
2006 I
II
III
IV
15,300R
15,047R
14,891
310,475R
295,130R
53,101R
45,392R
1,847
1,890
2,012
-
54,948R
47,282R
365,423R
342,412R
334,125
415,319R
395,481R
386,376
2007 I
II
III
G6
Government of Canada direct securities and loans: Classified by remaining term to maturity and type of asset
Titres et emprunts émis par le gouvernement canadien : Répartition par terme à courir et catégorie d’avoirs
S 92
Millions of dollars, par value En millions de dollars, valeur nominale
End
of period
En fin
de période
Unmatured direct securities (excluding non-marketable securities)
Titres non échus émis par le gouvernement (non compris les titres non négociables)
Treasury
bills
Bons du
Trésor
U.S.-pay
Canada bills
Bons du
Canada en
dollars É.-U.
V37331
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Bonds and notes Obligations et billets
5-10
years
De
5 à 10
ans
Total
Total
Of which:
Marketable
bonds and
notes payable
in foreign
currencies
Dont :
Obligations
et billets
négociables
libellées en
monnaies
étrangères
Average term
to maturity
(years, months)
Échéance
moyenne
(années, mois)
10 years
and over
10 ans
ou plus
Total loans
and drawings
under standby
facilities
Emprunts,
plus tirages
sur lignes
de crédit
Non-marketable securities
Titres non négociables
Short-term
instruments
Titres
à court
terme
Matured and
outstanding
market issues
Titres
négociables
échus
mais non
encaissés
Total securities and
loans outstanding
Encours total
des titres et des
emprunts
Canada
Savings
Bonds
and other
retail
instruments
Obligations
d’épargne
du Canada
et autres
titres de
placement
au détail
Other
bonds
Autres
obligations
V37341
V37295
V37298
V37301
V37294
V37312
3 years
and
under
3 ans
ou moins
3-5
years
De
3à5
ans
V37323
V37332
V37333 V37334
V37335
V37342
V37319
V37346
159,550
160,100
135,200
108,800
87,100
93,450
78,700
95,000
104,350
116,800
117,050
127,100
124,700
5,649
4,130
6,928
7,982
10,153
4,753
5,662
4,729
2,700
2,141
1,712
2,532
1,607
70,169
83,495
94,416
112,575
124,099
117,807
119,852
116,712
111,333
97,510
82,333
85,782
86,476
42,953
45,227
61,442
56,987
53,027
65,342
57,420
45,885
41,355
49,209
48,926
39,040
39,074
71,141
79,237
73,460
75,214
79,163
73,214
73,281
77,230
78,111
66,868
63,767
60,785
53,965
49,814
52,765
62,867
68,606
70,804
72,220
75,610
72,619
74,998
77,068
77,601
79,045
81,725
399,276
424,954
434,312
430,164
424,346
426,786
410,525
412,174
412,846
409,597
391,389
394,285
387,547
7,889
10,912
14,426
14,473
27,679
26,733
25,142
25,214
23,359
17,445
12,922
9,973
8,822
4:10
4:11
5:6
5:9
6:3
6:2
6:6
6:5
6:5
6:6
6:9
6:7
6:8
-
32,583
31,418
33,409
31,246
29,126
27,776
25,980
24,437
22,897
21,846
19,640
17,848
15,597
3,491
3,481
3,470
3,458
3,446
3,428
3,406
3,390
3,370
3,462
3,400
3,188
1,942
598
316
169
1,291
300
-
35
31
22
19
24
36
15
32
41
52
64
66
69
435,385
460,480
471,528
465,057
458,233
458,326
439,925
440,033
439,155
434,956
414,493
415,387
405,155
2005 D
127,100
2,532
85,782
39,040
60,785
79,045
394,285
9,973
6:7
-
17,848
3,188
-
66
415,387
2006 J
F
M
A
M
J
J
A
S
O
N
D
122,000
119,900
131,600
121,100
123,900
122,000
120,500
117,800
121,000
119,700
127,900
124,700
2,072
1,723
4,734
2,797
1,889
1,882
1,820
1,994
1,969
1,879
1,959
1,607
85,097
84,486
85,182
84,984
84,070
88,038
87,470
85,845
93,265
92,711
95,181
86,476
38,994
38,745
38,503
37,080
37,078
41,635
41,624
41,007
40,212
39,980
39,575
39,074
60,888
62,026
61,357
60,790
62,890
57,552
58,052
61,741
52,309
52,130
53,626
53,965
79,865
81,752
82,345
84,610
84,589
77,772
78,893
78,663
78,663
81,443
81,313
81,725
388,916
388,631
403,721
391,360
394,415
388,879
388,358
387,050
387,419
387,843
399,553
387,547
9,886
9,785
9,584
9,374
9,307
9,399
9,527
8,222
8,265
8,347
8,670
8,822
6:9
6:9
6:6
6:8
6:7
6:8
6:8
6:8
6:8
6:8
6:6
6:8
-
17,757
17,584
17,482
17,387
17,307
17,226
17,144
17,080
17,036
16,997
15,669
15,597
3,169
3,169
3,102
3,042
2,757
2,415
2,192
2,087
1,973
1,972
1,969
1,942
-
65
65
65
65
64
64
64
64
63
81
75
69
409,908
409,450
424,371
411,854
414,544
408,584
407,758
406,281
406,491
406,892
417,266
405,155
2007 J
F
M
A
M
J
J
A
S
119,000
124,000
134,100
117,000
113,500
119,200
115,000
116,300
110,900
2,090
1,774
1,847
1,561
1,670
1,890
1,994
2,306
2,012
85,640
84,429
84,386
83,036
84,323
82,986
82,494
82,324
85,926
38,890
38,608
38,451
38,450
37,825
45,401
45,401
47,030
37,924
53,705
53,940
53,806
53,744
55,743
48,393
48,393
50,867
51,001
85,085
85,085
85,620
88,166
88,165
81,149
82,300
82,033
82,466
384,410
387,836
398,210
381,956
381,226
379,020
375,581
380,861
370,229
8,839
8,874
8,813
8,578
8,192
8,198
8,270
8,149
7,900
6:10
6:8
6:6
6:9
6:9
6:10
6:11
6:10
7:0
-
15,529
15,394R
15,300R
15,212R
15,157R
15,047R
14,975R
14,922R
14,891
1,942
1,929
1,742
1,605
1,602
1,349
1,244
1,243
1,192
-
68
67
68
66
65
65
65
64
64
401,949
405,226R
415,319R
398,840R
398,050R
395,481R
391,865R
397,090R
386,376
2007 A 1
8
15
22
29
115,000
111,100
110,300
110,300
114,800
14,972R
14,954R
14,937R
14,913R
14,899R
1,244
1,243
1,243
1,243
1,243
-
65
64
64
64
64
S 5
12
19
26
116,300
112,300
112,300
110,900
14,914R
14,899
14,889
14,881
1,192
1,192
1,192
1,192
-
64
64
64
64
O 3
110,900
14,872
1,187
-
70
G7
Government of Canada direct securities and loans: Holdings of general public classified by remaining term to maturity
Titres et emprunts émis par le gouvernement canadien : Répartition, par terme à courir, des portefeuilles du public
S 93
Millions of dollars, par value En millions de dollars, valeur nominale
End
of period
En fin
de période
Unmatured direct securities
(excluding Canada Savings Bonds, other retail instruments, and perpetuals)
Titres non échus émis par le gouvernement
(non compris les obligations d’épargne du Canada, les autres titres de placement au détail et les rentes perpétuelles)
Treasury bills
Bons du
Trésor
U.S.-pay
Canada bills
Bons du
Canada en
dollars É.-U.
Bonds and notes Obligations et billets
3 years
and under
3 ans
ou moins
3-5
years
De 3 à
5 ans
5-10
years
De 5 à
10 ans
10 years
and over
10 ans
ou plus
V37355
V37323
V37356
V37357
V37358
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
124,486
134,140
144,545
148,707
140,052
141,661
117,464
94,409
76,192
81,116
69,206
82,035
90,735
103,089
102,894
110,396
105,880
1,122
44
946
6,579
5,649
4,130
6,928
7,982
10,153
4,753
5,662
4,729
2,700
2,141
1,712
2,532
1,607
38,206
44,295
51,382
62,087
68,238
81,756
91,213
107,675
117,216
108,652
110,509
106,910
100,608
87,944
72,428
74,504
75,289
25,281
25,185
24,626
31,559
41,818
43,931
58,897
53,395
49,290
61,129
53,421
41,563
36,487
42,967
41,543
32,898
32,130
2004 S
O
N
D
100,298
101,244
105,810
102,894
2,121
1,843
1,842
1,712
85,171
84,732
80,662
72,428
2005 J
F
M
A
M
J
J
A
S
O
N
D
101,486
102,909
114,293
108,690
108,495
107,350
108,763
109,788
107,740
109,248
109,630
110,396
1,849
2,224
3,862
2,707
2,481
2,456
2,155
2,017
2,032
2,389
2,144
2,532
2006 J
F
M
A
M
J
J
A
S
O
N
D
107,285
105,467
117,260
105,964
107,641
105,041
103,650
100,525
103,425
101,820
109,555
105,880
2007 J
F
M
A
M
J
J
A
S
101,750
107,000
116,775
99,300
94,125
97,910
94,650
94,600
90,300
Total loans
and drawings
under standby
facilities
Emprunts et
tirages sur
lignes de crédit
Canada
Savings
Bonds
and other
retail
instruments
Obligations
d’épargne
du Canada
et autres
titres de
placement
au détail
Matured and
outstanding
market issues
Titres
négociables
échus mais
non encaissés
Total securities and
loans outstanding
Encours total
des titres et
emprunts
V37341
V37295
V37294
V37336
Total
Total
Average term
to maturity
(years, months)
Échéance
moyenne
(années, mois)
V37359
V37354
V37361
28,990
36,541
43,628
54,331
68,332
76,975
71,838
72,740
75,385
67,854
66,057
67,633
68,558
57,431
54,425
52,434
47,329
39,073
43,500
45,263
44,035
48,366
51,253
60,222
64,723
66,760
66,752
70,434
67,697
69,877
71,406
71,117
72,838
74,080
257,157
283,704
310,390
347,298
372,456
399,706
406,562
400,926
394,996
390,256
375,289
370,566
368,965
364,978
344,119
345,603
336,315
4:1
4:6
4:5
4:8
5:0
5:2
5:8
5:11
6:4
6:4
6:7
6:7
6:6
6:7
6:10
6:10
6:10
-
34,406
35,833
34,973
31,814
32,583
31,418
33,409
31,246
29,126
27,776
25,980
24,437
22,897
21,846
19,640
17,848
15,597
45
47
39
29
35
31
22
19
24
36
15
32
41
52
64
66
69
291,608
319,583
345,402
379,142
405,074
431,155
439,993
432,191
424,146
418,068
401,284
395,035
391,903
386,876
363,824
363,517
351,981
43,698
43,088
42,766
41,543
53,922
53,393
54,809
54,425
69,335
70,947
70,934
71,117
354,545
355,248
356,824
344,119
6:9
6:9
6:8
6:10
-
21,234
21,173
20,334
19,640
64
65
64
64
375,844
376,486
377,222
363,824
72,213
71,181
72,706
71,722
71,223
74,082
75,225
74,134
80,653
79,418
81,714
74,504
42,688
42,413
41,445
41,538
40,878
42,573
39,203
38,767
36,172
35,958
32,917
32,898
54,515
55,504
55,003
55,136
56,153
55,042
55,331
58,590
51,046
50,949
52,434
52,434
72,253
74,388
75,165
75,145
76,769
69,847
70,916
70,679
70,838
70,783
72,320
72,838
345,003
348,618
362,473
354,938
356,000
351,350
351,593
353,976
348,481
348,744
351,158
345,603
6:11
6:11
6:8
6:8
6:8
6:9
6:9
6:9
6:10
6:9
6:9
6:10
-
19,546
19,368
19,242
19,182
19,104
19,018
18,926
18,842
18,803
18,734
17,911
17,848
63
63
67
65
63
63
62
62
63
62
61
66
364,612
368,049
381,783
374,185
375,167
370,431
370,581
372,880
367,347
367,540
369,131
363,517
2,072
1,723
4,734
2,797
1,889
1,882
1,820
1,994
1,969
1,879
1,959
1,607
74,283
73,672
74,364
74,216
73,302
76,042
75,635
74,010
81,390
80,885
83,189
75,289
32,852
32,603
32,266
30,843
30,841
34,472
34,043
33,989
33,364
33,169
32,764
32,130
52,561
53,414
52,953
52,422
53,627
50,503
51,143
53,775
46,094
45,714
47,070
47,329
73,654
75,341
75,933
77,968
78,032
71,640
72,846
72,566
71,871
73,388
74,428
74,080
342,708
342,220
357,511
344,210
345,332
339,580
339,137
336,860
338,112
336,856
348,965
336,315
6:11
6:11
6:8
6:10
6:9
6:10
6:11
6:11
6:10
6:10
6:8
6:10
-
17,757
17,584
17,482
17,387
17,307
17,226
17,144
17,080
17,036
16,997
15,669
15,597
65
65
65
65
64
64
64
64
63
81
75
69
360,530
359,869
375,058
361,662
362,704
356,870
356,344
354,004
355,212
353,933
364,708
351,981
2,090
1,774
1,847
1,561
1,670
1,890
1,994
2,306
2,012
74,503
73,392
73,341
71,990
73,005
71,642
71,170
71,000
74,497
32,131
31,849
31,717
31,716
31,012
38,343
38,343
39,672
31,761
47,249
47,504
47,370
47,308
49,007
43,022
43,022
45,236
45,243
78,450
78,471
79,006
81,292
80,941
74,492
76,112
75,864R
75,357
336,174
339,990
350,056
333,167
329,760
327,299
325,291
328,679R
319,170
7:0
6:11
6:8
7:0
7:1
7:1
7:3
7:2
7:4
-
15,529
15,394R
15,300R
15,212R
15,157R
15,047R
14,975R
14,922R
14,891
68
67
68
66
65
65
65
64
64
351,771
355,452R
365,423R
348,446R
344,982R
342,412R
340,331R
343,665R
334,125
H1
National accounts
Comptes nationaux
Year
and
quarter
Année
ou
trimestre
Gross domestic product — expenditure based
S 94
Millions of dollars, seasonally adjusted at annual rates
Domestic demand (excluding inventories)
Semidurables and
non-durables
Biens semidurables et
non durables
V498088
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Demande intérieure (stocks non compris)
Personal expenditures
Dépenses des ménages
Durables
Biens
durables
En millions de dollars, données désaisonnalisées, chiffres annuels
Produit intérieur brut — Du point de vue des dépenses
Services
Services
Total
Total
V498091
V498522
Government
expenditures
Dépenses
publiques
Construction
Construction
Value of physical change in inventories
Valeur de la variation matérielle des stocks
Transactions with non-residents
Échanges avec les non-résidents
Business
Entreprises
Exports
of goods
and
services
Exportations
de biens et
services
Imports
of goods
and
services
Importations
de biens et
services
V498103
V498106
Machinery
and
equipment
Machines
et
matériel
Total
Total
Non-farm
Non
agricoles
Farm
Agricoles
V498110 V498101
V498102
Residential
Résidentielle
Nonresidential
Non
résidentielle
V498096
V498098
V498099
Total
(including
government)
Total
(secteur
public
compris)
Net
balance
Solde
Statistical
discrepancy
Écart
statistique
V498109
41,014
44,733
49,434
52,042
50,837
48,417
48,808
50,170
54,116
56,169
59,197
67,988
71,325
77,693
81,958
84,930
92,085
93,793
95,479
100,014
105,716
111,576
117,931
125,127
133,024
139,766
144,424
146,436
151,126
153,391
157,328
161,463
168,082
173,515
182,507
195,379
204,870
215,451
226,629
237,547
250,891
262,390
136,001
149,661
163,957
180,454
194,810
205,473
215,923
226,923
238,350
247,409
259,767
274,625
286,329
300,684
318,672
330,814
348,186
366,130
387,375
409,796
435,396
288,591
312,325
338,518
365,520
385,413
398,314
411,167
428,219
445,857
460,906
480,427
510,695
531,169
560,884
596,009
620,614
655,722
686,552
720,401
760,701
803,502
126,059
133,163
144,348
157,025
171,639
182,495
188,746
190,968
193,224
193,865
191,748
191,860
199,363
209,093
224,608
238,993
253,017
268,523
280,950
298,946
320,142
30,761
38,883
42,447
46,848
41,776
36,821
39,903
39,666
42,422
36,136
39,538
43,519
42,497
45,100
48,572
55,133
65,651
72,714
82,918
89,791
98,386
26,549
28,868
33,617
36,174
37,380
35,395
29,654
30,192
34,002
34,669
36,360
43,872
45,177
47,229
49,826
52,966
50,659
54,545
62,081
72,674
85,698
33,547
37,854
44,158
47,472
45,478
41,932
41,715
41,411
46,897
50,787
53,453
67,346
74,116
79,102
83,350
81,879
80,275
80,831
84,435
90,609
93,801
505,507
551,093
603,088
653,039
681,686
694,957
711,185
730,456
762,402
776,363
801,526
857,292
892,322
941,408
1,002,365
1,049,585
1,105,324
1,163,165
1,230,785
1,312,721
1,401,529
1,950
3,087
3,998
3,533
-3,352
-5,898
-5,810
-2,153
775
8,705
1,577
9,174
5,409
4,951
11,355
-3,745
-1,094
2,982
4,098
9,038
8,369
713
-486
-577
560
610
265
-712
859
-247
294
694
-1,000
-676
39
150
-995
-1,580
1,323
1,491
604
-545
2,628
2,563
3,485
4,090
-2,675
-5,670
-6,562
-1,298
527
9,029
2,269
8,179
4,706
4,987
11,529
-4,727
-2,719
4,320
5,610
9,669
7,783
142,758
149,913
163,842
168,936
175,513
172,161
189,784
219,664
262,127
302,480
321,248
348,604
379,203
424,258
490,688
482,463
479,185
462,473
495,347
520,379
524,706
137,782
143,316
159,117
168,723
174,624
176,093
192,393
219,673
253,014
276,618
287,553
331,271
360,871
388,303
428,754
418,836
428,301
416,856
440,732
468,197
487,660
4,976
6,597
4,725
213
889
-3,932
-2,609
-9
9,113
25,862
33,695
17,333
18,332
35,955
61,934
63,627
50,884
45,617
54,615
52,182
37,046
-570
-1,304
1,796
386
21
12
-1,534
-1,965
-1,169
-828
-626
-71
-387
91
749
-437
-584
73
-182
508
-51
2001 I
II
III
IV
82,996
84,284
83,868
88,572
201,592
207,416
205,724
204,748
328,208
328,612
332,360
334,076
612,796
620,312
621,952
627,396
232,520
237,028
241,160
245,264
52,268
54,104
55,628
58,532
52,292
53,420
53,444
52,708
84,180
84,444
82,908
75,984
1,034,056 -1,644
1,049,308
1,536
1,055,092 -3,780
1,059,884 -11,092
-436
-1,244
-996
-1,304
-2,072
264
-4,700
-12,400
511,276
495,004
467,220
456,352
427,680
427,580
414,592
405,492
83,596
67,424
52,628
50,860
-368
-420
-820
-140
2002 I
II
III
IV
90,860
91,908
91,624
93,948
209,216
213,744
217,436
221,408
339,028
347,056
351,240
355,420
639,104
652,708
660,300
670,776
247,052
249,976
255,356
259,684
63,232
64,404
66,140
68,828
51,068
50,464
50,592
50,512
77,608
79,780
81,880
81,832
1,078,064 -15,772
1,097,332
3,732
1,114,268
1,384
1,131,632
6,280
-1,160
-1,292
-2,044
-1,824
-16,916
2,372
-768
4,436
468,708
473,580
486,320
488,132
410,232
426,228
437,428
439,316
58,476
47,352
48,892
48,816
-420
-380
-464
-1,072
2003 I
II
III
IV
93,428
94,016
95,908
91,820
226,640
225,220
227,476
227,180
358,364
363,236
368,940
373,980
678,432
682,472
692,324
692,980
262,752
265,816
273,044
272,480
69,648
70,040
74,088
77,080
52,448
53,384
55,204
57,144
80,484
78,980
81,172
82,688
1,143,764
1,150,692
1,175,832
1,182,372
9,736
9,464
-7,020
-252
596
1,036
1,764
1,896
10,320
10,488
-5,240
1,712
489,164
448,304
453,428
458,996
434,908
412,852
406,432
413,232
54,256
35,452
46,996
45,764
244
776
-452
-276
2004 I
II
III
IV
94,200
94,844
95,660
97,212
232,588
236,104
239,160
242,336
380,728
385,732
389,464
393,576
707,516
716,680
724,284
733,124
277,128
279,712
281,796
285,164
79,252
81,844
84,172
86,404
58,684
61,096
63,452
65,092
83,452
85,236
84,700
84,352
1,206,032
1,224,568
1,238,404
1,254,136
-5,852
-5,272
9,616
17,900
1,132
1,492
1,608
1,732
-4,832
-3,560
11,412
19,420
470,248
512,300
508,504
490,336
418,388
445,980
453,100
445,460
51,860
66,320
55,404
44,876
-20
-1,280
-452
1,024
2005 I
II
III
IV
99,004
99,744
100,632
100,676
246,000
249,400
253,440
254,724
400,628
407,572
412,232
418,752
745,632
756,716
766,304
774,152
290,936
297,820
302,204
304,824
86,496
88,980
90,888
92,800
68,272
70,936
74,104
77,384
87,856
89,864
91,660
93,056
1,279,192
1,304,316
1,325,160
1,342,216
13,704
7,560
8,212
6,676
1,104
836
172
304
14,792
8,472
8,364
7,048
497,320
508,312
527,244
548,640
457,744
465,332
470,448
479,264
39,576
42,980
56,796
69,376
864
620
524
24
2006 I
II
III
IV
103,712
104,784
106,808
107,560
258,540
263,204
265,136
262,680
425,740
431,232
437,832
446,780
787,992
799,220
809,776
817,020
317,140
317,848
320,732
324,848
96,932
98,160
98,552
99,900
80,824
83,980
87,368
90,620
93,260
92,520
94,092
95,332
1,376,148
1,391,728
1,410,520
1,427,720
6,584
16,416
11,992
-1,516
-528
-976
-352
-324
6,156
15,344
11,524
-1,892
522,568
518,504
526,512
531,240
473,720
483,136
495,696
498,088
48,848
35,368
30,816
33,152
212
-220
-464
268
2007 I
II
109,380
113,388
268,488
273,752
452,500
458,244
830,368
845,384
331,304
337,584
103,672
106,984
92,820
94,756
94,992
94,464
1,453,156
1,479,172
852
2,020
-760
-344
108
1,604
547,676
546,320
504,504
495,988
43,172
50,332
-240
-568
S 95
GDP
expenditure
or
income
PIB,
dépense
ou
revenu
Net payments
of investment
income to
non-residents
Paiements
nets de
revenus de
placements
aux nonrésidents
GNP/GNE
PNB/DNB
Gross domestic product — income based Produit intérieur brut — Du point de vue des revenus
V498074
V499687
V499688
V498076
Domestic income Revenu intérieur
Wages,
salaries and
supplementary
labour income
Rémunération
des salariés
et revenu
supplémentaire
du travail
Profits
before taxes
Bénéfices
avant impôts
Interest and
miscellaneous
investment
income
Intérêts et
revenus
divers de
placements
Accrued
net income of
farm operators
Revenus
comptables
nets des
exploitants
agricoles
Net income of
non-farm unincorporated business
(including rent)
Revenus nets
(loyers compris)
des entreprises
individuelles
non agricoles
Inventory
valuation
adjustment
Ajustement
de la
valeur
des stocks
V498079
V498080
V498081
V498082
Total
Total
Indirect
taxes less
subsidies
Impôts
indirects,
moins
subventions
Capital
consumption
allowances,
etc.
Provisions
pour
consommation
de capital
et autres
ajustements
Year
and
quarter
Année
ou
trimestre
512,541
558,949
613,094
657,728
679,921
685,367
700,480
727,184
770,873
810,426
836,864
882,733
914,973
982,441
1,076,577
1,108,048
1,152,905
1,213,175
1,290,828
1,375,080
1,446,307
-17,446
-17,305
-19,801
-22,543
-24,444
-22,854
-25,397
-25,169
-27,994
-28,550
-28,330
-27,704
-30,420
-33,232
-28,032
-31,353
-28,868
-28,590
-26,304
-24,540
-10,754
495,095
541,644
593,293
635,185
655,477
662,513
675,083
702,015
742,879
781,876
808,534
855,029
884,553
949,209
1,048,545
1,076,695
1,124,037
1,184,585
1,264,524
1,350,540
1,435,553
272,755
296,442
325,248
350,743
368,891
379,091
387,788
394,816
404,918
418,825
428,792
453,073
475,335
502,726
545,204
570,008
593,307
621,003
654,957
694,041
737,382
49,781
63,014
71,720
66,907
51,396
38,099
38,641
45,796
71,291
82,979
86,478
94,585
93,212
119,170
147,307
137,860
146,890
157,105
182,074
203,935
212,682
39,481
38,841
42,188
48,013
54,874
54,486
52,742
52,381
52,000
50,981
50,477
48,881
47,134
47,249
55,302
52,579
46,693
49,989
54,109
61,070
65,310
3,825
1,985
3,283
1,986
2,053
1,853
1,727
2,017
1,255
2,702
3,825
1,663
1,724
1,819
1,243
1,675
1,101
1,439
3,106
1,321
344
28,574
30,761
33,113
34,856
35,544
37,022
39,406
42,068
44,931
46,363
49,278
54,663
57,936
61,466
64,944
68,857
74,292
77,181
81,037
83,636
85,980
-1,407
-3,237
-3,093
-1,452
300
1,084
-3,285
-3,122
-5,372
-2,473
-1,596
-623
-753
-2,317
-2,439
574
-3,584
4,262
-1,747
-933
-1,775
393,009
427,806
472,459
501,053
513,058
511,635
517,019
533,956
569,023
599,377
617,254
652,242
674,588
730,113
811,561
831,553
858,699
910,979
973,536
1,043,070
1,099,923
56,321
63,585
71,954
81,121
84,641
87,839
92,354
97,227
101,050
105,199
108,166
113,846
117,338
123,420
128,340
128,521
138,055
140,452
148,836
156,181
161,582
63,211
67,558
68,681
75,554
82,222
85,893
91,107
96,001
100,800
105,850
111,444
116,645
123,047
128,908
136,676
147,974
156,151
161,744
168,456
175,829
184,802
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
1,115,212
1,116,576
1,102,200
1,098,204
-29,884
-29,396
-30,784
-35,348
1,085,328
1,087,180
1,071,416
1,062,856
564,832
568,476
571,384
575,340
155,968
148,080
128,648
118,744
57,200
55,308
49,928
47,880
1,740
1,780
1,956
1,224
67,168
67,972
69,376
70,912
-1,576
456
1,540
1,876
845,332
842,072
822,832
815,976
124,688
127,880
130,292
131,224
145,192
146,624
149,076
151,004
2001 I
II
III
IV
1,119,204
1,146,676
1,161,928
1,183,812
-27,936
-24,816
-27,668
-35,052
1,091,268
1,121,860
1,134,260
1,148,760
582,512
588,136
596,212
606,368
133,300
145,220
153,916
155,124
46,132
46,224
46,328
48,088
1,068
760
1,116
1,460
72,536
74,060
74,952
75,620
-4,068
-1,100
-6,292
-2,876
831,480
853,300
866,232
883,784
134,948
138,672
138,220
140,380
152,776
154,704
157,476
159,648
2002 I
II
III
IV
1,208,584
1,197,408
1,217,136
1,229,572
-25,644
-33,172
-28,176
-27,368
1,182,940
1,164,236
1,188,960
1,202,204
612,248
615,036
625,436
631,292
167,188
147,360
154,300
159,572
48,888
49,344
51,628
50,096
1,660
932
1,048
2,116
76,496
76,752
77,324
78,152
3,668
10,672
2,312
396
910,148
900,096
912,048
921,624
139,084
136,876
141,936
143,912
159,352
160,436
163,152
164,036
2003 I
II
III
IV
1,253,040
1,286,048
1,304,768
1,319,456
-24,548
-26,528
-24,660
-29,480
1,228,492
1,259,520
1,280,108
1,289,976
641,164
652,096
660,124
666,444
172,456
184,344
184,136
187,360
50,840
53,760
55,728
56,108
2,424
2,992
3,556
3,452
79,828
81,180
81,564
81,576
-4,232
-5,356
176
2,424
942,480
969,016
985,284
997,364
145,028
148,228
150,000
152,088
165,532
168,804
169,484
170,004
2004 I
II
III
IV
1,334,424
1,356,388
1,390,844
1,418,664
-23,716
-24,832
-22,020
-27,592
1,310,708
1,331,556
1,368,824
1,391,072
676,804
688,656
700,368
710,336
192,392
198,104
207,280
217,964
56,692
58,152
61,392
68,044
1,908
1,240
1,092
1,044
82,840
83,364
83,964
84,376
-1,288
-3,664
2,536
-1,316
1,009,348
1,025,852
1,056,632
1,080,448
152,740
156,252
157,432
158,300
172,336
174,284
176,780
179,916
2005 I
II
III
IV
1,431,364
1,442,220
1,452,396
1,459,248
-24,156
-21,820
-11,344
14,304
1,407,208
1,420,400
1,441,052
1,473,552
727,568
730,928
739,764
751,268
208,576
211,600
215,532
215,020
65,592
65,880
65,464
64,304
400
240
268
468
85,224
85,824
86,140
86,732
540
-444
-1,376
-5,820
1,087,900
1,094,028
1,105,792
1,111,972
161,812
164,092
160,384
160,040
181,652
184,100
186,220
187,236
2006 I
II
III
IV
1,496,196
1,530,540
-14,580
-19,356
1,481,616
1,511,184
767,796
781,992
221,040
223,916
66,568
69,380
1,212
2,188
88,068
89,476
-2,584
2,776
1,142,100
1,169,728
163,780
167,748
190,316
193,064
2007 I
II
H2
Gross domestic product: Chain Fisher volume
Produit intérieur brut : Volume, mesure en chaîne de Fisher
Millions of chained 2002 dollars, seasonally adjusted at annual rates
Year
and
quarter
Année
ou
trimestre
Domestic demand (excluding inventories)
En millions de dollars de 2002, données désaisonnalisées, chiffres annuels
Demande intérieure (stocks non compris)
Personal expenditures
Dépenses des ménages
Motor
vehicles, parts
and repairs
Véhicules
automobiles,
pièces et
réparations
Other
durables
Autres
biens
durables
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
36,721
39,108
38,518
37,056
35,435
35,244
35,464
37,074
36,836
38,635
44,628
45,260
48,845
50,764
51,644
55,997
56,346
56,183
57,725
59,112
16,115
17,275
18,060
17,793
17,033
17,349
17,757
18,675
19,768
20,460
23,065
25,651
28,135
31,050
33,485
36,088
38,105
41,184
45,012
51,385
2001 I
II
III
IV
50,348
51,226
50,626
54,374
2002 I
II
III
IV
S 96
Total
Total
Government
expenditures
Dépenses
publiques
Semidurables
Biens
semidurables
Nondurables
Biens
non
durables
Services
Services
V1992046
V1992047
V1992119 V1992115
43,121
43,698
44,122
43,940
40,537
40,742
41,787
43,588
45,035
45,376
46,943
48,945
50,415
52,724
54,821
57,052
58,891
61,230
63,866
68,529
124,887
128,303
130,707
130,462
129,112
130,055
131,844
135,369
137,456
139,616
142,014
144,953
148,654
152,774
154,354
158,399
161,533
164,711
167,859
170,305
225,174
236,693
249,820
258,089
258,297
264,479
269,624
276,635
282,451
290,826
302,210
309,059
319,242
331,636
338,538
348,186
360,621
375,044
391,140
407,772
445,178
464,354
480,285
485,812
478,166
485,513
494,164
509,153
519,619
533,022
557,640
573,043
594,823
618,752
632,781
655,722
675,443
698,138
724,942
755,204
191,134
200,012
207,143
215,314
221,996
223,561
223,367
222,579
220,695
217,294
214,621
220,610
228,233
235,480
246,604
252,972
261,620
268,984
277,529
288,282
32,981
33,133
33,305
34,522
54,037
54,939
54,503
55,803
154,914
154,477
154,045
153,980
337,794
337,058
339,389
339,910
629,981
630,773
631,787
638,583
242,415
246,022
248,268
249,712
55,951
55,814
55,322
56,901
35,387
36,092
36,026
36,847
56,824
57,064
56,592
57,728
156,660
157,865
158,523
160,549
342,227
348,302
350,189
352,026
647,046
655,142
656,652
664,048
2003 I
II
III
IV
56,302
56,659
58,049
54,375
37,130
37,766
38,748
38,775
58,575
58,964
59,067
58,957
161,242
161,181
161,419
162,290
354,168
358,906
362,634
366,776
2004 I
II
III
IV
55,838
55,832
55,971
57,089
40,160
40,708
41,784
42,082
60,456
60,894
61,920
61,649
163,726
163,833
164,846
166,438
2005 I
II
III
IV
57,517
57,959
58,430
56,994
43,647
44,628
45,019
46,754
63,096
63,878
63,757
64,733
2006 I
II
III
IV
57,429
57,995
59,984
61,042
49,742
51,332
52,161
52,304
2007 I
II
61,043
63,498
54,610
56,355
Construction
Construction
Value of
physical
change in
inventories
Valeur
de la
variation
matérielle
des stocks
Machinery
and
equipment
Machines
et
matériel
Total
Total
V1992056
V1992068
Exports
of goods
and
services
Exportations de
biens et
services
Imports
of goods
and
services
Importations de
biens et
services
Statistical
GDP
discrepancy PIB
Écart
statistique
Laspeyres
measure
(at 2002
prices)
Mesure de
Laspeyres
(prix de
2002)
Residential
Résidentielle
Nonresidential
Non
résidentielle
V1992053
V1992055
V1992060
V1992063
V1992066
V1992067 V41707150
56,169
57,344
59,687
53,396
45,498
48,731
47,064
48,991
41,718
45,722
49,452
47,702
49,402
51,997
57,524
65,651
69,168
74,347
76,976
78,604
39,894
43,950
45,403
45,411
43,733
36,844
37,049
40,383
40,641
41,391
48,717
48,871
50,079
51,099
53,858
50,659
53,478
57,291
63,480
71,667
37,586
44,451
47,632
45,415
44,071
43,606
42,405
46,500
50,150
53,209
67,024
72,803
80,141
85,171
82,632
80,275
86,439
94,473
104,641
112,390
765,486
807,301
837,832
842,278
830,614
835,458
841,064
864,907
870,712
888,778
936,791
962,890
1,002,906
1,042,806
1,073,518
1,105,324
1,145,954
1,192,699
1,246,194
1,304,376
3,871
3,571
5,576
-2,372
-7,163
-8,345
-1,553
1,731
10,483
3,159
8,937
6,487
7,196
14,616
-2,607
-2,719
5,785
7,912
13,568
10,205
190,474
207,498
209,530
219,313
223,241
239,251
265,181
298,872
324,238
342,388
370,923
404,763
448,001
487,932
473,474
479,185
468,359
490,931
501,732
505,344
187,188
212,367
224,851
229,418
235,131
246,108
264,205
285,474
301,859
317,284
362,478
380,891
410,571
443,938
421,155
428,301
446,014
483,250
519,435
545,268
-1,791
2,340
499
33
13
-1,781
-2,254
-1,330
-926
-683
-77
-416
93
765
-441
-582
73
-173
464
-45
764,664
802,702
823,728
825,318
808,051
815,123
834,185
874,261
898,814
913,364
951,962
990,968
1,045,786
1,100,515
1,120,146
1,152,905
1,174,592
1,210,656
1,247,780
1,282,204
762,610
800,315
821,093
823,860
808,164
815,705
834,815
875,360
899,266
913,336
953,944
993,136
1,047,431
1,102,562
1,119,626
1,152,905
1,175,635
1,210,412
1,246,582
1,279,239
55,191
56,436
57,932
60,538
53,250
54,166
54,594
53,422
84,561
84,660
84,348
76,958
1,065,612
1,072,248
1,076,961
1,079,252
1,282
1,689
-3,160
-10,237
482,811
477,061
465,860
468,162
429,707
428,886
418,567
407,461
-369
-421
-831
-144
1,117,387
1,118,999
1,117,315
1,126,881
1,115,472
1,117,737
1,118,415
1,126,879
250,122
251,677
253,990
256,099
64,245
64,760
65,918
67,681
51,452
50,660
50,448
50,075
77,095
79,854
82,288
81,863
1,089,928
1,102,168
1,109,401
1,119,799
-16,009
945
-587
4,774
476,045
474,546
486,619
479,530
409,073
429,938
437,387
436,805
-428
-380
-462
-1,056
1,140,589
1,147,293
1,157,542
1,166,196
1,140,386
1,147,298
1,157,586
1,166,350
667,404
673,418
679,805
681,143
259,089
260,935
261,727
264,729
67,686
67,441
70,027
71,519
51,657
52,853
53,981
55,421
82,736
84,568
87,889
90,564
1,128,585
1,139,147
1,153,156
1,162,928
11,927
11,515
-3,137
2,833
469,395
459,754
464,765
479,520
438,670
441,385
441,447
462,553
236
758
-436
-266
1,171,246
1,169,756
1,173,426
1,183,941
1,171,868
1,170,484
1,173,772
1,186,416
370,767
373,434
376,343
379,630
690,811
694,517
700,581
706,642
267,393
267,974
269,746
270,821
72,639
73,530
74,802
76,418
55,848
56,920
57,968
58,429
92,660
93,534
94,851
96,846
1,178,970
1,185,775
1,197,284
1,208,767
-1,466
-2,097
13,799
21,410
476,930
498,597
496,864
491,333
464,366
477,181
491,379
500,073
-19
-1,201
-422
951
1,191,934
1,206,306
1,218,806
1,225,576
1,191,152
1,204,532
1,220,044
1,225,920
167,569
167,753
167,891
168,224
384,894
389,186
392,680
397,801
716,283
722,803
727,121
733,560
273,711
275,930
278,687
281,786
75,323
76,761
77,572
78,249
60,645
62,392
64,358
66,523
100,705
102,576
106,199
109,082
1,225,562
1,239,264
1,252,494
1,267,455
17,341
11,616
12,781
12,535
494,195
494,481
504,563
513,688
511,926
508,791
521,441
535,580
797
567
472
21
1,230,775
1,241,443
1,254,080
1,264,822
1,230,328
1,239,040
1,252,700
1,264,260
66,928
68,138
69,351
69,700
168,656
170,187
171,346
171,030
402,356
404,747
409,104
414,880
743,529
750,550
759,897
766,839
285,579
287,766
288,749
291,032
80,041
78,974
77,711
77,690
68,787
70,523
72,651
74,707
110,247
111,598
113,532
114,184
1,286,677
1,297,838
1,310,523
1,322,465
10,306
17,584
12,857
72
504,602
502,355
505,539
508,881
532,055
544,582
552,820
551,615
189
-195
-410
237
1,275,510
1,280,142
1,284,213
1,288,949
1,274,536
1,279,060
1,279,396
1,283,964
71,393
72,093
171,818
173,626
417,030
420,027
773,201
782,554
292,404
294,104
79,273
80,278
75,366
75,774
112,570
114,243
1,331,478
1,345,473
3,205
4,760
509,900
513,582
551,016
559,672
-209
-487
1,301,284
1,312,257
1,299,868
1,309,440
H3
Gross domestic product: Implicit chained prices
Produit intérieur brut : Indices de prix implicites en chaîne
Year
and
quarter
Année
ou
trimestre
Implicit price indexes
S 97
2002 = 100, seasonally adjusted 2002 = 100, données désaisonnalisées
Indices implicites des prix
Domestic demand (excluding inventories)
Demande intérieure (stocks non compris)
Personal expenditures
Dépenses des ménages
Durables
Biens
durables
Semidurables
Biens
semidurables
Nondurables
Biens
non
durables
Services
Services
Total
Total
V1997739
V1997740
V1997741
V1997742
V1997738
86.4
89.4
93.2
93.7
93.3
93.6
95.0
97.8
99.6
100.6
100.9
100.8
101.1
100.3
99.8
100.0
99.3
98.2
97.6
96.4
76.6
80.4
83.8
86.2
93.1
93.6
94.0
94.3
94.0
94.2
95.7
96.6
98.3
98.9
99.5
100.0
99.3
99.0
98.7
97.5
68.0
70.2
73.5
78.1
82.6
83.3
84.9
83.0
83.7
85.0
86.7
87.1
89.5
93.8
97.4
100.0
104.1
107.4
111.9
114.9
66.5
69.3
72.2
75.5
79.5
81.7
84.2
86.2
87.6
89.3
90.9
92.7
94.2
96.1
97.7
100.0
101.5
103.3
104.8
106.8
70.2
72.9
76.1
79.3
83.3
84.7
86.7
87.6
88.7
90.2
91.6
92.7
94.3
96.3
98.1
100.0
101.6
103.2
104.9
106.4
2001 I
II
III
IV
99.6
99.9
99.9
99.6
99.7
99.5
99.3
99.6
95.4
98.9
98.4
96.9
97.2
97.5
97.9
98.3
2002 I
II
III
IV
99.5
100.0
100.3
100.2
99.7
100.2
100.6
99.6
97.4
99.2
101.3
102.1
2003 I
II
III
IV
100.0
99.6
99.1
98.6
99.4
99.2
99.2
99.4
2004 I
II
III
IV
98.2
98.3
98.0
98.1
2005 I
II
III
IV
Government
expenditures
Dépenses
publiques
Construction
Construction
Machinery
Total
and
Total
equipment
Machines et
matériel
Exports
of goods
and
services
Exportations
de biens et
services
Imports
of goods
and
services
Importations
de biens et
services
GDP
PIB
At
market
value
Aux prix
du marché
Fixed
weightedprice
index
Indice des
prix à
pondération
fixe
Paasche
price index
Indice de
prix de
Paasche
Residential
Résidentielle
Nonresidential
Non
résidentielle
V1997746
V1997748
V1997749
V1997757
V1997750
V1997753
V1997756
69.7
72.2
75.8
79.7
82.2
84.4
85.5
86.8
87.9
88.2
89.4
90.4
91.6
95.4
96.9
100.0
102.6
104.5
107.7
111.0
69.2
74.0
78.5
78.1
80.9
81.9
84.3
86.6
86.6
86.5
88.0
89.1
91.3
93.4
95.8
100.0
105.1
111.5
116.6
125.2
72.3
76.5
79.7
82.4
80.9
80.5
81.5
84.2
85.3
87.8
90.0
92.5
94.3
97.5
98.4
100.0
102.0
108.3
114.4
119.6
100.8
99.4
99.7
100.1
95.2
95.7
97.6
100.9
101.3
100.5
100.5
101.8
98.7
97.9
99.1
100.0
93.6
89.4
86.6
83.5
72.0
74.7
78.0
81.0
83.7
85.1
86.8
88.2
89.2
90.2
91.5
92.7
93.9
96.1
97.8
100.0
101.5
103.2
105.3
107.5
78.7
79.0
80.7
80.1
77.2
79.3
82.8
87.6
93.3
93.8
94.0
93.7
94.7
100.6
101.9
100.0
98.8
100.9
103.7
103.8
76.6
75.0
75.0
76.1
74.9
78.2
83.1
88.6
91.6
90.6
91.4
94.7
94.6
96.6
99.5
100.0
93.5
91.2
90.2
89.4
73.1
76.4
79.8
82.4
84.8
85.9
87.2
88.2
90.2
91.6
92.8
92.3
93.9
97.8
98.9
100.0
103.3
106.6
110.2
112.8
100.0
99.8
101.8
106.3
107.6
100.0
103.4
106.7
110.5
112.9
73.3
76.6
80.1
82.5
84.8
85.9
87.1
88.1
90.1
91.6
92.5
92.1
93.8
97.6
99.0
100.0
103.2
106.6
110.3
113.1
97.3
98.3
98.4
98.2
95.9
96.3
97.2
98.2
94.7
95.9
96.0
96.7
98.2
98.6
97.9
98.7
99.5
99.7
98.3
98.7
97.0
97.9
98.0
98.2
105.9
103.8
100.3
97.5
99.5
99.7
99.1
99.5
99.8
99.8
98.6
97.5
108.5
108.2
107.4
106.2
100.0
99.9
98.6
97.5
99.1
99.6
100.3
101.0
98.8
99.6
100.6
101.0
98.8
99.3
100.5
101.4
98.4
99.5
100.3
101.7
99.3
99.6
100.3
100.9
100.7
99.9
99.5
100.0
98.9
99.6
100.4
101.1
98.5
99.8
99.9
101.8
100.3
99.1
100.0
100.6
98.1
99.9
100.4
101.5
98.2
99.7
100.6
101.5
98.1
100.0
100.4
101.5
104.5
103.4
104.6
103.9
101.2
101.2
101.7
102.0
101.7
101.3
101.8
101.7
101.4
101.9
104.3
103.0
102.9
103.9
105.8
107.8
101.5
101.0
102.3
103.1
97.3
93.4
92.4
91.3
101.3
101.0
102.0
101.7
104.2
97.5
97.6
95.7
99.1
93.5
92.1
89.3
103.2
102.4
103.7
103.9
103.4
102.5
103.8
103.9
103.1
102.3
103.7
103.6
99.3
99.1
98.7
98.9
105.4
107.3
108.0
109.0
102.7
103.3
103.5
103.7
102.4
103.2
103.4
103.7
103.6
104.5
104.5
105.2
109.1
111.3
112.5
113.1
105.1
107.3
109.5
111.4
90.1
91.1
89.3
87.1
102.3
103.3
103.4
103.8
98.6
102.7
102.3
99.8
90.1
93.5
92.2
89.1
105.1
106.6
107.1
107.7
105.3
106.6
107.2
107.5
105.2
106.8
106.9
107.6
98.0
97.4
97.5
97.5
99.0
98.7
98.9
98.3
109.5
111.1
113.4
113.6
104.1
104.7
105.0
105.3
104.1
104.7
105.4
105.5
106.3
108.0
108.4
108.2
114.8
115.9
117.2
118.6
112.6
113.7
115.1
116.3
87.2
87.6
86.3
85.3
104.4
105.2
105.8
105.9
100.6
102.8
104.5
106.8
89.4
91.5
90.2
89.5
108.4
109.3
110.9
112.2
108.5
109.6
111.3
112.7
108.5
109.5
111.0
112.2
2006 I
II
III
IV
97.4
96.6
95.9
95.5
98.1
97.8
97.3
96.8
114.4
115.5
115.4
114.1
105.8
106.5
107.0
107.7
106.0
106.5
106.6
106.5
111.1
110.4
111.0
111.6
121.1
124.3
126.8
128.6
117.5
119.1
120.3
121.3
84.6
82.9
82.9
83.5
107.0
107.2
107.6
108.0
103.6
103.2
104.1
104.4
89.0
88.7
89.7
90.3
112.2
112.7
113.1
113.2
112.4
112.7
113.2
113.4
112.3
112.8
113.5
113.7
2007 I
II
95.4
95.4
96.8
97.2
116.0
117.3
108.5
109.1
107.4
108.0
113.3
114.8
130.8
133.3
123.2
125.1
84.4
82.7
109.1
109.9
107.4
106.4
91.6
88.6
115.0
116.6
115.1
116.9
115.1
116.9
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
V1997776
H4
Gross domestic product at basic prices: selected industries
Produit intérieur brut aux prix de base dans certaines branches d’activité
S 98
Millions of chained 1997 dollars, seasonally adjusted at annual rates
En millions de dollars de 1997, données désaisonnalisées, chiffres annuels
Year
and
month
Année
ou
mois
Total
Total
Manufacturing
industries
Industries
manufacturières
Construction
Construction
Wholesale
trade
Commerce
de gros
Retail
trade
Commerce
de détail
Finance and
insurance
Finance et
assurance
Real estate
rental, and
leasing
Immobilier,
location et
crédit-bail
Health
care &
social
assistance
Soins de
santé et
assistance
sociale
Business
sector
Entreprises
Nonbusiness
sector
Secteur
non
commercial
Goodsproducing
industries
Industries
productrices de
biens
Serviceproducing
industries
Industries
productrices de
services
Information &
communication
technologies
Technologies
de
l’information
et des
communications
V14182657
V14182897
V14182880
V14182793
V14182794
V14182833
V14182844
V14182870
V14182615
V14182623
V14182626
V14182627
V14182618
2002
2003
2004
2005
2006
982,843
1,002,936
1,034,024
1,062,951
1,091,587
171,800
170,465
173,726
174,987
172,638
54,689
56,627
60,228
63,689
68,432
56,349
58,603
61,721
65,997
70,408
55,530
57,301
59,454
62,219
65,442
58,369
59,249
62,456
64,745
68,020
127,600
130,879
135,609
140,544
145,203
57,314
58,750
59,862
60,704
61,949
831,293
847,701
875,777
902,519
927,564
151,707
155,365
158,479
160,794
164,433
311,482
315,935
325,202
331,595
334,264
672,177
687,921
709,800
732,506
758,840
54,288
57,482
59,298
62,359
65,019
2004 J
A
S
O
N
D
1,037,464
1,039,685
1,041,836
1,041,168
1,043,485
1,045,289
175,122
174,725
175,100
173,366
172,349
173,169
60,150
60,546
60,922
60,972
61,334
61,835
62,268
62,462
62,478
62,318
63,727
64,146
59,559
59,833
60,301
60,777
60,640
59,843
62,111
62,479
63,032
62,851
63,215
63,600
135,785
136,173
136,578
136,984
137,474
137,826
60,167
60,243
60,295
60,189
60,193
60,179
878,104
880,282
882,655
883,009
884,646
886,177
159,561
159,618
159,434
158,463
159,125
159,391
326,571
326,797
327,016
326,280
326,091
326,715
711,855
713,877
715,842
715,937
718,494
719,668
59,608
59,445
59,899
59,980
60,199
60,645
2005 J
F
M
A
M
J
J
A
S
O
N
D
1,048,871
1,050,349
1,049,041
1,054,657
1,058,756
1,061,890
1,064,176
1,069,912
1,069,988
1,072,045
1,075,753
1,079,974
174,525
174,008
173,229
173,915
174,949
174,577
173,864
176,613
175,092
175,917
175,821
177,334
62,308
62,328
61,949
62,544
63,165
63,378
63,731
63,908
64,402
65,059
65,514
65,982
63,092
64,105
64,750
65,054
65,265
66,419
65,286
66,790
67,443
67,985
67,328
68,447
61,020
61,853
61,755
62,477
61,748
62,455
63,263
62,582
61,219
62,126
62,956
63,174
63,804
64,042
64,107
64,245
64,427
64,868
64,798
65,134
65,087
65,336
65,502
65,590
138,218
138,627
139,164
139,485
140,078
140,558
140,907
141,348
141,572
141,847
142,175
142,549
60,206
60,289
60,417
60,348
60,394
60,692
60,714
60,838
60,870
61,137
61,266
61,277
889,596
890,723
889,999
895,055
899,273
901,912
903,636
908,919
908,794
911,282
913,513
917,526
159,578
159,926
159,358
159,934
159,856
160,352
160,909
161,387
161,577
161,187
162,615
162,849
328,589
327,002
325,279
328,262
331,244
330,420
331,256
334,600
334,467
334,957
335,444
337,620
721,339
724,520
724,999
727,576
728,609
732,665
734,111
736,425
736,643
738,219
741,481
743,485
60,730
61,281
61,415
61,804
61,960
62,802
62,480
63,149
62,874
63,034
63,542
63,237
2006 J
F
M
A
M
J
J
A
S
O
N
D
1,082,445
1,085,252
1,086,924
1,089,286
1,089,957
1,089,843
1,093,123
1,096,861
1,092,847
1,093,789
1,097,031
1,101,687
R
R
R
R
R
R
R
R
R
R
R
R
177,260
175,666
174,595
173,234
173,338
173,098
173,222
172,351
169,362
168,208
170,072
171,250
R
R
R
R
R
R
R
R
R
R
R
R
66,701
67,308
67,734
67,951
67,882
68,151
68,266
68,784
69,032
69,403
69,642
70,324
69,598
69,557
69,326
70,275
71,007
70,508
71,240
72,126
70,213
69,697
70,088
71,264
R
R
R
63,775
63,958
64,760
65,612
65,342
65,309
65,665
66,120
66,200
65,910
65,663
66,988
66,187
66,430
66,715
67,274
67,453
67,525
68,088
68,467
69,125
69,349
69,691
69,941
R
R
R
R
R
R
R
R
R
R
R
R
143,092
143,505
143,822
144,217
144,548
144,944
145,320
145,723
146,114
146,562
146,964
147,630
R
R
R
R
R
R
2007 J
F
M
A
M
J
J
1,103,444
1,108,253
1,112,674
1,112,855
1,116,636
1,118,699
1,120,493
R
R
R
R
R
R
168,975
169,665
170,933
171,016
171,229
170,650
171,410
R
R
R
R
R
R
70,617
70,514
70,601
70,756
71,104
71,514
71,910
71,196
71,900
73,115
71,979
72,894
72,786
74,467
R
R
R
R
R
R
70,392
70,766
71,298
71,562
71,864
72,107
72,515
R
R
148,291
148,780
149,285
149,808
150,413
150,862
151,309
R
R
R
R
R
R
R
R
R
R
R
R
R
R
R
R
R
66,920
66,461
67,589
67,657
69,352
68,865
68,316
R
R
R
R
R
R
R
R
R
R
R
61,370
61,519
61,728
61,766
61,847
61,880
61,929
61,965
62,067
62,162
62,501
62,648
R
R
R
R
R
R
R
62,851
62,974
63,110
63,228
63,401
63,562
63,671
R
R
R
R
R
R
R
R
R
R
919,573
922,042
923,679
925,498
925,839
925,690
928,992
932,880
928,673
929,305
932,069
936,526
R
R
R
R
R
R
R
R
R
R
R
R
163,271
163,613
163,660
164,193
164,509
164,541
164,547
164,436
164,585
164,886
165,366
165,594
R
937,964
942,488
946,566
946,590
950,157
952,034
953,917
R
R
R
R
R
R
165,910
166,221
166,585
166,736
166,970
167,163
167,095
R
R
R
R
R
R
R
R
R
R
R
R
R
R
R
336,274
336,844
336,229
335,243
334,110
333,712
334,912
335,419
331,498
332,011
332,294
332,624
R
R
R
R
R
R
R
R
R
R
R
R
747,418
749,680
752,029
755,473
757,341
757,644
759,718
762,989
763,036
763,453
766,455
770,846
R
R
R
R
R
R
R
R
R
R
R
R
63,951
63,892
64,261
64,326
64,770
65,006
65,327
65,416
65,455
65,885
65,851
66,087
R
R
R
R
333,132
336,139
336,190
336,451
336,068
337,027
336,757
R
R
R
R
R
R
772,099
773,826
778,273
778,181
782,434
783,522
785,633
R
R
R
R
R
R
66,029
66,815
67,196
67,512
67,491
67,999
67,914
R
R
R
R
R
R
R
R
R
R
R
R
H5
Labour force status of the population
Répartition de la population active
Annual
average
and week
ending
Moyenne
annuelle
ou données
de la semaine
se terminant
à la date
indiquée
Seasonally adjusted
Labour
force
participation
rate %
Taux
d’activité
V2062816
V2062810
V2062811 V2062812
V2062813
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
65.7
65.3
65.2
64.8
64.7
64.8
65.1
65.5
65.8
65.9
66.9
67.5
67.5
67.2
67.2
14,336
14,435
14,574
14,689
14,854
15,079
15,316
15,588
15,847
16,110
16,579
16,959
17,182
17,343
17,593
12,731
12,793
13,059
13,295
13,421
13,706
14,046
14,407
14,764
14,946
15,310
15,672
15,947
16,170
16,484
10,371
10,337
10,586
10,799
10,861
11,089
11,403
11,759
12,094
12,242
12,439
12,705
12,998
13,206
13,510
2,360
2,456
2,473
2,497
2,560
2,617
2,643
2,647
2,671
2,704
2,871
2,967
2,949
2,964
2,975
10,803
10,782
11,030
11,212
11,250
11,357
11,641
11,974
12,390
12,669
12,996
13,270
13,494
13,658
13,986
1,928
2,011
2,028
2,083
2,172
2,349
2,406
2,433
2,374
2,277
2,314
2,402
2,453
2,512
2,498
Thousands of persons, unless otherwise indicated
S 99
En milliers de personnes, sauf indication contraire
Données désaisonnalisées
Civilian
labour
force
Population
active
civile
Employed
Personnes ayant un emploi
Total
Total
Full
time
À plein
temps
Part
time
À temps
partiel
Unemployed as % of labour force
Chômeurs, en % de la population active
Paid
workers
Salariés
SelfEmployed
Travailleurs
autonomes
Men
Hommes
Women
Femmes
Total
Total
Age group: 25 and over
Groupe d’âge : 25 ans ou plus
Men
Hommes
Women
Femmes
Age group:
15-24
Groupe d’âge :
De 15 à 24 ans
Age 25
and over
25 ans
ou plus
Age
15-24
De 15 à
24 ans
Age 25
and over
25 ans
ou plus
Age
15-24
De 15 à
24 ans
V2062928
V2062847
V2062937
V2062856
V2062815
V2062932
V2062941
V2062842
5,884
5,937
6,070
6,181
6,257
6,409
6,537
6,660
6,791
6,843
6,960
7,105
7,232
7,356
7,450
1,077
1,058
1,072
1,079
1,065
1,062
1,076
1,138
1,183
1,193
1,224
1,243
1,248
1,239
1,277
4,720
4,784
4,899
5,017
5,100
5,266
5,421
5,554
5,684
5,778
5,951
6,118
6,254
6,342
6,498
1,050
1,015
1,018
1,018
999
970
1,012
1,055
1,106
1,132
1,175
1,206
1,213
1,234
1,259
11.2
11.4
10.4
9.5
9.6
9.1
8.3
7.6
6.8
7.2
7.7
7.6
7.2
6.8
6.3
10.4
10.4
9.5
8.5
8.6
7.8
7.1
6.4
5.6
6.2
6.7
6.5
6.1
5.7
5.3
9.2
9.8
8.9
8.2
8.4
7.6
6.9
6.2
5.7
6.0
6.2
6.2
5.9
5.6
5.2
17.2
17.2
15.9
14.8
15.4
16.2
15.2
14.0
12.7
12.9
13.6
13.6
13.4
12.4
11.6
2004 S
O
N
D
18
16
13
11
67.4
67.5
67.5
67.4
17,206
17,245
17,272
17,262
16,004
16,021
16,030
16,042
13,056
13,070
13,062
13,067
2,948
2,951
2,968
2,974
13,545
13,551
13,554
13,585
2,459
2,471
2,476
2,457
7,254
7,286
7,272
7,280
1,263
1,257
1,260
1,253
6,263
6,260
6,283
6,283
1,224
1,219
1,215
1,225
7.0
7.1
7.2
7.1
5.8
5.8
6.1
6.1
5.8
5.9
6.0
5.8
12.9
13.3
13.0
12.7
2005 J
F
M
A
M
J
J
A
S
O
N
D
15
19
19
16
21
18
16
20
17
15
12
10
67.3
67.4
67.2
67.2
67.2
67.2
67.2
67.2
67.1
67.2
67.0
67.1
17,255
17,288
17,261
17,279
17,319
17,324
17,341
17,382
17,374
17,435
17,402
17,431
16,057
16,074
16,065
16,106
16,117
16,137
16,177
16,211
16,209
16,273
16,308
16,294
13,094
13,115
13,085
13,139
13,132
13,196
13,213
13,245
13,263
13,271
13,335
13,353
2,964
2,959
2,981
2,966
2,985
2,941
2,963
2,966
2,946
3,001
2,973
2,941
13,580
13,580
13,565
13,606
13,622
13,624
13,673
13,718
13,684
13,716
13,767
13,755
2,478
2,494
2,500
2,500
2,495
2,513
2,504
2,494
2,524
2,557
2,541
2,539
7,299
7,299
7,316
7,327
7,347
7,357
7,369
7,373
7,382
7,395
7,397
7,406
1,236
1,238
1,222
1,221
1,229
1,225
1,233
1,237
1,233
1,258
1,259
1,267
6,295
6,305
6,307
6,324
6,315
6,332
6,343
6,361
6,360
6,384
6,400
6,375
1,227
1,233
1,221
1,234
1,225
1,223
1,231
1,241
1,235
1,236
1,251
1,246
6.9
7.0
6.9
6.8
6.9
6.9
6.7
6.7
6.7
6.7
6.3
6.5
5.9
5.9
5.9
5.9
5.8
5.7
5.6
5.8
5.5
5.5
5.5
5.4
5.7
6.0
5.8
5.5
5.8
5.6
5.5
5.7
5.8
5.6
5.1
5.6
12.7
12.5
12.7
12.4
13.0
13.1
12.7
12.0
12.3
12.2
11.2
11.9
2006 J
F
M
A
M
J
J
A
S
O
N
D
21
18
18
15
20
17
15
19
16
14
11
9
67.2
67.0
67.2
67.2
67.3
67.2
67.3
67.2
67.2
67.1
67.2
67.2
17,476
17,458
17,515
17,533
17,590
17,576
17,633
17,627
17,642
17,649
17,693
17,716
16,330
16,351
16,404
16,419
16,513
16,501
16,498
16,492
16,513
16,564
16,588
16,640
13,382
13,351
13,395
13,424
13,573
13,494
13,512
13,560
13,552
13,622
13,604
13,637
2,948
3,001
3,009
2,996
2,939
3,007
2,986
2,931
2,961
2,943
2,984
3,003
13,796
13,812
13,893
13,898
14,020
14,043
14,042
14,007
14,020
14,086
14,106
14,112
2,534
2,539
2,510
2,521
2,493
2,458
2,456
2,484
2,493
2,479
2,482
2,528
7,402
7,412
7,414
7,422
7,462
7,453
7,453
7,456
7,461
7,471
7,493
7,504
1,263
1,277
1,302
1,278
1,285
1,276
1,270
1,265
1,263
1,279
1,281
1,286
6,413
6,412
6,432
6,468
6,501
6,502
6,518
6,513
6,534
6,545
6,559
6,588
1,252
1,250
1,256
1,252
1,265
1,270
1,258
1,258
1,255
1,270
1,255
1,263
6.6
6.3
6.3
6.4
6.1
6.1
6.4
6.4
6.4
6.1
6.2
6.1
5.5
5.4
5.3
5.3
5.2
5.2
5.4
5.4
5.5
5.4
5.3
5.3
5.4
5.3
5.3
5.3
5.1
5.1
5.4
5.3
5.0
4.9
5.0
4.9
12.3
11.4
11.5
11.6
11.2
11.1
11.9
12.1
12.2
11.3
11.7
11.2
2007 J
F
M
A
M
J
J
A
S
20
17
17
21
19
16
21
18
15
67.5
67.5
67.7
67.6
67.5
67.6
67.5
67.5
67.5
17,826
17,828
17,893
17,890
17,886
17,924
17,928
17,948
17,977
16,729
16,744
16,798
16,793
16,803
16,837
16,849
16,872
16,923
13,683
13,694
13,724
13,709
13,742
13,805
13,824
13,831
13,863
3,046
3,050
3,074
3,084
3,061
3,033
3,024
3,041
3,060
14,185
14,189
14,236
14,208
14,162
14,185
14,201
14,230
14,296
2,545
2,554
2,562
2,585
2,641
2,653
2,648
2,642
2,627
7,544
7,534
7,536
7,528
7,540
7,550
7,558
7,567
7,604
1,299
1,296
1,302
1,310
1,321
1,335
1,327
1,318
1,302
6,630
6,634
6,673
6,686
6,676
6,692
6,687
6,711
6,737
1,256
1,279
1,288
1,270
1,266
1,261
1,277
1,276
1,281
6.2
6.1
6.1
6.1
6.1
6.1
6.0
6.0
5.9
5.3
5.3
5.3
5.4
5.2
5.4
5.4
5.2
5.0
4.9
4.9
5.0
4.7
4.8
4.7
4.9
4.9
4.7
11.7
11.0
11.0
11.5
11.4
11.2
10.6
10.7
11.2
H6
Labour force status of the population by region
Répartition de la population active par région
Annual
average
and week
ending
Moyenne
annuelle
ou données
de la semaine
se terminant
à la date
indiquée
Atlantic provinces
Provinces de l’Atlantique
Labour
force
Population
active
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
1,075
1,079
1,081
1,079
1,076
1,090
1,104
1,122
1,130
1,147
1,172
1,185
1,203
1,201
1,200
914
915
920
935
929
938
963
991
1,003
1,013
1,038
1,053
1,074
1,076
1,082
15.0
15.2
14.9
13.3
13.7
13.9
12.8
11.7
11.2
11.7
11.4
11.1
10.7
10.4
9.8
S 100
Thousands of persons, unless otherwise indicated, seasonally adjusted En milliers de personnes, sauf indication contraire; données désaisonnalisées
Employment
Emploi
Quebec
Québec
Unemployment
rate %
Taux de
chômage
Ontario
Ontario
Labour
force
Population
active
Employment
Emploi
V2063755
3,481
3,494
3,530
3,541
3,552
3,582
3,632
3,671
3,718
3,771
3,908
3,993
4,024
4,053
4,094
Unemployment
rate %
Taux de
chômage
Prairie provinces
Provinces des Prairies
Labour
force
Population
active
Employment
Emploi
Unemployment
rate %
Taux de
chômage
V2063756 V2063760
V2063944
V2063945
V2063949
3,039
3,031
3,095
3,135
3,130
3,173
3,258
3,328
3,403
3,440
3,570
3,629
3,681
3,717
3,765
12.7
13.2
12.3
11.5
11.9
11.4
10.3
9.3
8.5
8.8
8.6
9.1
8.5
8.3
8.0
5,529
5,544
5,548
5,589
5,680
5,776
5,877
6,018
6,173
6,327
6,494
6,676
6,775
6,849
6,927
4,933
4,938
5,014
5,100
5,167
5,291
5,453
5,637
5,817
5,926
6,031
6,213
6,317
6,398
6,493
British Columbia
Colombie-Britannique
Labour
force
Population
active
Employment
Emploi
Unemployment
rate %
Taux de
chômage
10.8
10.9
9.6
8.7
9.0
8.4
7.2
6.3
5.8
6.3
7.1
6.9
6.8
6.6
6.3
2,452
2,471
2,497
2,529
2,557
2,600
2,665
2,713
2,747
2,783
2,858
2,913
2,958
2,976
3,067
2,228
2,241
2,287
2,339
2,379
2,443
2,515
2,557
2,610
2,646
2,706
2,763
2,814
2,848
2,949
9.1
9.3
8.4
7.5
7.0
6.0
5.6
5.8
5.0
4.9
5.3
5.1
4.9
4.3
3.8
Labour
force
Population
active
Employment
Emploi
Unemployment
rate %
Taux de
chômage
V2064700
V2064701 V2064705
1,800
1,848
1,918
1,951
1,988
2,031
2,038
2,065
2,080
2,083
2,148
2,191
2,222
2,263
2,305
1,617
1,668
1,743
1,786
1,816
1,861
1,858
1,894
1,931
1,922
1,965
2,015
2,063
2,131
2,196
10.1
9.7
9.1
8.5
8.7
8.4
8.8
8.3
7.1
7.7
8.5
8.0
7.2
5.9
4.8
2004 S
O
N
D
18
16
13
11
1,208
1,201
1,206
1,203
1,080
1,077
1,077
1,079
10.6
10.3
10.7
10.3
4,034
4,050
4,066
4,035
3,696
3,699
3,704
3,688
8.4
8.6
8.9
8.6
6,762
6,790
6,802
6,816
6,323
6,341
6,337
6,342
6.5
6.6
6.8
6.9
2,977
2,969
2,975
2,975
2,829
2,825
2,834
2,839
5.0
4.9
4.7
4.6
2,226
2,235
2,224
2,233
2,076
2,080
2,078
2,093
6.7
7.0
6.6
6.2
2005 J
F
M
A
M
J
J
A
S
O
N
D
15
19
19
16
21
18
16
20
17
15
12
10
1,205
1,205
1,199
1,200
1,199
1,199
1,199
1,199
1,201
1,206
1,204
1,200
1,078
1,075
1,075
1,075
1,078
1,073
1,078
1,076
1,071
1,074
1,082
1,075
10.5
10.8
10.3
10.4
10.1
10.5
10.1
10.3
10.8
10.9
10.1
10.4
4,047
4,034
4,030
4,021
4,020
4,032
4,056
4,084
4,068
4,084
4,065
4,089
3,706
3,704
3,698
3,701
3,670
3,703
3,722
3,740
3,729
3,740
3,743
3,751
8.4
8.2
8.2
8.0
8.7
8.2
8.3
8.4
8.3
8.4
7.9
8.3
6,780
6,815
6,817
6,835
6,873
6,867
6,847
6,855
6,869
6,899
6,860
6,860
6,329
6,350
6,348
6,376
6,397
6,398
6,394
6,405
6,434
6,458
6,450
6,431
6.7
6.8
6.9
6.7
6.9
6.8
6.6
6.6
6.3
6.4
6.0
6.3
2,976
2,973
2,966
2,972
2,967
2,966
2,973
2,975
2,975
2,981
2,992
3,000
2,840
2,842
2,842
2,840
2,844
2,839
2,854
2,850
2,841
2,851
2,864
2,870
4.6
4.4
4.2
4.4
4.1
4.3
4.0
4.2
4.5
4.4
4.3
4.3
2,247
2,262
2,250
2,253
2,261
2,260
2,266
2,269
2,262
2,265
2,282
2,281
2,105
2,103
2,101
2,114
2,128
2,124
2,129
2,140
2,134
2,148
2,170
2,167
6.3
7.0
6.6
6.2
5.9
6.0
6.0
5.7
5.6
5.2
4.9
5.0
2006 J
F
M
A
M
J
J
A
S
O
N
D
21
18
18
15
20
17
15
19
16
14
11
9
1,202
1,209
1,206
1,212
1,205
1,195
1,192
1,193
1,191
1,196
1,196
1,200
1,080
1,085
1,083
1,089
1,088
1,079
1,073
1,072
1,076
1,082
1,085
1,087
10.1
10.3
10.2
10.1
9.7
9.7
10.0
10.1
9.7
9.5
9.3
9.4
4,090
4,084
4,099
4,067
4,085
4,096
4,102
4,092
4,105
4,102
4,109
4,096
3,745
3,749
3,755
3,731
3,764
3,770
3,771
3,768
3,777
3,785
3,783
3,789
8.4
8.2
8.4
8.3
7.9
8.0
8.1
7.9
8.0
7.7
7.9
7.5
6,899
6,862
6,892
6,914
6,930
6,931
6,964
6,939
6,946
6,930
6,951
6,969
6,453
6,435
6,467
6,484
6,517
6,514
6,510
6,495
6,489
6,491
6,509
6,547
6.5
6.2
6.2
6.2
6.0
6.0
6.5
6.4
6.6
6.3
6.4
6.1
3,002
3,021
3,028
3,045
3,069
3,064
3,070
3,096
3,085
3,095
3,111
3,111
2,883
2,907
2,912
2,924
2,952
2,948
2,948
2,960
2,968
2,991
3,000
2,999
4.0
3.8
3.8
4.0
3.8
3.8
4.0
4.4
3.8
3.4
3.6
3.6
2,283
2,283
2,290
2,295
2,301
2,290
2,306
2,308
2,315
2,325
2,326
2,341
2,169
2,176
2,187
2,191
2,192
2,191
2,196
2,197
2,203
2,215
2,210
2,219
5.0
4.7
4.5
4.5
4.7
4.3
4.8
4.8
4.8
4.7
5.0
5.2
2007 J
F
M
A
M
J
J
A
S
20
17
17
21
19
16
21
18
15
1,210
1,206
1,207
1,211
1,205
1,203
1,200
1,207
1,207
1,092
1,099
1,096
1,103
1,095
1,096
1,087
1,091
1,094
9.8
8.9
9.2
8.9
9.1
8.9
9.4
9.6
9.4
4,120
4,122
4,144
4,139
4,134
4,145
4,144
4,153
4,149
3,804
3,799
3,828
3,839
3,837
3,859
3,859
3,860
3,864
7.7
7.8
7.6
7.2
7.2
6.9
6.9
7.0
6.9
7,001
7,003
7,030
7,023
7,012
7,033
7,050
7,044
7,058
6,554
6,560
6,573
6,556
6,568
6,573
6,585
6,594
6,624
6.4
6.3
6.5
6.6
6.3
6.5
6.6
6.4
6.2
3,144
3,149
3,154
3,164
3,173
3,178
3,180
3,185
3,194
3,028
3,033
3,037
3,046
3,040
3,049
3,061
3,061
3,075
3.7
3.7
3.7
3.7
4.2
4.1
3.7
3.9
3.7
2,352
2,347
2,357
2,354
2,362
2,365
2,355
2,360
2,370
2,250
2,253
2,265
2,249
2,263
2,260
2,258
2,266
2,267
4.3
4.0
3.9
4.4
4.2
4.4
4.1
4.0
4.3
H7
Residential construction
Construction résidentielle
Year
and
month
Année
ou
mois
Seasonally adjusted, annual rates
Thousands of units
Starts
Total
Total
S 101
En milliers d’unités
Données désaisonnalisées, chiffres annuels
Not seasonally adjusted Données non désaisonnalisées
Mises en chantier
Vacancies at end of period
Logements inoccupés
en fin de période
Urban centres
Centres urbains
Single detached
dwellings
Maisons
unifamiliales
Multiple
dwellings
Habitations
multifamiliales
Total
Total
Atlantic
provinces
Provinces de
l’Atlantique
Quebec
Québec
Ontario
Ontario
Prairie
provinces
Provinces
des Prairies
British
Columbia
ColombieBritannique
Single-family
and duplex
Maisons
unifamiliales
et duplex
Apartment
and row
Appartements
et maisons
en rangée
AH00001
AH00006
AH00008
AH00010
AH00014
BV00001
CE00001
AP00002
AP00008
AP00001
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
156.1
167.7
155.4
153.4
112.6
123.4
148.2
138.3
149.5
152.9
163.1
205.7
219.5
232.7
224.0
228.4
66.0
70.8
64.4
67.3
46.0
58.3
72.7
68.3
72.8
74.4
78.2
103.1
100.3
103.9
94.0
94.1
64.1
69.4
65.6
60.1
43.5
43.5
50.5
48.5
54.3
56.7
64.1
76.1
91.6
100.5
99.5
100.9
130.1
140.1
130.0
127.3
89.5
101.8
123.2
116.8
127.1
131.1
142.3
179.1
191.9
204.4
193.5
195.0
7.1
7.0
6.9
7.0
5.4
6.0
5.8
5.0
6.0
6.5
6.5
8.4
9.0
8.7
8.2
8.2
37.1
31.1
27.9
27.2
15.6
15.9
19.6
18.3
19.5
19.9
21.9
33.5
39.9
46.7
41.3
39.5
46.1
48.7
38.8
41.6
31.9
39.5
50.0
50.1
62.9
67.4
70.3
79.6
80.9
79.9
73.2
67.8
12.1
18.7
18.2
16.9
13.0
15.6
22.6
25.7
24.5
24.9
27.9
37.2
37.4
38.2
39.7
47.0
27.6
34.6
38.2
34.6
23.6
24.7
25.2
17.6
14.2
12.4
15.7
20.3
24.7
30.9
31.1
32.6
7.6
7.2
8.8
9.0
7.9
6.4
6.4
6.9
6.3
6.3
5.3
4.8
5.1
5.8
5.1
5.8
13.8
12.3
11.1
11.3
12.0
7.9
7.3
8.2
7.9
7.3
5.2
5.5
6.3
8.6
8.6
9.6
2004 S
O
N
D
235.9
229.0
240.1
229.7
104.7
104.9
101.2
99.4
97.2
95.0
109.8
101.2
201.9
199.9
211.0
200.6
10.4
7.9
7.7
9.6
40.2
46.2
49.4
46.9
82.6
81.5
76.6
71.7
38.6
40.3
44.5
40.3
30.1
24.0
32.8
32.1
5.1
5.4
5.8
5.8
6.9
7.9
8.3
8.6
2005 J
F
M
A
M
J
J
A
S
O
N
D
199.8
214.8
212.8
240.1
224.2
233.6
243.8
209.8
234.7
212.0
227.4
234.7
89.2
91.0
93.0
99.7
97.2
96.8
91.4
86.2
95.6
91.5
94.9
99.5
82.1
95.3
91.3
106.7
93.3
103.1
121.8
93.0
108.5
87.4
99.4
102.1
171.3
186.3
184.3
206.4
190.5
199.9
213.2
179.2
204.1
178.9
194.3
201.6
7.0
7.8
7.1
9.0
10.2
7.1
7.8
9.6
7.5
10.1
7.9
7.3
41.3
42.1
35.1
47.8
35.7
40.2
48.3
36.7
47.6
39.7
39.5
39.4
64.0
72.9
71.2
81.0
66.9
88.7
87.9
61.5
67.1
54.8
75.9
79.3
32.3
35.3
39.5
41.5
44.7
35.2
37.3
38.9
46.9
40.8
41.1
40.6
26.7
28.2
31.4
27.1
33.0
28.7
31.9
32.5
35.0
33.5
29.9
35.0
5.6
5.7
5.7
5.5
5.5
5.3
5.1
4.9
4.9
5.1
5.1
5.1
8.5
8.6
9.3
9.5
9.3
9.0
9.5
9.5
8.9
8.4
8.7
8.6
2006 J
F
M
A
M
J
J
A
S
O
N
D
246.8
238.1
247.4
222.9
223.3
237.0
236.0
214.7
207.9
224.9
229.1
212.6
112.5
106.1
96.2
93.0
91.4
92.2
92.0
93.7
94.3
92.7
89.4
86.9
103.2
100.9
120.1
95.4
97.4
110.3
111.8
88.8
81.4
101.1
108.6
94.6
215.7
207.0
216.3
188.4
188.8
202.5
203.8
182.5
175.7
193.8
198.0
181.5
13.1
10.5
8.7
8.3
7.6
8.7
8.8
7.1
7.8
6.8
8.4
6.9
41.6
38.2
46.1
35.9
37.1
37.0
33.7
40.5
36.5
46.1
40.8
40.2
87.8
73.7
69.5
63.8
70.3
72.6
74.6
61.8
58.8
65.0
63.3
61.1
41.6
46.7
54.1
44.5
47.6
53.1
49.1
43.9
43.0
42.2
54.6
43.4
31.6
37.9
37.9
35.9
26.2
31.1
37.6
29.2
29.6
33.7
30.9
29.9
5.0
4.9
4.9
4.9
5.2
5.0
4.9
5.0
5.1
5.6
5.8
5.8
8.0
8.3
8.5
8.3
8.3
8.0
8.1
7.9
7.9
8.3
9.1
9.6
2007 J
F
M
A
M
J
J
A
S
253.3
199.3
214.0
218.8
235.2
225.3
222.1R
232.7R
278.2
125.5
82.6
92.6
97.8
112.3
100.5
95.1R
104.5R
154.1
217.2
163.2
177.9
186.2
202.6
192.7
188.3R
198.9R
244.4
9.1
8.9
6.5
6.5
7.4
7.9
8.4R
9.9R
10.2
41.3
35.5
39.6
40.0
41.4
46.7
42.5R
42.2R
61.6
79.4
51.1
50.8
57.6
70.3
56.5
60.8 R
63.2 R
78.1
52.9
39.5
49.5
51.1
50.0
47.1
44.5R
49.5R
55.0
34.5
28.2
31.5
31.0
33.5
34.5
32.1R
34.1R
39.5
6.0
6.1
6.1
6.1
6.1
5.6
5.2
5.2
9.1
8.5
8.2
7.5
7.9
8.3
8.6
8.7
91.7
80.6
85.3
88.4
90.3
92.2
93.2R
94.4R
90.3
Source: CHMOS - Canadian Housing Markets Online Service - The Conference Board of Canada
Source : SD-MLoC - Service en direct-Marchés du logement canadiens - Le Conference Board du Canada
H8
Consumer price index
Indice des prix à la consommation
Year
and
month
Année
ou
mois
All
items
Indice
global
2002 = 100, seasonally adjusted
All items
excluding
the effect
of indirect
taxes
Indice
global
hors
effet des
impôts
indirects
S 102
2002 = 100, données désaisonnalisées
Total
excluding
eight of the most
volatile components
Indice global hors
huit des composantes
les plus volatiles
Total excluding
eight of the most
volatile components
and the effect of
changes in indirect
taxes (Core CPI)
Indice global hors
huit des composantes
les plus volatiles
et l’effet des
modifications des
impôts indirects
(indice de référence)
Food
Alimentation
Total
energy
(unadjusted)
Produits
énergétiques
(données
non
désaisonnalisées)
Total
excluding
food and
energy
Indice
global hors
alimentation
et énergie
Total
excluding
food, energy,
and the effect of
indirect taxes
Indice global
hors alimentation, énergie
et effet
des impôts
indirects
V41690914 V41755377
V41690925
V41690926
V41690915
V41691239
V41690924
V41755378
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
84.0
85.6
85.7
87.6
88.9
90.4
91.3
92.9
95.4
97.8
100.0
102.8
104.7
107.0
109.1
83.8
85.2
86.4
88.3
89.6
91.0
91.8
93.4
95.9
98.2
100.0
102.6
104.4
106.7
109.1
83.3
85.2
86.8
88.7
90.2
91.9
93.2
94.5
95.7
97.7
100.0
102.2
103.8
105.5
107.2
83.6
85.3
86.9
88.8
90.3
92.0
93.2
94.5
95.7
97.7
100.0
102.2
103.8
105.5
107.5
83.1
84.5
84.9
86.9
88.0
89.4
90.9
92.0
93.3
97.4
100.0
101.7
103.8
106.4
108.9
77.2
78.1
78.6
79.6
81.9
83.9
80.5
85.0
98.8
102.0
100.0
107.9
115.2
126.3
132.8
85.1
86.8
86.9
88.8
90.1
91.5
92.7
94.0
95.5
97.3
100.0
102.5
103.9
105.3
106.9
2004 A
S
O
N
D
104.7
104.8
105.2
105.7
105.8
104.4
104.5
104.9
105.4
105.5
103.9
104.1
104.2
104.5
104.7
103.8
104.0
104.2
104.5
104.7
104.3
104.7
105.3
105.6
105.6
117.6
117.0
119.5
117.1
113.6
2005 J
F
M
A
M
J
J
A
S
O
N
D
105.6
105.8
106.1
106.5
106.4
106.7
107.0
107.4
108.3
107.9
107.9
108.0
105.3
105.5
105.8
106.2
106.1
106.4
106.7
107.1
108.0
107.6
107.6
107.7
104.7
104.9
105.1
105.2
105.2
105.4
105.4
105.7
105.8
106.0
106.2
106.3
104.8
104.9
105.1
105.2
105.3
105.4
105.4
105.7
105.8
105.9
106.2
106.3
105.0
105.1
105.5
106.2
106.4
106.5
106.5
107.0
106.9
107.2
107.1
107.2
2006 J
F
M
A
M
J
J
A
S
O
N
D
108.5
108.3
108.6
109.1
109.4
109.4
109.4
109.4
109.1
109.0
109.4
109.7
108.2
108.0
108.3
108.8
109.1
109.1
109.6
109.6
109.3
109.2
109.6
109.9
106.5
106.7
106.9
106.9
107.2
107.2
107.0
107.3
107.7
107.8
107.8
108.0
106.5
106.6
106.8
106.9
107.3
107.3
107.6
107.8
108.2
108.4
108.4
108.5
2007 J
F
M
A
M
J
J
A
110.0
110.6
111.1
111.3
111.6
111.6
111.5R
111.4
110.3
110.9
111.4
111.5
111.8
111.8
111.7R
111.6
108.2
108.5
108.7
109.0
109.1
109.3
109.5
109.6
108.8
109.1
109.3
109.6
109.7
109.9
110.1
110.2
Goods
Biens
Total
Total
Nondurables
Biens
non
durables
Semidurables
Biens
semidurables
Durables
Biens
durables
84.7
86.2
87.6
89.6
90.9
92.3
93.4
94.7
96.2
97.9
100.0
102.3
103.5
104.8
106.8
86.4
87.8
86.8
88.4
89.9
91.2
91.4
93.1
96.0
98.4
100.0
101.9
103.4
105.8
107.1
83.8
85.2
81.6
82.9
84.4
86.0
86.1
88.4
93.3
97.4
100.0
104.3
107.9
112.6
115.9
92.5
93.4
94.2
94.9
95.4
97.0
97.7
99.2
99.6
100.3
100.0
98.6
98.2
97.7
96.2
90.4
92.5
96.0
99.0
100.8
101.6
101.5
101.5
100.8
100.1
100.0
99.2
97.5
96.9
96.2
103.8
104.1
104.2
104.4
104.6
103.4
103.7
103.8
104.0
104.2
103.2
103.4
104.1
104.6
104.4
108.0
108.4
109.6
110.2
109.7
97.6
97.7
98.4
97.8
97.8
97.1
97.0
96.4
97.3
97.9
115.0
117.5
121.0
124.9
122.5
124.1
128.3
132.2
142.1
135.6
127.4
125.2
104.7
104.8
104.9
104.9
105.0
105.1
105.1
105.4
105.6
105.6
105.9
106.0
104.3
104.4
104.5
104.5
104.6
104.7
104.7
105.0
105.2
105.2
105.5
105.6
103.9
104.4
105.0
105.2
104.7
105.1
105.4
106.4
108.3
107.3
106.7
106.7
109.1
110.1
111.1
111.9
111.1
111.6
112.5
113.7
116.9
115.3
114.2
114.1
97.5
98.2
98.7
97.8
97.9
97.9
97.8
97.7
98.1
97.4
96.4
97.5
97.3
97.0
96.8
96.4
96.5
96.7
96.4
97.1
97.0
97.0
97.5
97.5
108.1
108.2
108.1
108.0
108.2
108.5
108.7
109.2
109.8
110.1
110.2
109.8
132.7
127.1
130.0
138.9
139.8
138.4
142.0
141.7
128.8
123.8
123.8
127.1
106.1
106.2
106.4
106.6
106.8
106.8
106.6
106.9
107.2
107.4
107.4
107.6
105.7
105.8
106.0
106.2
106.4
106.4
106.8
107.1
107.4
107.6
107.6
107.8
107.7
106.8
107.0
107.7
107.7
107.5
107.7
107.9
106.5
106.0
106.5
106.8
115.9
114.7
115.1
116.6
116.8
116.5
117.3
117.5
114.8
113.8
115.2
116.3
96.9
96.4
96.7
96.3
96.7
96.1
95.8
96.1
95.9
95.8
96.0
95.1
97.3
97.3
97.1
96.8
96.4
96.1
95.8
95.8
95.9
96.1
94.9
95.2
110.6
112.5
112.2
112.2
112.2
112.0
111.9
111.8
125.2
127.1
135.9
139.1
142.0
140.1
139.6
136.4
107.9
108.1
108.3
108.7
108.8
109.1
109.2
109.3
108.1
108.3
108.5
108.9
109.0
109.3
109.4
109.5
106.7
107.8
108.6
108.7
108.9
108.5
108.2
107.5
115.4
117.6
119.2
119.0
119.6
119.1
118.3
117.4
96.1
95.6
95.3
97.4
96.2
95.1
96.6
96.1
95.3
95.5
95.4
95.3
95.4
95.6
95.3
94.8
S 103
Goods
excluding
food and
energy
Biens hors
alimentation
et énergie
Services
Services
Year
and
month
Année
ou
mois
Total
Total
Shelter
Logement
Services
excluding
shelter
services
Services,
logement
exclu
90.5
92.0
90.3
91.8
93.2
94.4
95.2
96.2
96.5
97.6
100.0
100.7
100.4
100.5
100.1
81.4
83.1
84.5
86.7
88.0
89.5
91.1
92.6
94.8
97.1
100.0
103.6
105.9
108.2
111.1
90.3
91.2
91.3
92.6
92.6
92.4
92.8
93.8
95.9
98.2
100.0
102.6
105.1
107.9
111.5
74.6
76.8
79.1
81.9
84.2
87.2
89.7
91.6
93.9
96.3
100.0
104.4
106.5
108.5
110.8
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
100.0
100.2
100.0
100.3
100.6
106.1
106.4
106.6
106.9
107.1
105.4
105.8
106.2
106.4
106.6
106.6
106.8
107.0
107.3
107.5
2004A
S
O
N
D
100.5
100.6
100.6
100.2
100.1
100.3
100.1
100.6
100.8
100.6
100.7
100.7
107.2
107.4
107.6
107.7
107.9
108.2
108.3
108.4
108.6
108.8
109.1
109.2
106.6
106.9
107.2
107.4
107.7
107.9
108.0
108.0
108.3
108.5
108.9
109.0
107.7
107.8
107.9
108.0
108.1
108.4
108.6
108.7
108.8
109.1
109.3
109.5
2005J
F
M
A
M
J
J
A
S
O
N
D
100.8
100.6
100.6
100.4
100.4
99.9
99.4
99.7
100.0
100.1
99.7
99.5
109.5
109.7
110.1
110.4
110.9
110.9
111.0
111.3
111.8
112.1
112.4
112.6
109.5
109.7
110.2
110.5
110.9
111.1
111.5
111.9
112.5
112.9
113.2
113.6
109.5
109.8
110.0
110.4
110.9
110.8
110.6
110.8
111.2
111.5
111.8
111.9
2006J
F
M
A
M
J
J
A
S
O
N
D
100.1
100.1
99.8
100.2
99.9
99.8
99.9
99.7
112.8
113.2
113.6
114.0
114.4
114.6
115.1
115.5
113.8
114.2
114.5
114.9
115.2
115.6
116.1
116.7
112.1
112.5
112.8
113.3
113.7
113.8
114.3
114.5
2007J
F
M
A
M
J
J
A
H9
Other prices and costs
Autres prix et coûts
Year,
month
and
week
ending
Wednesday
Année,
mois ou
semaine
se terminant
le mercredi
indiqué
Commodity price index 1982 - 90 = 100, U.S. dollar terms
Indice des prix des produits de base; 1982-1990 = 100, en dollars É.-U.
Not seasonally adjusted
Total
Total
Total
excluding
energy
Total,
énergie
exclue
S 104
Données non désaisonnalisées
Energy
Énergie
Food
Alimentation
Industrial
materials
Matières
industrielles
Wage settlements, excluding COLA
compound average annual
increase in base rates (%)
Accords salariaux : Hausse
annuelle moyenne composée des
taux de base (sans IVC), en %
Total
Total
Public
sector
Secteur
public
Private
sector
Secteur
privé
V4327082
V4327238
V4327226
Average
weekly
earnings
(including
overtime)
in dollars
Gains hebdomadaires
moyens
(heures
supplémentaires
comprises)
en dollars
Average
hourly
earnings
(excluding
overtime)
in dollars
Gains horaires
moyens
(heures
supplémentaires
non comprises)
en dollars
V36382 V36383
V36387 V36388
V36384
V36389
V36385
V36390
V36386
V36391
1998
1999
2000
2001
2002
2003
2004
2005
2006
90.0
96.0
113.7
107.8
101.4
121.8
146.8
180.7
193.2
103.6
105.2
108.8
101.3
94.7
103.0
125.0
129.9
153.4
64.6
78.9
122.9
118.8
112.5
153.4
183.3
266.5
260.0
92.7
88.3
93.9
96.3
94.5
101.8
114.8
116.3
119.3
108.0
112.0
114.8
103.9
95.1
103.9
129.9
136.3
168.7
1.6
2.0
2.5
3.2
2.8
2.5
1.7
2.2
2.5
2.0
2.5
3.4
2.9
2.9
1.3
2.2
2.6
1.6
2.2
2.3
3.0
2.1
1.0
2.2
2.4
2.1
632.93
640.66
655.84
665.29
679.27
688.28
702.82
725.34
747.01
18.55
18.76
19.10
19.27
19.64
19.88
20.29
21.08
21.64
102.7
103.9
106.0
108.1
110.6
112.7
115.8
119.4
122.7
2005 S
O
N
D
208.0
210.3
190.7
207.5
128.1
128.4
130.6
134.9
343.4
349.2
292.3
330.3
115.2
116.2
116.5
116.0
134.2
134.1
137.2
143.6
2.9
2.9
2.8
1.6
1.6
1.8
735.37
733.94
734.90
738.80
21.16
21.24
21.26
21.60
119.9
120.5
120.8
121.6
2006 J
F
M
A
M
J
J
A
S
O
N
D
193.6
185.5
183.4
195.7
198.1
194.6
200.8
204.2
185.4
186.1
195.3
195.0
138.7
140.4
140.4
149.5
159.0
153.7
159.0
158.4
158.6
159.6
161.3
162.5
286.4
261.7
256.0
273.6
263.9
263.3
271.4
281.4
230.2
230.5
252.5
249.6
115.8
116.4
114.5
116.0
119.8
124.7
124.3
118.8
119.7
120.3
121.0
120.4
149.1
151.3
152.0
164.5
176.5
166.8
174.5
176.1
176.0
177.2
179.3
181.3
2.2
2.1
2.5
2.7
2.7
2.2
2.6
2.7
2.5
2.1
2.9
1.4
738.50
741.20
742.51
743.82
744.15
746.14
744.33
747.16
749.35
752.79
752.84
761.27
21.56
21.61
21.50
21.56
21.28
21.55
21.41
21.54
21.70
21.82
21.88
22.22
121.7
122.2
121.3
121.8
121.4
122.9
122.4
122.5
123.0
123.7
123.8
125.7
2007 J
F
M
A
M
J
J
A
S
186.8
200.6
200.0
209.2
210.1
208.7
207.6
202.1
208.5
161.3
165.4
169.2
176.0
177.7
172.3
170.7
164.0
165.8
229.5
259.8
251.6
264.8
264.2
269.9
269.7
266.1
280.5
118.7
125.6
128.9
132.7
134.3
136.6
138.6
139.8
146.7
180.2
183.1
187.1
195.4
197.1
188.3
185.2
175.0
174.6
3.1
3.3
2.7
3.1
3.3
3.1
760.96
763.57
763.77
765.73
766.52
773.10R
771.86
22.25
22.45
22.37
22.42
22.41
22.55R
22.51
125.2
126.2
125.6
126.4
127.0
127.6R
127.8
2007 J
27
206.4
170.5
266.7
138.3
185.0
J
4
11
18
25
206.1
207.5
207.7
208.1
170.8
171.6
170.3
171.3
265.2
267.9
270.5
269.9
137.6
139.6
138.3
137.9
185.8
186.0
184.7
186.3
A
1
8
15
22
29
208.2
205.5
205.1
199.9
197.6
168.6
167.4
164.0
161.2
162.7
274.7
269.5
274.4
264.9
256.2
139.2
141.4
139.6
138.6
139.4
182.0
179.2
175.1
171.5
173.3
S
5
12
19
26
200.2R
204.1
210.1
213.6
163.7R
162.9
164.9
168.7
261.4
273.3
286.3
289.3
141.5
145.3
146.1
148.5
173.9R
171.1
173.6
178.1
O
3
214.8
170.3
289.8
153.0
178.4
V1558664
Fixed weight index of
average hourly earnings
Indice à pondération
fixe des gains horaires
moyens
V1606080
Exchange rates
Cours du change
I1
Year, month,
week ending
Année, mois
ou semaine
se terminant
à la date
indiquée
U.S. dollar
S 106
Dollar É.-U.
Canadian dollars per unit
En dollars canadiens par unité
Spot rates
Cours du comptant
High
Haut
Low
Bas
Closing
Clôture
Average
noon
Moyenne
à midi
Canadian cents per unit
En cents canadiens
par unité
3-month forward spread
Report ou déport (–)
à 3 mois
Closing
Clôture
Canadian dollar
in U.S. funds
Dollar canadien
exprimé en dollar É.-U.
Spot rates
Cours du comptant
Closing
Clôture
Average
noon
Moyenne
à midi
Average
noon
Moyenne
à midi
Other currencies, averages of noon spot rates
Autres monnaies, moyenne des cours
du comptant à midi
SDR
DTS
Canadian dollars per unit
En dollars canadiens par unité
Average of
daily rate
Moyenne des cours
journaliers
EMU
Euro**
Euro
(UEM)**
British
pound
Livre
sterling
French
franc**
Franc
français**
V37453
Canadian-dollar
effective
exchange
rate index
(CERI)
1992=100*
Indice de
taux de
change
effectif
du dollar
canadien
(TCEC)
1992=100*
German
mark**
Mark
allemand**
Swiss
franc
Franc
suisse
Japanese
yen
Yen
japonais
V37454
V37429
V37456
0.8444
0.9591
0.9068
0.7994
0.8450
0.8102
0.7007
0.7091
1.0024
1.1633
1.1051
0.9548
1.0258
0.9901
0.8793
0.9184
1.0112
1.0418
1.0473
0.9746
0.9050
0.013393
0.014697
0.012550
0.011454
0.011390
0.013109
0.013779
0.012755
0.012554
0.012088
0.012035
0.011035
0.009753
1.95753
2.08259
1.97975
1.90502
2.01346
2.03171
1.95821
1.97174
2.03308
1.96092
1.92685
1.79090
1.66842
88.29
86.31
88.66
88.89
83.84
83.56
84.61
81.97
80.56
88.78
94.15
101.00
107.89
Canadian dollars
per unit
En dollars canadiens
par unité
V37433 V37434 V37432
V37426
V121742
V37430
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
1.4090
1.4267
1.3865
1.4399
1.5845
1.5475
1.5632
1.6052
1.6184
1.5777
1.4003
1.2734
1.1794
1.3085
1.3275
1.3287
1.3345
1.4040
1.4420
1.4318
1.4901
1.5028
1.2839
1.1746
1.1427
1.0948
1.4018
1.3640
1.3706
1.4305
1.5333
1.4433
1.4995
1.5928
1.5776
1.2965
1.2020
1.1630
1.1654
1.3659
1.3726
1.3636
1.3844
1.4831
1.4858
1.4852
1.5484
1.5704
1.4015
1.3015
1.2116
1.1341
0.15
0.02
-0.79
-0.38
-0.04
-0.31
-0.26
0.08
0.57
0.51
0.03
-0.30
-0.31
0.27
0.36
-0.35
-0.75
-0.18
-0.17
-0.32
0.10
0.34
0.64
0.25
-0.22
-0.29
0.7134
0.7331
0.7296
0.6991
0.6522
0.6929
0.6669
0.6278
0.6339
0.7713
0.8319
0.8598
0.8581
0.7321
0.7285
0.7334
0.7223
0.6743
0.6730
0.6733
0.6458
0.6368
0.7135
0.7683
0.8254
0.8818
1.5847
1.3704
1.3868
1.4832
1.5826
1.6169
1.5090
1.4237
2.0929
2.1671
2.1283
2.2682
2.4587
2.4038
2.2499
2.2298
2.3582
2.2883
2.3842
2.2067
2.0886
2005 O
N
D
1.1923
1.1977
1.1754
1.1629 1.1812
1.1642 1.1669
1.1427 1.1630
1.1776
1.1811
1.1610
-0.32
-0.30
-0.30
-0.31
-0.31
-0.30
0.8466
0.8570
0.8598
0.8492
0.8467
0.8613
1.4156
1.3922
1.3771
2.0784
2.0482
2.0277
0.9143
0.9007
0.8897
0.010251
0.009969
0.009797
1.70176
1.68576
1.66157
104.39
104.42
106.11
2006 J
F
M
A
M
J
J
A
S
O
N
D
1.1794
1.1614
1.1747
1.1770
1.1275
1.1290
1.1459
1.1373
1.1289
1.1415
1.1495
1.1670
1.1372
1.1352
1.1299
1.1162
1.0948
1.0963
1.1052
1.1040
1.1035
1.1146
1.1256
1.1380
1.1390
1.1366
1.1680
1.1180
1.1015
1.1162
1.1316
1.1053
1.1177
1.1231
1.1422
1.1654
1.1573
1.1489
1.1574
1.1438
1.1095
1.1138
1.1292
1.1183
1.1162
1.1286
1.1362
1.1530
-0.28
-0.27
-0.31
-0.27
-0.26
-0.30
-0.33
-0.30
-0.31
-0.31
-0.31
-0.31
-0.29
-0.28
-0.30
-0.29
-0.21
-0.29
-0.33
-0.32
-0.30
-0.31
-0.31
-0.30
0.8780
0.8798
0.8562
0.8945
0.9079
0.8959
0.8837
0.9047
0.8947
0.8904
0.8755
0.8581
0.8641
0.8704
0.8640
0.8743
0.9013
0.8978
0.8856
0.8942
0.8959
0.8861
0.8801
0.8673
1.4032
1.3716
1.3921
1.4046
1.4159
1.4101
1.4318
1.4321
1.4199
1.4239
1.4650
1.5230
2.0464
2.0079
2.0185
2.0229
2.0717
2.0531
2.0829
2.1170
2.1026
2.1176
2.1737
2.2635
0.9059
0.8801
0.8868
0.8921
0.9094
0.9040
0.9124
0.9075
0.8961
0.8956
0.9204
0.9534
0.010025
0.009746
0.009869
0.009777
0.009927
0.009717
0.009756
0.009642
0.009522
0.009515
0.009692
0.009835
1.67556
1.64935
1.66557
1.66037
1.65177
1.64625
1.66832
1.66261
1.65324
1.66301
1.69276
1.73893
106.05
107.11
106.32
107.38
109.85
109.84
108.31
109.05
109.51
108.39
107.33
105.36
2007 J
F
M
A
M
J
J
A
S
1.1848
1.1878
1.1817
1.1600
1.1163
1.0760
1.0701
1.0830
1.0583
1.1630
1.1565
1.1500
1.1048
1.0666
1.0536
1.0341
1.0462
0.9913
1.1770
1.1698
1.1546
1.1101
1.0696
1.0654
1.0668
1.0562
0.9948
1.1759
1.1707
1.1682
1.1343
1.0949
1.0652
1.0503
1.0582
1.0254
-0.26
-0.31
-0.31
-0.30
-0.27
-0.22
-0.19
-0.16
-0.09
-0.31
-0.31
-0.31
-0.30
-0.29
-0.24
-0.19
-0.17
-0.10
0.8496
0.8548
0.8661
0.9008
0.9349
0.9386
0.9374
0.9468
1.0052
0.8504
0.8542
0.8560
0.8816
0.9133
0.9388
0.9521
0.9450
0.9752
1.5275
1.5315
1.5473
1.5333
1.4801
1.4295
1.4417
1.4410
1.4273
2.3035
2.2927
2.2748
2.2557
2.1731
2.1161
2.1377
2.1270
2.0696
0.9458
0.9448
0.9592
0.9359
0.8967
0.8639
0.8701
0.8793
0.8659
0.009763
0.009718
0.009963
0.009538
0.009066
0.008682
0.008651
0.009072
0.008916
1.75767
1.75262
1.76114
1.72421
1.66181
1.60981
1.60651
1.61809
1.58335
103.69
104.06
104.06
106.88
110.85
114.05
115.19
114.36
117.51
0.2469
0.2754
0.2667
0.2375
0.2520
0.2416
0.2089
0.2114
V41498903
2007 A
1
8
15
22
29
1.0701
1.0586
1.0793
1.0830
1.0653
1.0481
1.0462
1.0485
1.0535
1.0475
1.0575
1.0487
1.0778
1.0636
1.0605
1.0601
1.0527
1.0598
1.0639
1.0563
-0.18
-0.18
-0.18
-0.16
-0.17
-0.18
-0.18
-0.18
-0.17
-0.15
0.9456
0.9536
0.9278
0.9402
0.9430
0.9433
0.9499
0.9436
0.9399
0.9467
1.4513
1.4483
1.4428
1.4335
1.4397
2.1559
2.1405
2.1309
2.1109
2.1234
0.8806
0.8792
0.8792
0.8808
0.8788
0.008924
0.008845
0.008974
0.009304
0.009135
1.62299
1.61370
1.61941
1.62134
1.61712
114.12
114.87
114.24
113.81
114.49
S
5
12
19
26
1.0650
1.0583
1.0378
1.0072
1.0481
1.0354
1.0122
0.9960
1.0535
1.0361
1.0152
1.0042
1.0534
1.0483
1.0262
1.0019
-0.16
-0.11
-0.05
-0.09
-0.16
-0.12
-0.08
-0.08
0.9492
0.9652
0.9850
0.9958
0.9493
0.9539
0.9745
0.9981
1.4368
1.4466
1.4246
1.4128
2.1240
2.1268
2.0569
2.0215
0.8735
0.8815
0.8637
0.8553
0.009100
0.009187
0.008884
0.008713
1.61251
1.61492
1.58290
1.55419
114.72
115.12
117.63
120.20
O
3
1.0045
0.9910 0.9984
0.9978
-0.10
-0.10
1.0016
1.0022
1.4144
2.0324
0.8509
0.008613
1.55275
120.64
* The CERI replaces the C-6 index as the Bank of Canada’s new measure of the value of the Canadian dollar
vis-à-vis the currencies of its most important trading partners (October 2006). For more information:
www.bankofcanada.ca/en/rates/ceri.html
** January 1, 2007, the Slovenia Tolar was replaced by the Euro.
* Le nouvel indice de taux de change effectif du dollar canadien (TCEC) remplace l’indice C-6 et devient ainsi
l’instrument dont se servira la Banque du Canada pour mesurer la valeur du dollar canadien par rapport aux
monnaies des principaux partenaires commerciaux du Canada (octobre 2006). Pour plus de renseignements :
www.banqueducanada.ca/fr/taux/ceri-f.html
** L’euro a remplacé le tolar slovène le 1er janvier 2007.
I2
Canada’s official international reserves
Réserves officielles de liquidités internationales du Canada
Millions of U.S. dollars, unless otherwise specified*
En millions de dollars É.-U., sauf indication contraire*
End
of period
En fin
de période
Convertible foreign
currencies
Monnaies étrangères
convertibles
U.S. dollars
Dollars É.-U.
Other
Autres
monnaies
V122397
V122398
Gold
Or
V122399
Special
Drawing
Rights
Droits de
tirage
spéciaux
S 107
Millions of SDRs
En millions de DTS
Reserve
Total
position
Total
in the
IMF
Position
de réserve
au FMI
Total in
millions
of SDRs
Total,
en millions
de DTS
Canada’s position in the International Monetary Fund
Position du Canada au Fonds monétaire international
in the Special Drawing Account
au Compte de tirage spécial
Cumulative
allocation
of SDRs
Allocations
de DTS
(chiffres
cumulatifs)
Transactions
in SDRs
Opérations
sur DTS
in the General Account
au Compte général
Total
holdings
of SDRs
Avoirs
en DTS
Canada’s
quota
Quotepart du
Canada
IMF
holdings
of Canadian
dollars
Avoirs du
FMI en
dollars
canadiens
Notes held
on outstanding
loans to
the IMF
Encours des
billets
représentatifs
de créances
sur le FMI
Reserve
position in
the IMF
Position
de réserve
au FMI
V122400
V122401
V122396
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
9,950.0
9,693.0
12,127.0
17,521.0
14,630.0
15,907.0
18,838.0
21,692.0
19,748.0
17,946.0
15,576.0
14,426.0
16,842.0
15,608.0
521.0
526.0
502.0
507.0
492.0
4,004.0
5,594.0
7,327.0
10,736.0
14,739.0
15,961.0
15,740.0
13,822.0
17,590.0
292.0
198.0
178.0
155.0
146.0
122.0
524.0
323.0
291.0
205.0
45.0
48.0
56.0
69.0
1,064.0
1,148.0
1,177.0
1,168.0
1,126.0
1,097.0
526.0
574.0
614.0
712.0
838.0
925.0
897.0
963.0
949.0
910.0
1,243.0
1,226.0
1,575.0
2,297.0
3,164.0
2,508.0
2,859.0
3,567.0
3,848.0
3,327.0
1,401.0
833.0
12,776.0
12,475.0
15,227.0
20,578.0
17,969.0
23,427.0
28,646.0
32,424.0
34,248.0
37,169.0
36,268.0
34,466.0
33,018.0
35,063.0
9,285.6
8,545.7
10,243.5
14,310.4
13,317.8
16,653.3
20,931.3
24,885.8
27,275.8
27,439.5
24,407.0
22,267.8
23,101.3
23,307.0
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
-6.0
7.1
12.5
33.1
55.0
0.2
-396.0
-338.7
-290.3
-253.3
-215.3
-181.9
-151.7
-139.0
773.3
786.4
791.8
812.4
834.3
779.5
383.3
440.6
489.0
526.0
564.0
597.4
627.6
640.3
4,320.3
4,320.3
4,320.3
4,320.3
4,320.3
4,320.3
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
3,630.4
3,696.8
3,484.2
3,467.5
3,153.0
2,891.9
4,063.9
4,444.3
4,091.9
3,735.8
3,779.9
4,219.6
5,388.9
5,815.8
2004 S
O
N
D
17,527.0
17,271.0
14,112.0
14,426.0
14,633.0
15,001.0
15,663.0
15,740.0
45.0
46.0
49.0
48.0
862.0
880.0
912.0
925.0
3,198.0
3,262.0
3,334.0
3,327.0
36,265.0
36,460.0
34,070.0
34,466.0
24,683.6
24,326.5
22,182.4
22,267.2
779.3
779.3
779.3
779.3
-192.3
-192.3
-185.8
-181.9
587.0
587.0
593.5
597.4
6,369.2
6,369.2
6,369.2
6,369.2
4,192.2
4,192.6
4,198.6
4,219.6
2,177.0
2,176.6
2,170.6
2,149.6
2005 J
F
M
A
M
J
J
A
S
O
N
D
15,138.0
15,947.0
17,080.0
16,419.0
16,785.0
17,303.0
16,241.0
16,878.0
16,725.0
16,909.0
16,646.0
16,842.0
15,246.0
15,434.0
15,043.0
15,045.0
14,483.0
14,196.0
14,050.0
14,354.0
13,824.0
14,214.0
14,566.0
13,822.0
46.0
47.0
47.0
47.0
45.0
48.0
47.0
47.0
52.0
51.0
54.0
56.0
905.0
925.0
916.0
916.0
904.0
893.0
890.0
907.0
900.0
898.0
894.0
897.0
3,255.0
3,208.0
3,164.0
3,176.0
2,817.0
2,484.0
2,101.0
2,113.0
2,098.0
2,142.0
2,039.0
1,401.0
34,590.0
35,561.0
36,250.0
35,603.0
35,034.0
34,924.0
33,329.0
34,299.0
33,599.0
34,214.0
34,199.0
33,018.0
22,749.2
23,212.3
23,993.4
23,976.2
23,752.7
24,054.7
22,956.0
23,495.0
23,180.4
23,664.4
24,013.8
23,101.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
-184.1
-175.2
-172.9
-175.2
-166.1
-166.1
-166.1
-158.2
-158.2
-158.2
-151.7
-151.7
595.2
604.1
606.4
604.1
613.2
613.2
613.2
621.1
621.1
621.1
627.6
627.6
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
4,228.2
4,275.2
4,275.2
4,275.2
4,459.2
4,663.9
4,921.8
4,921.8
4,921.8
4,887.4
4,937.4
5,388.9
2,141.0
2,094.0
2,094.0
2,094.0
1,910.0
1,705.3
1,447.4
1,447.4
1,447.4
1,481.8
1,431.8
980.3
2006 J
F
M
A
M
J
J
A
S
O
N
D
16,813.0
16,707.0
20,204.0
18,660.0
17,846.0
17,671.0
17,712.0
17,010.0
16,755.0
16,256.0
16,423.0
15,608.0
14,135.0
13,974.0
13,812.0
14,997.0
15,715.0
16,143.0
16,572.0
16,727.0
17,166.0
17,432.0
18,152.0
17,590.0
62.0
61.0
63.0
70.0
71.0
67.0
69.0
68.0
65.0
66.0
70.0
69.0
907.0
908.0
917.0
931.0
949.0
939.0
942.0
949.0
941.0
944.0
965.0
963.0
1,042.0
1,034.0
1,038.0
1,058.0
1,103.0
1,092.0
1,096.0
1,099.0
1,090.0
945.0
867.0
833.0
32,959.0
32,684.0
36,034.0
35,716.0
35,685.0
35,916.0
36,395.0
35,853.0
36,017.0
35,643.0
36,477.0
35,063.0
22,802.7
22,775.8
25,008.8
24,279.1
23,882.0
24,275.2
24,524.6
24,086.3
24,395.6
24,082.5
24,193.3
23,307.0
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
-151.7
-146.5
-143.0
-146.5
-144.3
-144.3
-144.3
-141.7
-141.7
-141.7
-139.0
-139.0
627.6
632.8
636.3
632.8
635.0
635.0
635.0
637.6
637.6
637.6
640.3
640.3
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
5,648.5
5,648.5
5,648.5
5,649.9
5,630.9
5,630.9
5,630.9
5,630.9
5,630.9
5,730.9
5,793.9
5,815.8
720.7
720.7
720.7
719.3
738.3
738.3
738.3
738.3
738.3
638.3
575.3
553.4
2007 J
F
M
A
M
J
J
A
S
16,679.0
16,771.0
19,548.0
19,982.0
20,088.0
19,487.0
20,067.0
19,989.0
19,452.0
17,379.0
17,781.0
17,991.0
18,435.0
18,271.0
18,186.0
18,494.0
18,594.0
19,777.0
71.0
72.0
72.0
74.0
72.0
71.0
73.0
73.0
81.0
954.0
966.0
976.0
978.0
972.0
974.0
984.0
985.0
1,001.0
825.0
720.0
722.0
714.0
693.0
695.0
685.0
660.0
671.0
35,908.0
36,310.0
39,309.0
40,183.0
40,096.0
39,413.0
40,303.0
40,301.0
40,982.0
24,096.9
24,130.7
26,029.2
26,363.7
26,503.4
26,005.4
26,320.8
26,295.3
26,327.0
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
779.3
-139.0
-137.5
-133.2
-137.5
-136.9
-136.9
-136.9
-136.6
-136.6
640.3
641.8
646.1
641.8
642.4
642.4
642.4
642.7
642.7
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
6,369.2
5,815.8
5,890.8
5,890.8
5,900.8
5,910.8
5,910.8
5,921.6
5,938.4
5,938.4
553.4
478.4
478.4
468.4
458.4
458.4
447.6
430.8
430.8
* Gold and foreign currency assets are now reported at their end-of-month market value. Prior to June 1999, gold was
reported at SDR35 per ounce, while foreign currency assets were reported on an accrual accounting basis.
204.5
689.9
623.5
836.1
852.8
1,167.3
1,632.9
2,305.3
1,924.9
2,277.3
2,633.4
2,589.3
2,149.6
980.3
553.4
* Les avoirs en or et en monnaies étrangères sont maintenant comptabilisés à leur valeur marchande en fin de mois. Avant
juin 1999, l’or était évalué sur la base de 35 DTS l’once, alors que les chiffres relatifs aux avoirs en monnaies étrangères
étaient calculés selon la méthode de comptabilité d’exercice.
J1
Year
and
quarter
Année
ou
trimestre
Canadian balance of international payments: Current account
Balance canadienne des paiements : Balance courante
S 108
Millions of dollars, seasonally adjusted at annual rates
En millions de dollars, données désaisonnalisées, chiffres annuels
Merchandise trade
Balance commerciale
Non-merchandise transactions
Exports
Exportations
Imports
Importations
Balance
Solde
Services
Services
Receipts
Recettes
Balance des invisibles
Investment income
Payments
Paiements
Total
Total
Of which:
Travel
Dont :
Voyages
Total
Total
Of which:
Travel
Dont :
Voyages
Balance
Solde
Interest
Intérêts
V114425
Revenus de placements
Receipts Recettes
Dividends,
reinvested
earnings
and other
Dividendes,
bénéfices
réinvestis
et autres
recettes
V114375+
V114379
Payments
Total
Total
Interest
Intérêts
V114373
V114407+
V114411
V114366
V114399
V114423
V114368
V114369
V114400
V114401
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
125,172
131,484
143,534
146,963
152,056
147,669
163,464
190,213
228,167
265,334
280,079
303,378
327,162
369,035
429,372
420,730
414,039
399,122
429,067
451,783
455,696
115,195
119,324
132,715
139,217
141,000
140,658
154,430
177,123
207,873
229,937
237,689
277,727
303,399
327,026
362,337
350,071
356,727
342,710
363,308
388,282
404,395
9,977
12,160
10,819
7,747
11,056
7,011
9,034
13,090
20,295
35,397
42,391
25,652
23,763
42,009
67,036
70,659
57,311
56,413
65,759
63,501
51,302
16,389
17,339
19,267
20,777
22,381
23,324
25,122
28,230
32,750
35,796
39,886
43,755
50,223
53,636
59,718
60,065
63,483
61,781
64,690
66,979
67,230
5,867
5,787
6,292
6,680
7,398
7,691
7,898
8,480
9,558
10,819
11,749
12,221
14,019
15,141
15,997
16,437
16,741
14,776
16,745
16,674
16,598
22,033
23,398
25,863
28,923
33,018
34,743
37,245
41,840
44,413
45,933
48,961
52,619
56,549
60,272
65,500
67,874
70,707
73,302
76,680
79,141
82,394
6,410
7,506
8,445
9,827
12,757
13,753
14,255
14,359
13,678
14,093
15,353
15,873
16,029
17,092
18,444
18,487
18,401
18,727
20,747
22,059
23,311
-5,644
-6,059
-6,597
-8,147
-10,637
-11,419
-12,123
-13,610
-11,663
-10,136
-9,076
-8,864
-6,325
-6,636
-5,782
-7,809
-7,224
-11,521
-11,990
-12,162
-15,165
502
604
563
829
1,226
1,230
1,007
948
1,444
1,525
1,432
1,657
1,754
1,850
2,768
2,523
2,567
2,303
3,168
4,698
7,568
10,662
11,099
15,699
15,074
16,355
13,590
12,763
12,839
19,656
24,373
24,743
31,595
30,584
31,055
33,986
23,467
27,936
26,950
35,001
43,514
54,030
11,165
11,703
16,262
15,902
17,581
14,820
13,770
13,787
21,100
25,898
26,176
33,252
32,338
32,905
36,755
25,990
30,502
29,253
38,169
48,213
61,599
13,966
15,208
16,847
18,532
20,526
22,212
24,161
26,511
28,224
30,536
29,383
29,342
30,845
30,905
29,535
29,724
29,901
27,463
26,289
24,870
23,790
2001 IV
395,620
336,860
58,760
59,020
15,932
67,720
17,212
-8,700
2,440
15,996
18,436
2002 I
II
III
IV
405,136
409,628
420,372
421,020
342,660
354,508
364,084
365,660
62,480
55,120
56,288
55,360
61,896
62,396
64,248
65,388
16,924
16,168
16,920
16,952
66,672
70,820
72,500
72,836
17,580
18,628
18,708
18,684
-4,776
-8,420
-8,252
-7,444
2,560
2,720
2,460
2,528
25,896
26,384
27,936
31,528
28,456
29,104
30,396
34,056
2003 I
II
III
IV
424,400
387,340
390,768
393,980
361,968
341,296
331,420
336,156
62,436
46,048
59,348
57,824
63,236
59,404
61,072
63,412
16,364
13,604
13,988
15,148
72,096
70,736
74,148
76,228
18,716
17,004
19,040
20,152
-8,860
-11,332
-13,076
-12,816
2,492
2,104
2,288
2,328
23,084
25,432
29,232
30,052
2004 I
II
III
IV
405,376
446,008
441,924
422,964
341,456
367,964
375,912
367,900
63,920
78,044
66,008
55,064
63,340
64,724
64,940
65,756
16,004
16,716
16,868
17,396
76,192
77,236
76,468
76,824
20,504
21,068
20,564
20,856
-12,852
-12,512
-11,528
-11,072
2,620
3,196
3,228
3,628
2005 I
II
III
IV
429,556
440,144
458,508
478,920
379,540
385,460
390,324
397,800
50,016
54,684
68,184
81,120
66,272
66,536
67,080
68,032
17,096
16,476
16,624
16,500
77,448
79,072
79,376
80,668
21,800
21,928
21,960
22,548
-11,176
-12,540
-12,296
-12,636
2006 I
II
III
IV
454,460
449,128
457,176
462,024
392,492
400,512
411,872
412,700
61,968
48,616
45,300
49,324
66,400
67,616
67,572
67,328
16,332
16,852
16,712
16,496
80,424
81,736
82,928
84,488
22,680
22,740
23,496
24,324
2007 I
II
477,460
476,116
419,028
411,096
58,436
65,024
68,272
68,148
16,424
16,764
84,532
83,864
23,856
23,672
Paiements
Dividends,
reinvested
earnings
and other
Dividendes,
bénéfices
réinvestis
et autres
paiements
Balance
Solde
Total
Total
V114405
V114430
16,663
19,226
20,918
21,630
19,680
12,550
10,743
14,107
18,765
26,554
26,188
32,791
31,120
35,613
40,328
35,597
30,898
31,821
36,180
45,866
49,655
30,629
34,434
37,764
40,162
40,206
34,761
34,903
40,619
46,990
57,089
55,571
62,133
61,965
66,518
69,863
65,320
60,799
59,284
62,468
70,735
73,446
-19,464
-22,731
-21,502
-24,260
-22,625
-19,941
-21,133
-26,832
-25,889
-31,191
-29,395
-28,882
-29,627
-33,613
-33,109
-39,330
-30,297
-30,031
-24,299
-22,522
-11,847
30,324
27,480
57,804
-39,368
29,560
29,600
30,140
30,304
27,672
25,060
32,052
38,808
57,232
54,660
62,192
69,112
-28,776
-25,556
-31,796
-35,060
25,576
27,536
31,520
32,380
28,584
27,628
27,336
26,304
34,848
31,284
31,032
30,120
63,432
58,912
58,368
56,424
-37,856
-31,376
-26,848
-24,044
33,196
35,376
34,580
36,852
35,816
38,572
37,808
40,480
26,344
26,592
26,500
25,720
32,588
42,876
36,984
32,272
58,932
69,468
63,484
57,992
-23,116
-30,896
-25,672
-17,512
4,096
4,088
4,936
5,672
39,036
43,728
44,360
46,932
43,132
47,816
49,296
52,604
25,064
25,392
24,812
24,212
41,016
48,332
47,240
46,876
66,080
73,724
72,052
71,088
-22,948
-25,908
-22,752
-18,480
-14,024
-14,120
-15,356
-17,160
6,240
7,512
8,064
8,456
49,328
49,780
57,928
59,084
55,568
57,292
65,992
67,540
23,196
23,252
23,956
24,756
43,116
51,788
49,080
54,636
66,312
75,040
73,036
79,392
-10,744
-17,748
-7,044
-11,852
-16,260
-15,712
9,648
9,740
54,592
54,240
64,240
63,980
24,956
24,376
55,448
56,116
80,404
80,492
-16,164
-16,512
S 109
Non-merchandise transactions Balance des invisibles
Transfers
Transferts
Receipts
Recettes
Payments
Paiements
Balance
Solde
Balance
on nonmerchandise
trade
Solde de la
balance des
invisibles
Current
account
balance
Solde de la
balance
courante
Year
and
quarter
Année
ou
trimestre
Total
Total
Of which:
Private
Dont :
Privé
Total
Total
Of which:
Private
Dont :
Privé
V114383
V114384
V114416
V114417
V114441
V114421V114423
V114421
2,596
2,210
2,729
2,638
2,954
2,905
3,100
3,346
3,584
3,951
4,897
5,029
5,054
5,644
6,116
6,968
6,890
6,743
7,155
8,176
9,682
914
990
1,052
1,095
1,228
1,391
1,524
1,697
1,885
1,986
2,054
2,073
2,237
2,258
2,361
2,438
2,507
2,587
2,513
2,697
2,680
2,979
3,386
3,777
3,789
3,883
4,185
4,237
4,088
4,056
4,120
4,217
4,333
4,228
4,834
4,992
5,384
6,902
6,955
7,574
9,051
10,394
1,015
1,061
1,208
1,336
1,276
1,398
1,457
1,522
1,607
1,710
1,896
2,108
2,109
2,515
2,777
2,939
4,333
4,030
4,529
5,172
6,913
-383
-1,176
-1,049
-1,151
-929
-1,280
-1,137
-742
-472
-169
680
697
826
810
1,124
1,584
-12
-212
-419
-875
-712
-25,491
-29,966
-29,147
-33,559
-34,191
-32,640
-34,394
-41,183
-38,025
-41,496
-37,791
-37,049
-35,126
-39,439
-37,767
-45,555
-37,533
-41,764
-36,708
-35,558
-27,724
-15,514
-17,806
-18,328
-25,812
-23,135
-25,629
-25,360
-28,093
-17,730
-6,099
4,600
-11,397
-11,363
2,570
29,269
25,104
19,778
14,649
29,051
27,943
23,578
7,116
2,424
5,580
3,032
1,536
-46,532
12,228
2001 IV
6,860
6,332
6,872
7,492
2,680
2,360
2,580
2,408
6,828
6,560
7,172
7,048
4,080
4,424
4,496
4,332
36
-228
-296
444
-33,520
-34,208
-40,348
-42,060
28,960
20,912
15,940
13,300
2002 I
II
III
IV
6,872
6,624
6,764
6,712
2,852
2,456
2,640
2,400
6,900
7,108
6,932
6,880
4,088
3,956
3,960
4,116
-24
-484
-168
-168
-46,744
-43,192
-40,092
-37,028
15,692
2,856
19,256
20,796
2003 I
II
III
IV
6,916
7,300
7,388
7,016
2,652
2,436
2,592
2,368
7,020
7,760
7,396
8,120
4,332
4,580
4,560
4,644
-104
-460
-8
-1,104
-36,072
-43,868
-37,208
-29,684
27,848
34,176
28,800
25,380
2004 I
II
III
IV
8,176
8,212
8,504
7,816
2,844
2,580
2,796
2,568
9,664
8,656
8,860
9,020
4,936
5,180
5,324
5,244
-1,488
-444
-360
-1,204
-35,612
-38,888
-35,412
-32,320
14,404
15,796
32,772
48,800
2005 I
II
III
IV
10,508
9,128
9,008
10,084
2,960
2,576
2,692
2,492
11,860
8,556
9,252
11,908
8,152
5,320
5,668
8,516
-1,348
572
-244
-1,828
-26,116
-31,296
-22,640
-30,836
35,852
17,320
22,660
18,488
2006 I
II
III
IV
9,748
9,676
2,656
2,612
11,304
9,024
7,660
5,636
-1,560
652
-33,984
-31,576
24,452
33,448
2007 I
II
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
J2
Canadian balance of international payments: Capital account
Balance canadienne des paiements : Compte de capital
Millions of dollars
Year
and
quarter
Année
ou
trimestre
Capital
account
Compte
de
capital
En millions de dollars
Financial account
Compte financier
Canadian assets net flow
Avoirs des Canadiens (flux net)
Loans
and
deposits
Prêts
et
dépôts
Canadian liabilities to non-residents, net flows
Engagements des Canadiens envers les non-résidents (flux nets)
Direct
investmentabroad
Investissements
directs à
l’étranger
Portfolio
investment
Investissements
de portefeuille
V114554
V114559
V114560
1,822
3,717
4,820
5,481
6,203
6,410
8,574
10,704
10,241
6,784
7,957
7,508
4,934
5,049
5,314
5,752
4,936
4,225
4,466
5,940
4,201
-4,864
-9,441
-7,661
-6,235
-6,110
-6,685
-4,339
-7,354
-12,694
-15,732
-17,858
-31,937
-50,957
-25,625
-66,352
-55,800
-42,015
-32,118
-56,841
-40,645
-51,322
-2,917
-2,940
-4,482
-5,470
-2,596
-11,665
-11,749
-17,881
-8,927
-7,331
-19,317
-11,849
-22,497
-23,101
-63,927
-37,573
-29,319
-19,054
-24,369
-53,279
-78,693
-10,352
1,717
5,270
-5,375
-3,447
5,599
727
9,075
-19,766
-10,600
-22,223
-21,821
6,412
13,272
-1,153
-10,223
-2,743
-11,672
-7,103
-7,600
-20,384
-881
-5,173
-10,173
-818
-1,247
2,103
5,750
-1,206
489
-3,778
-7,498
3,389
-7,452
-8,818
-5,480
-3,353
298
4,693
3,427
-1,653
-1,013
-1,139
-1,879
-556
-1,847
-6,299
-4,480
-4,800
-9,577
-8,131
-953
-6,410
-328
7,333
2,326
-5,127
-6,981
-9,852
-9,573
-2,562
-12,904
-13,927
-20,153
-17,716
-17,602
-19,745
-19,699
-15,128
-14,411
-26,943
-49,029
-38,394
-73,306
-62,546
-67,161
-41,946
-142,039
-113,930
-83,631
-67,724
-87,448
-116,081
-165,339
2001 IV
1,044
-6,993
-5,204
-22,014
-1,128
-3,301
-38,640
2002 I
II
III
IV
1,358
1,524
1,207
847
-5,823
-7,621
-12,713
-15,858
-11,806
-7,854
-4,539
-5,120
-4,002
4,225
637
-3,604
-696
-1,450
1,885
559
-4,049
-594
-3,050
-2,159
-26,376
-13,294
-17,780
-26,182
2003 I
II
III
IV
997
1,177
1,128
922
-4,915
-3,071
-4,760
-19,372
-2,941
-3,655
-5,665
-6,793
-21,838
7,824
6,698
-4,356
2,711
229
4
1,749
-2,069
-2,141
-2,735
-2,628
-29,052
-814
-6,458
-31,400
2004 I
II
III
IV
933
1,203
1,215
1,115
-6,128
-30,423
-11,718
-8,573
-4,559
-5,249
-6,176
-8,384
-1,383
-10,031
7,212
-2,901
-236
243
-517
3,937
2,970
-4,953
-2,546
1,966
2005 I
II
III
IV
1,461
1,706
1,788
985
-8,033
-9,022
-15,596
-7,995
-9,479
-12,398
-18,698
-12,704
-10,242
-322
-13,271
16,235
-3,437
585
1,092
108
2006 I
II
III
IV
1,181
1,076
993
951
-5,244
-15,787
-13,245
-17,046
-19,876
-20,808
-20,372
-17,637
-15,209
-21,059
-10,446
26,330
2007 I
II
1,247
1,165
-16,618
-9,780
-26,015
-23,756
-10,650
-4,768
1986
1987
1988
1989
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
S 110
Official
international
reserves
Réserves
officielles
de
liquidités
internationales
Other
claims
Autres
créances
V114564+
V114565 V114566
Total
Total
Direct
investment
in
Canada
Investissements
directs
au
Canada
Canadian
stocks
Actions
de sociétés
canadiennes
V114558 V114576 V114579
3,964
10,760
7,538
7,116
8,847
3,301
5,708
6,103
11,206
12,703
13,137
15,958
33,828
36,762
99,198
42,844
34,769
10,483
-474
35,046
78,317
Canadian bonds
Obligations canadiennes
Retirements
and change
in interest
payable
Remboursements et
changement
aux intérêts
à payer
Money
market
investments
Placements sur
le marché
monétaire
Total
capital
and
financial
accounts
Total
du
compte
de capital
et du
compte
financier
Loans
and
deposits
Emprunts
et
dépôts
Other
Total
liabilities Total
Autres
engagements
V114584 V114575 V114553
Trade in
outstanding
bonds
Transactions
sur titres en
circulation
New issues
Émissions
V113219
V113226
V113233+
V113240
V114580
V114582+
V114583
3,323
6,634
-1,393
10,728
10,587
-627
-3,245
-8,505
20,868
-4,880
22,857
35,979
6,556
-17,462
2,434
17,775
14,965
20,496
-2,544
32,447
32,597
955 35,746
228 34,868
1,398 30,599
827 41,882
647 38,664
334 34,509
564 27,727
310 50,706
1,165 56,550
-151 32,905
-1,546 53,116
2,685 70,803
1,593 66,757
1,377 24,415
-1,261 114,969
-5,843 92,555
-6,846 61,487
-2,904 47,789
-1,591 50,153
723 77,793
-860 142,598
17,416
20,869
17,817
27,617
25,167
25,791
21,890
34,467
17,762
1,294
-12,234
15,764
4,530
-12,481
-21,756
-15,623
-17,208
-15,711
-32,829
-32,347
-18,540
Memo:
Statistical
discrepancy
Écart
statistique
V114588
1,876
6,640
-2,379
3,885
-1,735
-990
1,036
12,056
6,412
-4,242
8,034
7,645
14,311
14,346
35,232
4,125
-1,531
13,491
35,742
9,133
10,814
8,894
4,444
11,514
13,854
10,774
13,324
8,984
13,770
-5,910
12,145
6,923
-1,576
-8,944
7,602
3,851
8,862
13,975
-1,953
5,711
3,816
13,155
23,854
15,705
17,526
17,672
17,099
34,382
33,626
44,130
43,263
38,000
43,596
38,895
55,608
33,963
20,969
82,939
51,225
59,897
49,731
34,618
43,323
-9,512
-12,083
-12,894
-13,339
-13,195
-19,643
-23,845
-26,453
-21,358
-19,415
-32,566
-31,153
-36,327
-38,964
-46,277
-50,799
-46,902
-50,074
-35,993
-38,512
-38,463
2,391
2,540
9,291
1,139
5,642
4,428
4,898
9,296
905
-1,254
-7,319
2,369
130
-13,209
824
-7,349
1,833
-1,646
-429
522
3,715
-1,902
-3,063
511
-1,806
-2,032
-162
3,470
-6,374
-32
4,805
7,633
-4,367
6,833
9,912
-7,514
-9,481
-2,570
1,062
3,778
4,404
-5,038
8,304
629
1,539
33,848
-11,626
1,826
-623
-1,791
32,106
-5,490
2,672
17,336
9,039
2,212
6,183
-3,960
4,781
-4,076
1,724
853
1,339
5,118
6,666
10,576
16,166
12,342
12,142
-5,311
-15,184
-11,417
-14,990
1,493
-501
-1,655
2,496
8,276
-1,028
7,215
501
-2,222
-2,254
-1,931
-440
27,040
12,358
7,807
14,281
2,022
588
-8,765
-11,053
-6,992
-5,138
1,891
7,669
5,834
5,142
-1,116
623
-265
3,135
5,394
5,227
8,447
3,563
-12,231
-1,731
13,542
20,469
9,033
16,853
-13,474
-16,695
-9,904
-10,002
-908
291
-1,976
948
21,949
-23,667
7,853
14,361
-2,281
-586
80
-116
32,843
-8,348
-2,867
26,162
4,789
-7,985
-8,197
-4,317
-6,592
7,692
1,218
-1,257
-9,336
-50,413
-13,745
-13,955
5,659
-6,542
8,561
-8,151
4,291
18,914
5,450
7,087
451
4,314
-474
1,421
7,740
13,276
12,617
16,098
-7,011
-12,142
-6,467
-10,374
-2,613
2,380
-2,099
1,902
-9,190
18,898
-7,567
-4,685
59
-524
-783
-343
-614
38,573
9,239
2,955
-9,016
-10,637
-3,292
-9,884
4,671
2,296
-6,336
3,146
-1,893
-2,866
-1,037
-7,108
-33,084
-24,023
-47,510
-11,464
5,710
4,911
13,533
10,892
5,235
-2,679
7,389
-812
-1,425
-1,298
3,683
2,856
11,408
8,055
6,692
8,462
-7,804
-6,311
-12,115
-12,282
-1,940
976
-1,619
3,105
7,308
8,845
19,258
-2,965
3,797
633
1
-3,708
22,289
13,132
36,824
5,549
-9,333
-9,186
-8,898
-4,931
8,949
5,425
-1,656
-8,313
-3,637
909
52
1,662
-2,399
-788
-2,544
-8,196
-46,365
-57,533
-46,555
-14,887
15,263
8,784
27,223
27,047
8,022
9,091
-1,034
-5,264
3,115
2,016
880
7,144
8,493
6,938
10,222
17,670
-11,443
-9,797
-4,751
-12,473
2,013
4,602
-1,151
-1,749
11,936
30,272
7,705
-17,316
743
-141
-126
-1,337
38,143
51,764
38,968
13,723
-7,040
-4,694
-6,593
-213
1,048
719
-1,821
-4,984
-4,722
-366
-5,843
-9,787
-63,848
-48,457
22,050
17,145
-532
-899
4,986R
-5,296R
12,103
15,201
-8,487R
-14,107R
-702
1,006
23,021
24,304
669
54
52,414
36,752
-10,187
-10,541
7,764
3,035
J3
Exports and imports by area (balance of payments basis)
Répartition des exportations et importations par région (sur la base de la balance des paiements)
Millions of dollars, seasonally adjusted at annual rates
Year,
quarter
and
month
Année,
trimestre
ou
mois
En millions de dollars, données désaisonnalisées, chiffres annuels
Merchandise exports
Exportations
U.S.
ÉtatsUnis
S 111
Merchandise imports
Importations
EEC
CEE
Japan
Japon
V191634
V191635+
V191636
V191637
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
123,377
149,100
181,049
205,691
222,461
242,542
269,319
309,117
359,021
352,165
347,052
328,983
350,589
368,250
360,963
12,777
12,010
13,040
18,256
17,405
17,950
19,324
20,387
24,120
23,599
22,456
24,119
26,677
28,495
32,830
2003 II
III
IV
319,163
323,019
320,933
2004 I
II
III
IV
Other
countries
Autres
pays
Total
Total
U.S.
ÉtatsUnis
V191638+
V191639
V191565
8,254
9,185
10,789
13,286
12,423
11,926
9,746
10,126
11,297
10,121
10,115
9,800
9,839
10,319
10,455
19,056
19,919
23,290
28,101
27,790
30,961
28,773
29,406
34,934
34,845
34,416
36,221
41,963
44,719
51,448
23,732
21,770
26,260
9,902
9,271
9,060
331,472
364,503
362,055
344,324
24,435
26,383
28,828
27,060
2005 I
II
III
IV
351,296
356,455
372,770
392,478
2006 I
II
III
IV
Merchandise trade balance
Solde de la balance commerciale
EEC
CEE
Japan
Japon
Other
countries
Autres
pays
Total
Total
U.S.
ÉtatsUnis
Rest of
the world
Reste du
monde
Total
Total
V183548
V183549+
V183550
V183551
V183552+
V183553
V183480
163,464
190,213
228,167
265,334
280,079
303,378
327,162
369,035
429,372
420,730
414,039
399,122
429,067
451,783
455,697
110,379
130,244
155,661
172,517
180,010
211,451
233,778
249,485
266,511
254,331
255,233
240,356
250,291
259,795
264,889
13,923
14,026
16,404
20,289
20,576
24,239
25,224
28,451
33,426
35,151
36,048
35,184
36,450
38,535
42,038
8,913
8,477
8,315
8,428
7,227
8,711
9,672
10,592
11,730
10,572
11,733
10,646
10,087
11,216
11,883
21,215
24,375
27,492
28,703
29,875
33,325
34,725
38,497
50,670
50,017
53,714
56,524
66,480
78,736
85,585
154,430
177,123
207,873
229,937
237,689
277,727
303,399
327,026
362,337
350,071
356,727
342,710
363,308
388,282
404,395
12,998
18,856
25,388
33,174
42,451
31,091
35,541
59,632
92,510
97,834
91,819
88,627
100,298
108,455
96,074
-3,964
-5,764
-5,092
2,223
-60
-5,438
-11,778
-17,621
-25,475
-27,175
-34,508
-32,214
-34,538
-44,954
-44,773
9,034
13,090
20,294
35,397
42,390
25,651
23,763
42,009
67,035
70,659
57,312
56,412
65,759
63,501
51,302
34,544
36,706
37,727
387,342
390,766
393,979
239,745
232,220
235,638
34,017
35,360
33,524
11,471
9,766
9,897
56,062
54,072
57,098
341,295
331,420
336,157
79,418
90,799
85,295
-33,372
-31,451
-27,472
46,047
59,346
57,822
9,464
10,636
9,847
9,410
40,006
44,486
41,194
42,167
405,376
446,007
441,923
422,962
238,441
254,514
259,587
248,621
33,341
36,929
38,058
37,473
9,730
10,084
10,008
10,526
59,945
66,435
68,261
71,279
341,457
367,963
375,914
367,898
93,031
109,989
102,468
95,703
-29,111
-31,943
-36,458
-40,641
63,919
78,044
66,009
55,064
26,424
28,161
30,180
29,217
9,742
9,854
10,625
11,056
42,096
45,675
44,934
46,170
429,558
440,145
458,508
478,922
255,550
259,513
260,850
263,268
37,730
38,712
37,766
39,931
11,568
10,894
11,110
11,292
74,693
76,341
80,600
83,310
379,540
385,460
390,326
397,801
95,746
96,942
111,920
129,210
-45,729
-42,257
-43,737
-48,090
50,018
54,685
68,182
81,121
367,142
359,774
360,066
356,872
30,858
31,989
32,994
35,481
10,120
10,498
10,458
10,746
46,340
46,868
53,657
58,925
454,459
449,128
457,176
462,024
260,684
259,011
269,172
270,690
40,373
42,566
42,947
42,265
11,194
12,535
12,372
11,429
80,241
86,401
87,382
88,316
392,492
400,512
411,874
412,700
106,458
100,763
90,894
86,182
-44,490
-52,147
-45,592
-36,858
61,967
48,616
45,302
49,324
2007 I
II
368,996
359,511
40,420
42,791
10,771
10,849
57,445
62,435
477,633
475,586
272,663
269,122
42,916
42,267
12,314
11,315
91,730
89,550
419,624
412,254
96,333
90,389
-38,324
-27,057
58,009
63,332
2006 A
M
J
J
A
S
O
N
D
364,435
353,952
360,935
368,326
361,628
350,245
336,997
356,160
377,456
28,918
32,597
34,452
31,598
32,315
35,068
33,668
37,240
35,534
10,354
9,656
11,483
9,640
11,143
10,590
11,074
10,424
10,741
46,046
47,204
47,353
51,008
52,847
57,119
58,384
55,987
62,406
449,752
443,411
454,223
460,572
457,933
453,022
440,120
459,810
486,139
260,503
254,222
262,308
272,866
270,180
264,469
262,655
270,978
278,435
39,005
45,343
43,348
41,315
44,851
42,677
42,716
44,346
39,732
13,109
12,317
12,179
12,011
12,847
12,258
11,788
10,512
11,987
88,585
84,551
86,065
90,575
88,007
83,566
87,156
85,186
92,609
401,202
396,434
403,900
416,766
415,885
402,970
404,314
411,023
422,764
103,932
99,730
98,627
95,460
91,448
85,776
74,342
85,182
99,021
-55,381
-52,754
-48,304
-51,655
-49,400
-35,724
-38,534
-36,393
-35,647
48,550
46,977
50,323
43,806
42,048
50,052
35,806
48,787
63,375
2007 J
F
M
A
M
J
J
365,969
366,911
374,111
365,494
359,969
353,070
356,123
41,785
40,348
39,128
44,688
42,467
41,218
40,636
10,649
10,536
11,129
12,134
11,110
9,305
10,183
58,296
52,640
61,399
62,130
63,326
61,848
64,937
476,699
470,435
485,766
484,446
476,870
465,440
471,881
271,571
270,114
276,305
269,770
268,880
268,716
278,720
40,062
43,466
45,220
43,564
42,448
40,789
45,968
12,320
12,437
12,186
11,680
11,026
11,239
12,401
92,146
89,369
93,677
90,754
85,211
92,686
90,814
416,100
415,386
427,387
415,766
407,566
413,430
427,904
94,398
96,797
97,806
95,724
91,089
84,354
77,403
-33,798
-41,748
-39,427
-27,046
-21,782
-32,343
-33,427
60,599
55,049
58,379
68,680
69,304
52,010
43,977
J4
Commodity classification of merchandise exports: Price and volume (national accounts basis)
Répartition des exportations par catégorie de produits : Prix et volumes (sur la base des comptes nationaux)
Seasonally adjusted at annual rates
Year and
quarter
Année ou
trimestre
Commodities
Agricultural
and fish
products
Produits de
l’agriculture
et de la pêche
Données désaisonnalisées, chiffres annuels
Produits de base
Energy
products
Produits
énergétiques
S 112
Forestry
products
Produits
forestiers
Industrial
goods and
materials
Matières
et biens
industriels
Motor
vehicles
and parts
Véhicules
automobiles
et pièces
détachées
Other manufactured goods
Autres produits manufacturés
Machinery and
equipment
Machines et
matériel
Other consumer
goods
Autres
biens de
consommation
Special
transactions
Opérations
spéciales
Other balance
of payments
adjustments
Autres
ajustements
de la balance
des paiements
Total goods*
Ensemble
des biens*
V1997751
Price
2002 = 100
Prix
2002 = 100
Volume
(millions
of chained
2002
dollars)
Volumes
(en millions
de dollars
enchaînés
de 2002)
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
101.8
100.0
94.6
93.2
94.4
99.8
100.0
97.9
96.4
89.5
88.4
65.5
100.0
54.9
68.9
114.2
116.4
99.8
124.2
137.0
174.7
170.6
99.8
100.0
103.0
104.5
105.0
107.0
100.0
92.9
100.0
94.5
89.1
101.2
100.0
97.4
95.5
102.3
101.0
100.0
99.6
110.0
116.1
130.2
89.0
100.0
96.2
95.9
95.7
99.1
100.0
91.4
87.1
82.3
78.6
102.5
100.0
100.8
99.4
98.8
99.5
100.0
95.9
94.0
92.6
90.8
93.4
100.0
95.4
96.7
97.7
99.4
100.0
100.2
100.5
101.1
101.7
95.6
100.0
93.5
94.6
101.4
103.0
100.1
98.9
101.4
104.3
103.9
93.0
100.0
93.2
96.1
102.7
103.7
100.5
67.2
58.7
59.7
56.4
94.6
100.0
93.8
94.7
100.9
102.4
100.0
98.4
100.6
103.4
103.4
2004 II
III
IV
100.3
98.6
92.0
137.7
141.2
141.3
107.3
104.0
92.4
110.4
112.0
113.0
89.9
87.4
83.6
95.4
94.4
92.2
100.8
100.5
100.5
103.6
103.2
99.6
58.4
64.2
58.0
102.7
102.3
99.2
2005 I
II
III
IV
90.8
90.4
88.4
88.6
143.6
158.3
189.3
207.7
96.7
96.9
91.4
92.8
114.7
116.0
114.3
119.4
83.2
83.8
81.7
80.3
92.4
93.3
92.5
92.0
101.1
101.3
101.0
100.7
101.0
103.4
105.3
107.5
58.4
64.1
58.9
57.5
100.0
102.5
104.3
106.9
2006 I
II
III
IV
87.5
86.0
89.2
90.9
175.6
173.4
172.2
161.1
92.2
89.0
87.1
88.1
122.5
127.9
132.4
138.0
79.6
77.8
78.0
79.1
91.1
90.2
90.8
91.2
101.5
101.7
101.7
101.8
103.4
102.3
105.5
104.2
56.2
55.7
55.5
58.0
103.2
102.7
103.6
103.9
2007 I
II
95.1
92.7
174.7
173.9
88.4
83.8
142.8
149.0
79.5
75.9
92.2
90.4
102.5
102.1
107.5
106.9
63.8
54.6
107.2
106.0
V1992169
V1992170
V1992162
V1992163
V1992164
V1992165
V1992166
V1992168
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
22,770
25,739
26,471
27,482
29,241
31,134
30,874
29,894
31,827
33,639
35,422
39,743
40,363
43,330
43,165
46,516
47,465
49,329
48,653
49,669
49,576
50,884
34,615
35,330
34,401
38,366
40,731
37,644
37,245
37,172
39,285
38,540
37,322
51,751
56,424
60,730
62,646
66,436
67,149
70,171
67,075
70,863
72,579
72,114
V1992167
71,218
76,217
81,449
101,473
102,326
93,383
96,675
95,705
103,736
107,167
104,933
60,438
68,555
80,048
89,190
111,370
103,032
97,091
92,444
96,933
101,658
104,221
10,174
11,409
13,171
14,465
15,555
16,402
17,679
17,152
17,183
17,069
17,658
3,301
4,312
5,945
7,772
7,868
7,938
8,233
7,773
7,870
7,944
8,408
6,490
6,929
6,880
6,569
6,568
6,022
6,737
10,640
10,621
10,880
11,475
296,228
321,484
348,873
389,614
425,306
410,758
414,034
405,483
426,463
436,649
440,950
2004 II
III
IV
32,735
31,674
31,364
51,011
49,431
49,097
39,165
40,057
40,093
72,608
71,459
69,998
106,937
105,435
103,737
98,654
98,275
96,909
17,824
17,260
16,712
8,156
8,048
7,920
6,984
13,428
13,408
434,099
432,131
426,377
2005 I
II
III
IV
31,882
32,994
34,176
35,504
48,760
48,838
50,223
50,482
38,516
38,035
38,055
39,552
72,610
72,467
73,314
71,923
103,537
100,664
109,374
115,094
100,031
102,745
100,439
103,416
17,076
17,388
16,856
16,956
7,880
7,896
7,840
8,160
10,668
9,488
11,972
11,392
429,311
429,535
439,649
448,102
2006 I
II
III
IV
35,226
34,620
36,003
35,840
49,233
51,632
52,030
50,639
38,555
37,456
37,137
36,141
70,798
70,509
73,685
73,463
110,045
105,686
98,378
105,623
103,918
101,879
105,280
105,808
16,720
16,776
17,864
19,272
8,624
8,264
8,172
8,572
11,868
12,108
11,472
10,452
440,489
437,427
441,107
444,776
2007 I
II
36,654
37,204
51,530
53,240
35,553
36,161
72,602
73,471
104,915
102,065
107,646
107,118
19,220
19,400
8,112
8,284
9,936
11,408
445,527
449,120
* The totals shown are chain Fisher aggregations. For more information on chain Fisher aggregations, please visit the
Statistics Canada website: www.statcan.ca/english/concepts/snachanges.htm
V1992161
* Chiffre établi selon la formule de l’indice en chaîne de Fisher. On trouvera plus de renseignements à ce sujet dans le site
Web de Statistique Canada, à l’adresse : www.statcan.ca/francais/concepts/snachanges_f.htm.
J5
Commodity classification of merchandise imports: Price and volume (national accounts basis)
Répartition des importations par catégorie de produits : Prix et volumes (sur la base des comptes nationaux)
Seasonally adjusted at annual rates
Year and
quarter
Année ou
trimestre
Commodities
Agricultural
and fish
products
Produits de
l’agriculture
et de la pêche
Données désaisonnalisées, chiffres annuels
Produits de base
Energy
products
Produits
énergétiques
S 113
Forestry
products
Produits
forestiers
Industrial
goods and
materials
Matières
et biens
industriels
Motor
vehicles
and parts
Véhicules
et biens
industriels
Other manufactured goods
Autres produits manufacturés
Machinery and
equipment
Machines et
matériel
Other consumer
goods
Autres
biens de
consommation
Special
transactions
Opérations
spéciales
Other balance
of payments
adjustments
Autres
ajustements
de la balance
des paiements
Total goods*
Ensemble
des biens*
V1997754
Price
2002 = 100
Prix
2002 = 100
Volume
(millions
of chained
2002
dollars)
Volumes
(en millions
de dollars
enchaînés
de 2002)
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
94.6
100.0
97.8
95.3
95.4
98.7
100.0
96.3
94.1
92.0
89.5
71.0
100.0
58.1
67.6
100.6
96.8
99.6
110.5
126.7
160.7
179.1
88.2
100.0
98.2
99.4
101.4
101.5
100.0
94.5
96.1
91.8
83.3
92.4
100.0
95.4
93.8
97.6
101.1
100.0
94.1
97.7
99.7
104.3
90.6
100.0
96.2
96.3
96.4
98.9
100.0
94.1
90.9
87.2
84.6
100.7
100.0
102.1
100.0
98.3
100.1
100.0
89.3
82.6
77.6
73.7
87.3
100.0
94.4
94.8
95.5
99.8
100.0
90.9
84.7
81.3
78.0
94.7
100.0
97.0
96.1
97.6
99.9
100.0
92.9
90.5
89.3
87.8
75.9
100.0
86.2
88.1
91.3
97.6
100.0
97.0
89.5
88.7
86.3
93.0
93.3
96.0
95.5
97.4
99.8
100.0
93.2
90.8
89.8
88.8
2004 II
III
IV
95.2
96.2
92.1
122.5
132.8
142.6
101.9
96.9
89.9
99.4
99.8
97.5
93.3
91.0
87.9
86.0
83.0
78.1
87.9
85.4
80.6
93.1
91.3
88.3
87.9
94.3
90.6
93.0
91.9
88.7
2005 I
II
III
IV
90.9
93.9
91.7
91.3
139.1
157.8
174.6
171.3
91.7
93.4
91.8
90.2
99.0
100.7
98.1
100.8
87.8
88.4
86.9
85.8
78.4
79.5
77.0
75.3
81.7
83.0
81.1
79.6
89.1
90.8
89.1
88.2
85.6
87.1
94.3
87.7
88.9
91.1
89.9
89.1
2006 I
II
III
IV
88.3
88.2
90.1
91.3
173.4
183.6
189.2
170.4
83.1
81.4
83.1
85.8
101.7
102.5
105.3
107.5
85.2
84.2
84.3
84.5
74.4
73.0
73.0
74.5
79.2
76.8
77.0
78.7
87.7
87.2
88.5
87.9
86.5
88.1
86.1
84.3
88.6
88.1
89.1
89.5
2007 I
II
98.0
93.2
167.3
181.6
87.4
83.3
107.5
103.9
84.7
80.6
75.9
71.8
81.2
76.1
89.5
86.1
88.8
94.8
90.8
87.5
V1992179
V1992180
V1992182
V1992184
V1992183
V1992185
V1992186
V1992187
V1992178
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
14,946
15,967
17,641
18,534
19,458
20,639
21,778
22,329
22,695
23,973
26,213
13,517
15,077
14,859
15,739
17,700
18,274
16,567
17,921
19,534
21,000
19,260
V1992181
2,173
2,522
2,551
2,761
3,022
2,847
3,138
3,181
3,307
3,416
3,699
50,366
58,918
63,213
66,290
70,978
67,664
68,891
69,381
75,190
78,835
80,555
56,380
66,298
69,414
78,868
80,377
73,395
81,470
81,291
85,099
89,849
94,349
75,894
92,046
99,052
108,303
125,039
111,816
105,948
110,610
126,136
143,183
155,499
29,590
33,699
36,623
39,054
42,002
43,000
46,475
50,990
56,369
60,859
66,754
7,474
7,360
6,542
6,599
6,813
6,858
5,974
5,722
5,447
5,133
5,425
6,774
7,139
6,842
7,063
7,123
6,526
6,487
6,538
7,147
8,433
9,369
255,566
297,727
315,885
342,600
372,062
350,781
356,728
367,837
400,201
432,703
455,279
2004 II
III
IV
22,903
22,420
23,080
19,849
19,751
19,752
3,144
3,372
3,621
74,282
77,238
77,960
83,539
89,327
86,572
124,206
128,220
133,205
54,620
57,042
60,284
5,972
5,412
4,728
7,320
6,836
7,036
395,463
408,922
414,874
2005 I
II
III
IV
24,055
23,279
23,947
24,610
21,976
20,589
20,029
21,404
3,487
3,528
3,307
3,341
79,078
77,463
79,337
79,460
87,819
88,345
91,236
91,994
136,675
139,560
144,974
151,521
59,773
59,353
61,094
63,215
5,652
4,636
5,152
5,092
8,660
8,336
7,880
8,856
426,859
423,357
433,976
446,619
2006 I
II
III
IV
25,555
25,981
26,746
26,571
17,585
20,465
20,363
18,626
3,665
3,769
3,679
3,682
80,877
81,396
80,139
79,809
91,973
92,286
97,134
96,002
151,629
153,494
157,738
159,133
64,224
66,483
67,468
68,841
4,724
5,544
5,128
6,304
9,220
9,028
9,492
9,736
443,064
454,479
462,483
461,088
2007 I
II
25,999
27,065
19,874
20,829
3,515
3,615
80,293
81,574
97,410
96,058
155,891
159,865
69,257
71,027
6,308
6,948
9,188
8,480
461,705
469,836
* The totals shown are chain Fisher aggregations. For more information on chain Fisher aggregations, please visit the
Statistics Canada website: www.statcan.ca/english/concepts/snachanges.htm
* Chiffre établi selon la formule de l’indice en chaîne de Fisher. On trouvera plus de renseignements à ce sujet dans le site
Web de Statistique Canada, à l’adresse : www.statcan.ca/francais/concepts/snachanges_f.htm.
K8
Bonds outstanding: Government of Canada, provincial, municipal, corporate, and other bonds
Encours des obligations : Gouvernement canadien, provinces, municipalités, sociétés et autres emprunteurs
S 114
Millions of dollars En millions de dollars
Gross amount as at 31 December Montants bruts au 31 décembre
1996
1996
1997
1997
1998
1998
1999
1999
2000
2000
2001
2001
2002
2002
2003
2003
2004
2004
2005
2005
2006
2006
Government of Canada
direct
Canadian dollars only
Other currencies
314,659
14,426
333,632
14,473
332,010
27,679
333,090
26,733
330,421
25,142
315,090
25,214
308,745
23,359
298,571 R
17,445
282,808 R
12,922
275,782 R
9,973
270,024 R
8,822
Gouvernement canadien
(obligations émises)
Dollars canadiens seulement
Monnaies étrangères
Provincial direct and guaranteed
Canadian dollars only
Other currencies
185,606
155,558
189,793
154,213
197,944
167,903
211,282
150,202
224,438 R
138,064
234,599 R
140,016
241,911 R
140,516
248,381 R
118,331
269,360 R
111,310
276,877 R
106,923
287,023 R
108,320 R
Provinces (obligations émises ou garanties)
Dollars canadiens seulement
Monnaies étrangères
Municipal direct and guaranteed
Canadian dollars only
Other currencies
32,320
4,577
32,962
4,042
29,368
3,897
28,525
3,682
28,787
3,232
29,205
2,720
30,095
2,039
31,681
1,350
33,351
1,620
33,557 R
1,709
36,438 R
2,111
Corporate
Financial
Canadian dollars only
Other currencies
29,874
38,327
39,895
48,448
46,239
61,279
56,596
66,151
69,803 R
65,820
78,540 R
81,984
86,478 R
84,315 R
103,779 R
80,787 R
122,141 R
78,233 R
136,069 R
70,529 R
141,735 R
70,499 R
Sociétés
Financières
Dollars canadiens seulement
Monnaies étrangères
Non- financial
Canadian dollars only
Other currencies
55,528
72,403
65,479 R
84,905 R
72,139 R
104,222 R
83,400 R
107,584 R
90,302 R
115,755 R
102,909 R
153,381 R
106,870 R
151,909 R
111,980 R
132,191 R
115,920 R
130,086 R
119,447 R
122,463 R
120,225 R
123,883 R
Non financières
Dollars canadiens seulement
Monnaies étrangères
2,496
40
2,778
-
2,983
-
3,058 R
-
Institutions
Dollars canadiens seulement
Monnaies étrangères
1,500 R
5,850 R
15,650 R
38,050 R
Emprunteurs étrangers
Dollars canadiens seulement
177,687 R
Titrisation à terme
Dollars canadiens seulement
Institutions
Canadian dollars only
Other currencies
918
154
828
158
1,001
165
931
102
877
100
817
70
1,331
82
Foreign debtors
Canadian dollars only
550
550
550
550
550
550
550
Term securitizations
Canadian dollars only
18,190
19,509
27,202
41,552
54,090
57,112
70,427
93,624
Total
Canadian dollars only
Other currencies
637,645
285,444
682,647 R
306,219 R
706,453 R
368,851 R
755,926 R
354,335 R
799,269 R
347,677 R
818,823 R
402,664 R
846,406 R
402,090 R
892,013 R
350,143 R
115,180
144,877
947,387 R 1,005,243 R 1,074,240 R
334,172 R
311,598 R
313,636 R
Municipalités (obligations émises ou garanties)
Dollars canadiens seulement
Monnaies étrangères
Total
Dollars canadiens seulement
Monnaies étrangères
S 115
Millions of dollars En millions de dollars
Gross amount outstanding as at 31 December 2006 Encours au 31 décembre 2006 - Montants bruts
Currency of payment Monnaies de paiement
Canadian
dollars
Dollars
canadiens
Government of Canada
Direct
Newfoundland
Direct
Guaranteed
Prince Edward Island
Direct
Guaranteed
Nova Scotia
Direct
Guaranteed
New Brunswick
Direct
Guaranteed
Quebec
Direct
Guaranteed
Ontario
Direct
Guaranteed
Manitoba
Direct
Guaranteed
Saskatchewan
Direct
Guaranteed
Alberta
Direct
Guaranteed
British Columbia
Direct
Guaranteed
Yukon and Northwest Territorities
Direct
Guaranteed
U.S. dollars
Dollars
É.-U.
Eurodollars
Eurodollars
EMU
Euro
Euro
(UEM)
Swiss
francs
Francs
suisses
Pound
sterling
Livres
sterling
Japanese
yen
Yen
japonais
Other
Autres
monnaies
Total
Total
270,024R
3,159
35
4,680
-
-
538
410
4,847
1,723
1,340
-
332
-
-
-
-
-
-
6,518
1,723
1,174R
38R
-
-
-
-
-
-
-
1,174 R
38 R
7,860R
1,082
3,256
350
300
-
62
-
-
190
-
147
-
-
11,814 R
1,431
9,019
1,046
1,486
-
629
-
-
-
-
-
-
11,134
1,046
52,210
34,687R
12,273
10,526
6,116 R
1,770
11,606
2,034
1,242
55
456
547
4,362
44
1,011
-
89,275 R
49,663 R
103,952R
13,817R
11,215
1,748
10,488
1,350
3,175
-
908
-
456
-
1,342
-
2,374
-
133,909 R
16,915 R
13,596R
292
3,158
-
1,416
-
-
191
-
-
88
-
338
-
18,787 R
292
8,498
204
1,798
-
500
-
-
287
-
-
-
-
-
100
150
-
-
-
-
-
2,013
-
3,038
-
1,410
-
382
-
-
264
-
-
4
221R
-
-
-
-
-
-
-
4
221 R
Total provincial
287,023R
49,163
26,188 R
18,286
3,064
1,649
6,247
3,723
395,343 R
Municipalities
36,438R
124
175
1,737
48
1
27
-
38,549 R
Corporate
261,960 R
20,930 R
13,109
430 R
Institutional
3,058R
-
-
-
-
-
-
-
3,058 R
Foreign debtors
38,050R
-
-
-
-
-
-
-
38,050 R
Term securitizations
177,687R
-
-
-
-
-
-
-
177,687 R
Total
1,074,240 R
2,889
4,684R
24,065
1,115
142,503 R
194,948 R
47,329 R
37,812
3,541 R
12,509
14,159
1,768 R
8,579 R
3,134R
7,267 R
278,846 R
11,082
204
2,989
4,834 R
31,172
1,115
456,343 R
1,387,876 R
Gouvernement canadien
Titres émis
Terre-Neuve
Titres émis
Titres garantis
Île-du-Prince-Édouard
Titres émis
Titres garantis
Nouvelle-Écosse
Titres émis
Titres garantis
Nouveau-Brunswick
Titres émis
Titres garantis
Québec
Titres émis
Titres garantis
Ontario
Titres émis
Titres garantis
Manitoba
Titres émis
Titres garantis
Saskatchewan
Titres émis
Titres garantis
Alberta
Titres émis
Titres garantis
Colombie-Britannique
Titres émis
Titres garantis
Yukon et Territoires du Nord-Ouest
Titres émis
Titres garantis
Ensemble des provinces
Municipalités
Sociétés
Institutions
Emprunteurs étrangers
Titrisation à terme
Total
K9
Net new issues of corporate securities: Industrial classification
Émissions nettes des sociétés : Répartition selon la branche d’activité économique
S 116
Bonds Obligations
Par value in millions of Canadian dollars Valeur nominale, en millions de dollars canadiens
Year
and
quarter
Année
ou
trimestre
Mining, quarries and oil wells
Mines, carrières et puits
de pétrole
Total
Total
Of which:
Oil and gas
Dont :
Pétrole et gaz
Manufacturing
Secteur manufacturier
Total
Total
Of which:
Petroleum
products
Dont :
Produits
pétroliers
Of which:
Pulp and
paper
Dont :
Pâtes et
papiers
1,240
2,098
-126
2,419 R
370 R
3,437 R
2,793 R
2,200 R
5,666 R
3,012 R
1,057 R
10,224 R
-1,125 R
3,311 R
-434 R
-2,202 R
-2,165 R
-309
-28
-241
-736 R
-196 R
367 R
928 R
-89 R
557 R
-1,007 R
-68 R
-2,379 R
1,033 R
-585 R
-1,944 R
1R
-606 R
342
379
410
1,772
1,027
2,564
758
858
1,239
1,081
-724
2,196
238
2,074 R
693
-1,491 R
-540 R
Construction
Construction
Transportation,
communication
and other
utilities
Transports,
communications
et autres
services
publics
Wholesale
and retail
trade
Commerce
de gros et
de détail
Service
and other
industries
Services
et autres
industries
Total
nonfinancial
Ensemble des
sociétés
non
financières
Financial
companies
Sociétés
financières
Total
Total
Of which:
Federal
government
enterprises
Dont :
Entreprises
du
gouvernement
fédéral
225
-1
-86
-13
14
60
-102
31
182
-111
-132
-168
-99
88
31 R
-41 R
2,915 R
3,506 R
3,453 R
2,545 R
1,820 R
5,523 R
3,014 R
8,817 R
6,202 R
11,661 R
9,540 R
22,202 R
-2,086 R
471 R
7,339 R
-971 R
-263 R
218
-24
-203
150
715
43
750
-206
847
1,359
560
1,829
-13
1,666
1,841 R
1,104 R
-882 R
51 R
481 R
-67 R
-648 R
342 R
-334 R
1,640 R
3,411 R
2,752 R
1,815 R
-1,062 R
-295 R
699 R
882 R
359 R
126 R
-778 R
4,589
5,585
2,515
7,661 R
5,715
12,685
12,142
19,614 R
19,125 R
21,290 R
11,076 R
42,556 R
2,688 R
11,365 R
11,400 R
754 R
1,534 R
1,607
-205
-933
-122
-1,567
6,465
8,334
19,746
14,758
19,389
11,794 R
21,888
8,948 R
25,465 R
19,936 R
11,000 R
3,319 R
6,196
5,379
1,581
7,540 R
4,148
19,151
20,475
39,360 R
33,882 R
40,679 R
22,869 R
64,444 R
11,636 R
36,828 R
31,336 R
11,753 R
4,853 R
-370
-656
687
2,569
2,063
2,875
2,440
3,138
2,808
5,706
1,418
2,525
2,171
3,539 R
-1,001 R
-3,355 R
-1,355 R
1,535
2,850
177
7,779
10,139
-642
2,113
13,120
15,791
7,574
4,194 R
902
4,583
-698
919
6,339
9,639 R
6,166
725
407
1,094
-210
127
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
-59
-475
-507
3,208 R
2,455 R
3,955 R
4,047 R
5,239 R
3,450 R
3,553 R
1,112 R
8,595 R
5,280 R
5,133 R
2,207 R
2,665 R
5,667 R
-115
-486
-373
1,655 R
1,583 R
2,370 R
1,407 R
2,467 R
2,933 R
3,591 R
1,333 R
6,452 R
2,848 R
3,712 R
1,589 R
1,318 R
2,140 R
1998 IV
1,093
1,153
-58
308
-156
-101
1,287
-906
1,315
1999 I
II
III
IV
1,758 R
700
618 R
477 R
1,758 R
438
844 R
551 R
436 R
864
2,222 R
-510 R
-105 R
-367
-192 R
-343 R
456
295
584
-254
-111
1,442 R
4,274
4,317 R
1,628 R
959
146
108
146
746 R
-332
950 R
451 R
5,341
5,652
8,216
2,081 R
2000 I
II
III
IV
1,091
124
596 R
-699
966
156
835 R
-624
-329
207
1,725 R
-546
-R
-68
-48
-37
-432
-207
-132
-
1,856 R
4,945
1,836 R
903 R
-150
839
-179
50
-390 R
-300 R
-298 R
-74 R
1,947
5,814 R
3,680
-365 R
2001 I
II
III
IV
1,883
507
2,032 R
4,173 R
1,068
-136
1,438 R
4,082 R
4,881
940
815
3,588 R
-466
82
-2,398
403 R
687
172
-10
1,347
-
4,788 R
9,725 R
3,667
4,022
400
1,233
96
100
198 R
-95
-238
-160
12,151 R
12,310 R
6,372 R
11,723
3,144
4,618
3,278
10,848
15,295 R
16,928 R
9,650 R
22,571
1,141
-840
713
1,511
2002 I
II
III
IV
2,100 R
3,712 R
21 R
-553
2,258 R
2,809 R
-1,678 R
-541
1,031 R
208 R
-880 R
-1,484
495 R
400 R
209 R
-71
504
-81
12
-197
-168
2,448 R
-1,703
-1,610 R
-1,221 R
203
-471
76
179
-164 R
-344
570 R
637 R
5,619 R
1,402
-1,822
-2,511
6,073 R
-1,158 R
1,701
2,332
11,691 R
244 R
-121
-178
382
-692
541
1,940
2003 I
II
III
IV
891
603 R
987
2,652
-401
1,389 R
377
2,347
1,440
343 R
-2,043
3,571 R
-80
-R
-505
-
698
908
-155
623 R
23
-122
-
1,993 R
-2,179 R
415 R
242 R
109
1,462
16
79
-118 R
613
378 R
9
4,315
866 R
-369
6,553 R
5,870 R
4,552 R
8,450 R
6,593
10,185 R
5,417 R
8,081 R
13,145 R
2,096 R
11
738
694
2004 I
II
III
IV
-987 R
-382 R
2,152 R
1,424 R
-1,055 R
330 R
1,982 R
332 R
79 R
600 R
-1,385
272 R
-140 R
-165 R
-1,023
-616 R
60
-2
30
1,410 R
2,207 R
-1,978 R
5,700 R
522
-150 R
1,574
-105
3R
861 R
-619 R
114
1,087 R
3,135 R
-257 R
7,435 R
1,316 R
6,332 R
6,723 R
5,565 R
2,403 R
9,467 R
6,466 R
13,000 R
611 R
-353 R
-357 R
-902 R
2005 I
II
III
IV
738 R
2,591 R
184
-848 R
952 R
1,479 R
-429 R
-684 R
-590 R
-260 R
-608 R
-744 R
3R
-2
-
573
-902
-7
-1,155 R
32 R
-1 R
-
1,312 R
-1,695 R
-287 R
-301 R
100
145 R
183
676 R
64 R
784 R
563 R
-1,285 R
1,655 R
1,566 R
34 R
-2,501 R
651 R
2,474 R
2,926 R
4,949 R
2,306 R
4,040 R
2,960 R
2,447 R
-651 R
-1,084 R
-507 R
-1,113 R
2006 I
II
III
IV
1,022 R
59 R
566 R
4,020 R
664 R
259 R
-208 R
1,425 R
-3,081 R
-2,337 R
2,056
1,197 R
-R
-606
-R
-462 R
1
-17
-62
-1 R
-27
-1 R
-12
1,016 R
-1,155 R
185 R
-309 R
-400
-778 R
-158
454 R
-84 R
-173 R
-140 R
-381 R
-1,530 R
-4,411 R
2,507 R
4,968 R
6,860 R
-2,603 R
-1,211 R
273 R
5,330 R
-7,015 R
1,296 R
5,242 R
-183 R
-939 R
406 R
-639 R
2007 I
II
III
2,501
4,439
2,633
568
3,443
2,768
1,255
-1,823
-1,165
697
164
-1,042
16
-966
-228
-229
-386
161
-1,293
9,727
3,577
2,959
11,038
3,935
368
192
-593
5
-19
250
582
-399
182
328
-65
-436
-347
213
-118
-
-
4,252
1,311
358
4,393
3,825
2,486
1,090 R
S 117
Stocks Actions
Par value in millions of Canadian dollars Valeur nominale, en millions de dollars canadiens
Mining, quarries and oil wells
Mines, carrières et puits
de pétrole
Manufacturing
Secteur manufacturier
Construction
Construction
Transportation,
communication
and other
utilities
Transports,
communications
et autres
services
publics
Wholesale
and retail
trade
Commerce
de gros et
de détail
Service
and other
industries
Services
et autres
industries
Total
nonfinancial
Ensemble des
entreprises
non
financières
Financial
companies
Entreprises
financières
Total
Total
Year
and
quarter
Année
ou
trimestre
-98
59
15
27
279
201
169
-17
-8
-1
36
1
40
-2
22
46
91 R
2,121 R
2,276 R
2,470 R
1,727 R
2,664 R
3,206 R
3,233
4,655 R
4,430 R
1,869 R
3,840 R
1,873
4,177 R
-270 R
1,685 R
-1,057 R
-4,026 R
42
160
219
1,013
167
190
-105
-37
1,131
90 R
231
168
493
86
737
-205 R
-1,418 R
339
1,090
1,293
2,356
1,113
935
3,392
5,184 R
1,266 R
2,512 R
1,454 R
822
678
496 R
1,013
295
-1,871 R
4,836 R
8,087 R
9,694 R
16,458 R
14,010 R
10,100 R
21,412 R
18,445 R
12,228 R
13,555 R
12,644 R
8,930 R
12,325 R
7,040 R
14,661 R
5,874 R
-3,785 R
1,003 R
3,453 R
1,178 R
3,694 R
1,836 R
196 R
-52
2,795 R
2,402 R
4,673
4,809 R
4,727 R
2,730 R
1,641 R
-3,014 R
2,476 R
2,573 R
5,839 R
11,540
10,873 R
20,153 R
15,847 R
10,295 R
21,359 R
21,241 R
14,631 R
18,228 R
17,453 R
13,656 R
15,053 R
8,680 R
11,647 R
8,350 R
-1,212 R
1990
1991
1992
1993
1994
1995
1996
1997
1998
1999
2000
2001
2002
2003
2004
2005
2006
Total
Total
Of which:
Petroleum
products
Dont :
Produits
pétroliers
Of which:
Pulp and
paper
Dont :
Pâtes et
papiers
605
2,949
2,709 R
4,796
4,019 R
2,816 R
2,998 R
2,737 R
2,338 R
5,394 R
6,685 R
6,348
3,727
2,266 R
4,515 R
680 R
-480 R
102
262
307
89
155 R
17 R
-1,539 R
-792 R
-367 R
10
-1,825
3
-125
-617
-898 R
-1,237 R
-1,966 R
70
751
1,025 R
1,354
1,521
627
-57
1,512
69
-35
-96 R
652
517
110 R
1,269
-90
231
390R
268 R
-89 R
71
-2
1,548 R
164
106 R
2,588 R
-325 R
2,264 R
1998 IV
145
549R
685R
303R
848
2,247
343
1,956 R
2
2
2
4
14
-46
-12
9
-1
6
-2
-4
-37 R
1,065 R
432 R
409 R
-24 R
85 R
47
-18
662
742 R
794 R
314
1,933 R
5,637 R
2,846 R
3,139 R
262 R
-52 R
4,635 R
-172 R
2,195 R
5,585 R
7,481 R
2,967 R
1999 I
II
III
IV
278 R
-147 R
-381 R
681 R
200R
-189R
-79R
340R
2,734 R
854 R
1,772 R
1,325 R
-302
-507
-595
-421
-111 R
-1
-1
17
30
-3
9
-
1,325
1,223 R
293
999 R
25
-14
-14
234
199
235 R
614 R
406
4,538 R
2,168 R
2,293 R
3,645 R
1,356
1,733
461
1,259 R
5,894 R
3,901 R
2,754 R
4,904 R
2000 I
II
III
IV
-121 R
161 R
-617 R
294 R
-64R
56R
-686R
142R
481
1,819
850
3,198
2
-29
14
16
35
100
517
1
-
799
742
205
127
144
8
16
192
266
252
112
1,496 R
2,988 R
698 R
3,748 R
627
880
244 R
2,976
2,123 R
3,868 R
942 R
6,723 R
2001 I
II
III
IV
397 R
1,787 R
232 R
793 R
50R
235R
132R
180R
1,237
1,969
26
495
15
-69
-71
218
299
33
7
105
1,045 R
2,961
66
202
115
-2
178
373
291
14
1,942 R
5,322 R
3,508 R
1,553 R
246
1,072 R
316
1,096
2,188 R
6,393 R
3,823 R
2,649 R
2002 I
II
III
IV
768 R
-148 R
1,739 R
2,105 R
-136R
91R
-308R
543R
-68
1,232
466 R
636 R
-74
-83
-230
-230
-1
-2
100 R
13 R
-1
-1
366 R
205 R
136
-977
-11
116
-3
-16
-74 R
-198
24
744
982 R
1,206 R
2,360 R
2,492 R
1,478
-1,233 R
1,658
-262
2,460 R
-27 R
4,018 R
2,229 R
2003 I
II
III
IV
1,560 R
1,850 R
478 R
2,800 R
323R
714R
74R
305R
1,980
1,497 R
279 R
759 R
-223
-157 R
-250 R
-268 R
-1
1,087
275
-92
23
-1
-
-258 R
780 R
1,158 R
5R
-12
-74
528
295
158
93
313
449
3,452 R
4,146 R
2,756 R
4,307 R
-1,551 R
-1,085 R
-820 R
442
1,900 R
3,062 R
1,936 R
4,749 R
2004 I
II
III
IV
1,375 R
730 R
472 R
3,538 R
360R
-164R
304R
850R
405 R
144 R
304 R
-173 R
-189 R
-314 R
-251 R
-483 R
-22
-25
-37
-6
40
6
-
-186 R
173 R
-162 R
-882 R
4
-116 R
-54
-39
450
212
57
-424
2,088 R
1,148 R
617 R
2,021 R
1,357 R
-242
-47
1,408
3,445 R
906 R
570 R
3,429 R
2005 I
II
III
IV
1,851 R
3,835 R
-1,396 R
-478 R
-87R
1,189R
583R
1,071R
126 R
712 R
-715 R
-603 R
-483 R
-463
-514 R
-506 R
-1
-56
18
270
108
21 R
-20 R
-18 R
-1,087 R
-731 R
-1,509 R
-699 R
-1,219
-199
2
-2 R
127
39 R
86 R
-2,123 R
11 R
3,680 R
-3,552 R
-3,924 R
147
556 R
941 R
929 R
158 R
4,237 R
-2,612 R
-2,995 R
2006 I
II
III
IV
2,638
6,289
2,946
724
1,863
1,496
-502
-502
-
438
6
42
-28
74
2,828
595
45
-95
-252
-317
154
248
-581
5,801
8,039
3,204
7,427
9,039
3,058
2007 I
II
III
Total
Total
Of which:
Oil and gas
Dont :
Pétrole et gaz
1,838
1,550
2,999
6,540 R
5,744 R
2,762 R
11,714 R
5,973 R
3,072 R
3,704 R
431 R
-283 R
3,209 R
4,464 R
6,688 R
6,115 R
3,812 R
821
542
2,253
3,970R
1,688R
647R
4,051R
3,289R
1,482R
1,682R
272R
-552R
597R
190R
1,416R
1,350R
2,756R
507 R
427 R
1,494 R
1,285 R
498 R
233
1,187
1,037
1,626
1,000
-146
S 119
Notes to the tables
Notes relatives aux tableaux
Symbols used in tables
Abréviations utilisées dans les tableaux
D
E
R
–
D
E
R
–
Data column is discontinued.
Estimated
Revised
Value is zero or rounded to zero.
Série supprimée
Chiffres estimatifs
Chiffres révisés
Valeur nulle ou arrondie à zéro
Note: Blank spaces in columns indicate data are either not available or not applicable.
Owing to the rounding of figures, components may not always add up to the totals shown.
A horizontal rule in the body of the table indicates either a break in the series or that the
earlier figures are available only at a more aggregated level.
Nota - Les espaces vides des colonnes signifient que les données ne sont pas disponibles ou ne s’appliquent
pas. Du fait que les chiffres sont arrondis, la somme des éléments ne correspond pas toujours exactement au
total indiqué. Une ligne horizontale dans le corps d’un tableau indique soit qu’il y a une rupture dans une
série, soit que les données des périodes antérieures n’existent que sous une forme plus agrégée.
CANSIM – Databank identification numbers
CANSIM – Numéros de référence des séries de Databank
Many of the time series published in the Bank of Canada Banking and Financial Statistics
are available from Statistics Canada in machine-readable form. Each time series of annual,
quarterly, monthly, or weekly data on CANSIM (Statistics Canada’s socio-economic
database) has an identification number with a V prefix (as in V1432). The identification
number is given as a reference at the top of each column of data and refers to the series of
weekly, monthly, or quarterly data in that column. Current and revised data are entered
into CANSIM immediately on release.
Nombre de séries chronologiques publiées dans les Statistiques bancaires et financières peuvent être
obtenues de Statistique Canada sous une forme lisible par machine. Chaque série chronologique – annuelle,
trimestrielle, mensuelle ou hebdomadaire – faisant partie de CANSIM (la base de données socioéconomiques de Statistique Canada) est désignée par un numéro de référence comportant le préfixe V
(par exemple : V1432). Dans nos tableaux, le numéro apparaît en tête de colonne et désigne la série
hebdomadaire, mensuelle ou trimestrielle qui figure dans la colonne. Les données courantes et les données
révisées sont introduites dans le fichier CANSIM dès qu’elles sont publiées.
Weekly series
Séries hebdomadaires
The tables in the Banking and Financial Statistics do not cover a full year of weekly data.
For all Wednesday series, in the event that a holiday falls on a Wednesday, data for the
preceding business day will be shown. Figures for weekly series in Tables F11–F15 are
available on request from the Bank of Canada’s Financial Markets Department. Figures
for other weekly series for which the Bank of Canada is the source are available on request
from the Department of Monetary and Financial Analysis, Bank of Canada, Ottawa
K1A 0G9.
Dans les tableaux des Statistiques bancaires et financières, les séries hebdomadaires ne couvrent pas une
année entière. Lorsque le mercredi est un jour férié, les statistiques du mercredi sont établies à partir des
données du jour ouvrable précédent. Le département des Marchés financiers de la Banque du Canada
fournit sur demande les données des séries hebdomadaires figurant aux Tableaux F11 à F15. Pour obtenir
les données des autres séries hebdomadaires, il faut s’adresser au département des Études monétaires et
financières, Banque du Canada, Ottawa K1A 0G9.
Notes to the tables
Notes relatives aux tableaux
The reference notes to the statistical tables in the Statistics are printed separately and are
updated and reprinted from time to time. The most recent note supplement is dated
January 2006. Copies of the Notes to the tables may be obtained by writing to the Bank of
Canada Review, Publications Distribution, Communications Services, Bank of Canada,
Ottawa, Ontario, Canada K1A 0G9. E-mail address: publications@bankofcanada.ca.
Les notes relatives aux tableaux des Statistiques bancaires et financières font l’objet d’une publication
distincte et sont mises à jour et réimprimées de temps à autre. La plus récente édition des notes date de
janvier 2006. Ceux qui désirent recevoir des exemplaires des notes sont priés de s’adresser à la Revue de la
Banque du Canada, Diffusion des publications, Services de communication, Banque du Canada, Ottawa
(Ontario), Canada, K1A 0G9 ou d’adresser tout message électronique à : publications@banqueducanada.ca.
Banking and Financial Statistics
October 2007
A1
(9) M1+ (gross): Currency outside banks plus personal and non-personal chequable
deposits held at chartered banks plus all chequable deposits at trust and mortgage
loan companies, credit unions and caisses populaires (excluding deposits of these
institutions) plus continuity adjustments.
(10) M1++ (gross): M1+ (gross) plus non-chequable notice deposits held at chartered
banks plus all non-chequable deposits at trust and mortgage loan companies,
credit unions and caisses populaires less interbank non-chequable notice deposits
plus continuity adjustments.
(11) M2++ (gross): M2+(gross) plus Canada Savings Bonds and other retail
instruments plus cumulative net contributions to mutual funds other than Canadian
dollar money market mutual funds [which are already included in M2+ (gross)].
Statistiques bancaires et financières
Octobre 2007
S 120
A1
(9) M1+ (brut) : Monnaie hors banques, plus les dépôts des particuliers et autres que ceux des
particuliers transférables par chèque dans les banques et tous les dépôts transférables par chèque
dans les sociétés de fiducie ou de prêt hypothécaire, les caisses populaires et les credit unions (à
l’exclusion des dépôts de ces institutions), auxquels s’ajoutent les corrections effectuées pour
assurer la continuité des données.
(10) M1++ (brut) : M1+ (brut) plus les dépôts à préavis non transférables par chèque dans les banques et
tous les dépôts non transférables par chèque dans les sociétés de fiducie ou de prêt hypothécaire, les
caisses populaires et les credit unions, moins les dépôts interbancaires à préavis non transférables
par chèque, auxquels s’ajoutent les corrections effectuées pour assurer la continuité des données
(11) M2++ (brut) : M2+ (brut) plus les obligations d’épargne du Canada, les autres titres de placement
au détail et les montants cumulatifs nets versés dans les fonds communs de placement autres que
les fonds du marché monétaire en dollars canadiens (lesquels sont déjà comptabilisés dans M2+
(brut)).
A2
A2
The majority of data in this table are based on, or derived from, series published in other
statistical tables in the Banking and Financial Statistics. For each column in Table A2, a
more detailed description is given below, as well as the source table in the Banking and
Financial Statistics, where relevant.
La plupart des données du Tableau A2 sont tirées des séries publiées dans d’autres tableaux des Statistiques
bancaires et financières. On trouvera ci-dessous, pour chaque colonne de données, une description détaillée
et, le cas échéant, le numéro du tableau des Statistiques bancaires et financières d’où proviennent les
chiffres.
(1) M1+ (gross): Currency outside banks plus personal and non-personal chequable
deposits held at chartered banks plus all chequable deposits at trust and mortgage
loan companies, credit unions and caisses populaires (excluding deposits of these
institutions) plus continuity adjustments.
(2) M1++ (gross): M1+ (gross) plus non-chequable notice deposits held at chartered
banks plus all non-chequable deposits at trust and mortgage loan companies,
credit unions and caisses populaires less interbank non-chequable notice deposits
plus continuity adjustments.
(3) M2+ (gross): M2 (gross) plus deposits at trust and mortgage loan companies and
government savings institutions, deposits and shares at credit unions and caisses
populaires,and life insurance company individual annuities and money market
mutual funds plus adjustments to M2+ (gross) described in notes to Table E1.
(4) M2++ (gross): M2+ (gross) plus Canada Savings Bonds and other retail
instruments plus cumulative net contributions to mutual funds other than Canadian
dollar money market mutual funds [which are already included in M2+ (gross)].
(5) Short-term business credit (Table E2)
(6) Total business credit (Table E2)
(7) Consumer credit (Table E2)
(8) Residential mortgage credit (Table E2)
(9) Gross domestic product in current prices (Table H1)
(10) Gross domestic product in chained 1997 dollars (Table H2)
(11) Gross domestic product by industry (Table H4)
(12) Civilian employment as per labour force survey (Table H5)
(13) Unemployment as a percentage of the labour force (Table H5)
(14–15)Data for capacity utilization rates are obtained from the Statistics Canada
quarterly publication Industrial Capacity Utilization Rates in Canada (Catalogue
31-003), which provides an overview of the methodology. Non-farm goodsproducing industries include logging and forestry; mines, quarries and oil wells;
manufacturing; electric power and gas utilities; and construction.
(1) M1+ (brut) : Monnaie hors banques, plus les dépôts des particuliers et autres que ceux des
particuliers transférables par chèque dans les banques et tous les dépôts transférables par chèque
dans les sociétés de fiducie ou de prêt hypothécaire, les caisses populaires et les credit unions (à
l’exclusion des dépôts de ces institutions), auxquels s’ajoutent les corrections effectuées pour
assurer la continuité des données.
(2) M1++ (brut) : M1+ (brut) plus les dépôts à préavis non transférables par chèque dans les banques et
tous les dépôts non transférables par chèque dans les sociétés de fiducie ou de prêt hypothécaire, les
caisses populaires et les credit unions, moins les dépôts interbancaires à préavis non transférables
par chèque, auxquels s’ajoutent les corrections effectuées pour assurer la continuité des données
(3) M2+ (brut) : M2 (brut) plus les dépôts dans les sociétés de fiducie ou de prêt hypothécaire et dans
les caisses d’épargne publiques, les dépôts et les parts sociales dans les caisses populaires et les
credit unions, les rentes individuelles offertes par les compagnies d’assurance vie, les fonds
communs de placement du marché monétaire et les corrections apportées à M2+ (brut) qui sont
décrites dans les notes relatives au Tableau E1
(4) M2++ (brut) : M2+ (brut) plus les obligations d’épargne du Canada, les autres titres de placement
au détail et les montants cumulatifs nets versés dans les fonds communs de placement autres que
les fonds du marché monétaire en dollars canadiens (lesquels sont déjà comptabilisés dans M2+
(brut))
(5) Crédits à court terme aux entreprises (Tableau E2)
(6) Ensemble des crédits aux entreprises (Tableau E2)
(7) Crédit à la consommation (Tableau E2)
(8) Crédit hypothécaire à l’habitation (Tableau E2)
(9) Produit intérieur brut à prix courants (Tableau H1)
(10) Produit intérieur brut en dollars enchaînés 1997 (Tableau H2)
(11) Produit intérieur brut par branche d’activité (Tableau H4)
(12) Personnes ayant un emploi, d’après l’Enquête sur la population active (militaires exclus)
(Tableau H5)
(13) Taux de chômage, en pourcentage de la population active (Tableau H5)
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 121
(16) Consumer price index (Table H8)
(17) Consumer price index excluding eight of the most volatile components: fruit,
vegetables, gasoline, fuel oil, natural gas, intercity transportation, tobacco, and
mortgage-interest costs, as well as the effect of changes in indirect taxes on the
other CPI components (Table H8)
(18) Gross domestic product chain price index (Table H3)
(19) Unit labour costs are defined as aggregate labour income per unit of output (real
GDP at basic prices).
(20–21)The data on wage settlements are published by Human Resources and Skills
Development Canada and represent the effective annual increase in base wage
rates for newly negotiated settlements. These data cover bargaining units with 500
or more employees. Contracts both with and without cost-of-living-allowance
clauses are included.
(22–23)Bank of Canada commodity price indexes: Total and total excluding energy
(Table H9)
(24) Treasury bills are mid-market rates for typical quotes on the Wednesday shown.
(25–26)Selected Government of Canada benchmark bond yields are based on actual midmarket closing yields of selected Canada bond issues that mature approximately
for the indicated term. At times, some of the change in the yield occurring over a
reporting period may reflect a switch to a more current issue. Yields for Real
Return Bonds are mid-market closing yields for the last Wednesday of the month
and are for the 4.00% bond maturing 1 December 2031. Prior to 24 September
2001, the benchmark bond was 4.25% maturing 1 December 2026. Prior to
7 December 1995, the benchmark bond was 4.25% maturing 1 December 2021.
(27–28)The data on the government surplus or deficit on a national accounts basis are
taken from Statistics Canada’s National Income and Expenditure Accounts
(Catalogue 13-001), where the government surplus or deficit is referred to as
“net lending.”
(29) Merchandise trade balance, balance of payments basis (Table J1)
(30) Current account balance, balance of payments basis (Table J1)
(31) U.S. dollar in Canadian dollars, average noon spot rate (Table I1)
(14–15)Les données relatives aux taux d’utilisation des capacités sont tirées de la publication trimestrielle
de Statistique Canada intitulée Taux d’utilisation de la capacité industrielle au Canada (no 31-003
au catalogue), qui fournit un aperçu de la méthodologie employée. Les industries productrices de
biens non agricoles comprennent l’exploitation forestière, les mines, les carrières et les puits de
pétrole, les industries manufacturières, la distribution de gaz et d’électricité et la construction.
(16) Indice des prix à la consommation (Tableau H8)
(17) Indice des prix à la consommation excluant huit des composantes les plus volatiles de l’IPC, à
savoir les fruits, les légumes, l’essence, le mazout, le gaz naturel, le transport interurbain, le tabac
et les intérêts sur prêts hypothécaires de même que l’effet des modifications des impôts indirects
sur les autres composantes de l’IPC (Tableau H8)
(18) Indice de prix en chaîne du produit intérieur brut (Tableau H3)
(19) Revenu total du travail par unité produite (PIB réel aux prix de base)
(20–21)Les données relatives aux accords salariaux sont publiées par Ressources humaines et
Développement des compétences Canada. Elles représentent l’augmentation annuelle effective
du taux de rémunération de base stipulée dans les nouvelles conventions collectives (assorties ou
non de clauses de vie chère) et ne concernent que les unités de négociation comptant au moins
500 employés.
(22–23)Indices des prix des produits de base de la Banque du Canada : indice global et indice hors énergie
(Tableau H9)
(24) Le rendement des bons du Trésor est calculé en fonction de la moyenne des cours acheteur et
vendeur types observés le mercredi indiqué.
(25–26)Quelques rendements d’obligations types du gouvernement canadien. Les taux indiqués sont
calculés en fonction de la moyenne des cours acheteur et vendeur, à la clôture, de certaines
émissions d’obligations du gouvernement canadien dont les échéances correspondent à peu près à
celles indiquées. Les variations des taux de rendement observées sur une période peuvent être
partiellement imputables au remplacement d’une émission par une autre plus récente. Le
rendement des obligations à rendement réel est calculé en fonction de la moyenne des cours
acheteur et vendeur établie à la clôture le dernier mercredi du mois et se rapporte aux obligations
à rendement réel 4,00 % arrivant à échéance le 1er décembre 2031. Avant le 24 septembre 2001,
l’émission de référence était l’émission 4,25 % échéant le 1er décembre 2026. Avant le 7 décembre
1995, l’émission de référence était l’émission 4,25 % échéant le 1er décembre 2021.
(27–28)Les données relatives à l’excédent ou au déficit budgétaire de l’État sont tirées des Comptes
nationaux des revenus et dépenses (no 13-001 au catalogue), où elles figurent sous la rubrique
« prêt net ».
(29) Solde commercial établi sur la base de la balance des paiements (Tableau J1)
(30) Solde des transactions courantes établi sur la base de la balance des paiements (Tableau J1)
(31) Moyenne des cours au comptant du dollar É.-U. en dollars canadiens à midi (Tableau I1)
B3
B3
Source: Bank of Canada
Table B3 contains data pertaining to the Large Value Transfer System (LVTS) and
open market operations conducted by the Bank of Canada. All data are reported as weekly
and monthly totals, with the number of business days on which transactions occurred
during the period reported.
Reflecting the change to next-day settlement of payments in the Automated Clearing
Settlement System (ACSS), which was effective November 2003, end-of-day overdraft
and long positions for this clearing and settlement system no longer exist. See Technical
Note: Elimination of Retroactive Settlement in the ACSS in the Autumn 2003 issue of the
Bank of Canada Review.
Source : Banque du Canada
Le Tableau B3 renferme des données relatives au Système de transfert de paiements de grande valeur
(STPGV) et aux opérations d’open market conclues par la Banque du Canada. Toutes ces données sont
regroupées en totaux hebdomadaires et mensuels; le nombre de jours ouvrables durant lesquels des
opérations ont été effectuées au cours de la période de déclaration est également indiqué.
Par suite de l’adoption, en novembre 2003, du mode de règlement pour valeur le lendemain des
paiements effectués par l’entremise du Système automatisé de compensation et de règlement (SACR), les
participants à ce dernier n’affichent plus de découverts ni de soldes créditeurs en fin de journée. Voir le
texte intitulé « Note technique : L’élimination du règlement rétroactif dans le SACR », paru dans la
livraison d’automne 2003 de la Revue de la Banque du Canada.
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 122
Overdraft loans are the amounts lent to LVTS participants by the Bank of Canada to
cover deficits at the end of the day arising from the operation of the LVTS and any other
loans to members of the Canadian Payments Association by the Bank of Canada. Interest
on overnight loans to LVTS participants is charged at the Bank Rate, which is the upper
limit of the Bank of Canada’s operating band. Interest on any other loans is charged at a
rate set by the Bank of Canada, which is typically the Bank Rate.
Positive balances are the end-of-day balances in the LVTS. The interest rate paid by
the Bank of Canada on positive balances after settlement of the LVTS is set at the lower
limit of the operating band.
Special deposit accounts (SDAs) are balances placed on deposit at the Bank of
Canada as collateral for LVTS overdraft loans. The interest rate paid on SDAs is set at the
published overnight money market financing rate less 1/16 of one per cent.
Special purchase and resale agreements (SPRAs) are repo-type transactions in which
the Bank of Canada offers to purchase Government of Canada securities from designated
counterparties (primary dealers) with an agreement to sell them back at a predetermined
price the next business day. SPRAs are used to reinforce the target for the overnight rate
when collateralized overnight funds are generally trading above the Target Rate.
Sale and repurchase agreements (SRAs) are reverse repo-like transactions in which
the Bank of Canada offers to sell Government of Canada securities to designated
counterparties (primary dealers) with an agreement to buy them back at a predetermined
price on the next business day. SRAs are used to reinforce the target for the overnight rate
when collateralized overnight funds are generally trading below the Target Rate.
Term purchase and resale agreements are repo-type transactions with terms to
maturity of longer than one business day that are conducted to temporarily acquire assets
for the Bank of Canada’s balance sheet. These transactions are typically conducted to
offset seasonal fluctuations in the demand for bank notes.
Securities lending operations are transactions in which the Bank of Canada lends
certain securities held on its balance sheet in the secondary market for a term of one
business day. The loans are secured by pledges of other securities as collateral. These
operations are intended to support the liquidity of Government of Canada securities by
providing a secondary and temporary source of securities to the market when a specific
issue is trading at expensive levels in the repo market.
The total amount of SPRAs, SRAs, Term purchase and resale agreements, and
securities lending operations refer to the total par value conducted over the period. Days
transacted refers to the number of business days during the period at which operations
were conducted.
Les prêts pour découvert comprennent les prêts que la Banque du Canada accorde aux participants au
STPGV pour couvrir les positions débitrices affichées en fin de journée à l’issue du processus de règlement
quotidien dans le STPGV; ce poste inclut aussi les autres prêts consentis par la Banque aux membres de
l’Association canadienne des paiements. Le taux d’intérêt qui est appliqué aux prêts à un jour que la
banque centrale octroie aux participants au STPGV est le taux officiel d’escompte, qui correspond à la
limite supérieure de la fourchette opérationnelle établie par la Banque du Canada. Le taux d’intérêt
applicable aux autres prêts est déterminé par la Banque et correspond généralement au taux d’escompte.
Les soldes créditeurs sont les soldes calculés en fin de journée au terme du règlement des opérations
dans le STPGV. Le taux d’intérêt auquel la Banque du Canada rémunère ces soldes correspond à la limite
inférieure de la fourchette opérationnelle.
Les comptes spéciaux de dépôt désignent les montants déposés à la Banque du Canada en garantie des
prêts pour découvert accordés dans le cadre du STPGV. Le taux auquel ces comptes sont rémunérés est
inférieur de 1/16 de 1 % au taux officiel du financement à un jour sur le marché monétaire.
Les prises en pension spéciales sont des opérations de pension en vertu desquelles la Banque du
Canada offre d’acheter des titres du gouvernement du Canada à des contrepartistes désignés (les négociants
principaux) en s’engageant à les leur revendre le jour ouvrable suivant à un prix fixé d’avance. Ces prises
en pension servent à renforcer la cible relative au taux du financement à un jour lorsque le taux des prêts à
un jour garantis s’établit généralement au-dessus du taux visé.
Les cessions en pension sont des opérations de pension en vertu desquelles la Banque du Canada offre
de vendre des titres du gouvernement du Canada à des contrepartistes désignés (les négociants principaux)
en s’engageant à les leur racheter le jour ouvrable suivant à un prix fixé d’avance. Les cessions en pension
servent à renforcer la cible relative au taux du financement à un jour lorsque le taux des prêts à un jour
garantis s’établit généralement au-dessous du taux visé.
Les prises en pension à plus d’un jour sont des opérations de pension qui permettent à la Banque du
Canada d’acquérir à titre temporaire des actifs financiers pour les besoins de son bilan. Elles visent
habituellement à contrebalancer l’effet des variations saisonnières de la demande de billets de banque.
Les opérations de prêt de titres désignent des opérations en vertu desquelles la Banque du Canada met
certains des titres qu’elle détient à la disposition d’emprunteurs sur le marché secondaire jusqu’au jour
ouvrable suivant. Ces prêts sont garantis par d’autres valeurs mobilières données en nantissement. Ces
opérations visent à soutenir la liquidité des titres du gouvernement du Canada en fournissant une source
secondaire et temporaire de titres lorsqu’une émission particulière se négocie à des prix élevés sur le
marché des pensions.
Le montant total des prises en pension spéciales, des cessions en pension, des prises en pension à plus
d’un jour et des opérations de prêt de titres correspond à la valeur nominale totale des opérations conclues
pendant une période donnée. Le nombre de jours désigne le nombre total de jours durant lesquels des
transactions ont été effectuées.
C8
C8
Source: Bank of Canada
The data shown are monthly averages of Wednesdays prior to January 1994, and
monthly averages of days thereafter. The series have been seasonally adjusted by means of
Statistics Canada’s X–12 ARIMA Seasonal Adjustment Program, which employs a ratioto-moving-average technique on an observed data series that may be augmented by one
year of ARIMA forecasted and backcasted data. Since the seasonal adjustment is
recalculated when an additional 12 months of data become available, the series are subject
to annual revisions. The individual series as well as the aggregates are adjusted
independently; consequently, the seasonally adjusted components do not necessarily add
to the totals. Data are available from July 1954. Users are referred to the notes to the tables
in the December 1982 issue of the Review and in earlier issues for a description of the
impact on the data of the 1967 Bank Act revisions.
Source : Banque du Canada
Les données du Tableau C8 sont les moyennes mensuelles des mercredis de la période antérieure
à janvier 1994 et les moyennes mensuelles des jours écoulés depuis. Les séries ont été désaisonnalisées
à l’aide de la méthode X-12-ARMMI du programme de désaisonnalisation de Statistique Canada, qui
applique la technique des moyennes mobiles aux séries chronologiques et permet de produire, par
extrapolation, les séries de l’année précédente ou de l’année suivante. Les facteurs de désaisonnalisation
sont calculés à nouveau chaque fois que paraissent les données d’une nouvelle période de douze mois,
de sorte que ces séries sont révisées chaque année. Du fait que ces statistiques sont désaisonnalisées
séparément, la somme des éléments d’un même ensemble ne correspond pas toujours au total indiqué. Ces
données remontent à juillet 1954. Les utilisateurs trouveront, dans les notes relatives aux tableaux parues
dans la livraison de décembre 1982 et dans les numéros précédents de la Revue, une description des
répercussions que les révisions apportées en 1967 à la Loi sur les banques ont eues sur les données.
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 123
• Net demand deposits are net of estimated private sector float.
• Less liquid Canadian dollar assets consist principally of loans, mortgages, and nonGovernment of Canada securities.
• Total loans do not include day-to-day loans, call loans, or residential mortgage
loans.
• General loans represent business and personal loans, loans to farmers, loans to
religious, education, health and welfare institutions, and loans to grain dealers and to
sales, finance and consumer loan companies. Loans to provinces and municipalities are
not included.
• Total personal loans include loans to purchase Canada Savings Bonds.
• Dépôts à vue nets. Le montant estimatif des effets du secteur privé en compensation a été déduit du
montant des dépôts.
• Les avoirs de seconde liquidité en dollars canadiens comprennent essentiellement les prêts, les prêts
hypothécaires et les titres autres que ceux du gouvernement canadien.
• L’ensemble des prêts ne comprend pas les catégories spéciales suivantes : prêts au jour le jour, prêts à
vue et prêts hypothécaires à l’habitation.
• Les prêts généraux comprennent les prêts aux entreprises, les prêts aux particuliers et les prêts aux
agriculteurs, aux institutions religieuses et aux établissements d’enseignement, de soins de santé et de
bienfaisance, aux négociants en grains et aux sociétés de financement ou de prêt à la consommation. Ils ne
comprennent pas les prêts aux provinces et aux municipalités.
• L’ensemble des prêts personnels comprend les prêts destinés à financer l’achat d’obligations
d’épargne du Canada.
El–E2
E1–E2
Sources: Bank of Canada, Canada Mortgage and Housing Corporation, Canadian Life and
Health Insurance Association, Computershare Trust Company of Canada, Dominion Bond
Rating Service, Globe Information Services, Investment Funds Institute of Canada, and
Statistics Canada
Except where noted, the chartered bank data referenced in these tables are published
in Tables C1 and C2 of the Bank of Canada Banking and Financial Statistics and those for
the non-bank financial institutions are published in Tables D1, D2, D3, D4, D5, and K4.
The data relate to monthly average of Wednesdays until January 1994 and monthly
average of days thereafter, except for data on non-bank financial institutions which are
shown on an average of month-end basis. Historical data on a weekly basis for the period
prior to November 1993 are available on CANSIM or from the Department of Monetary
and Financial Analysis, Bank of Canada.
Data for M1 have been available since January 1953, M2 and M2+ since January
1968, and M3 since January 1970. Data for M1++ and M2++ are available since January
1968, and M1+ since March 1975. Seasonally adjusted gross M1 is the sum of seasonally
adjusted currency, seasonally adjusted personal chequing accounts plus seasonally
adjusted current accounts plus adjustment items as described below. Seasonally adjusted
M1 is the sum of seasonally adjusted currency plus seasonally adjusted net demand
deposits at chartered banks plus adjustment items as described below. Seasonally adjusted
M2+ is the sum of seasonally adjusted M2 plus the seasonally adjusted sum of deposits at
trust and mortgage loan companies, deposits at credit unions and caisses populaires, life
insurance company individual annuities, personal deposits at government-owned savings
institutions and money market mutual funds, plus adjustment items as described below.
Seasonally adjusted M2++ is the sum of seasonally adjusted M2+ plus seasonally adjusted
Canada Savings Bonds and other retail instruments plus seasonally adjusted non-money
market mutual funds. Other aggregates are seasonally adjusted independently. In all cases,
the seasonal adjustment is calculated by means of Statistics Canada’s X–12 ARIMA
Seasonal Adjustment Program, which employs a ratio-to-moving-average technique on an
observed data series, which may be augmented by one year of ARIMA forecasted and
backcasted data. The seasonal adjustment is recalculated annually; thus, the series are
subject to annual revisions.
The series outlining adjustments to the monetary aggregates include adjustments to
historical data to take account of a number of discontinuities related to the changes
associated with the 1980 Bank Act revision. These adjustments are described in an article
in the March 1983 issue of the Review. The series outlining adjustments to the monetary
Sources : Association canadienne des compagnies d’assurance de personnes, Banque du Canada, Dominion
Bond Rating Service, Globe Information Services, Institut des fonds d’investissement du Canada, Société
canadienne d’hypothèques et de logement, Société de fiducie Computershare du Canada, et Statistique
Canada
Sauf indication contraire, les données relatives aux banques à charte reprises dans ces tableaux se
trouvent aux tableaux C1 et C2 des Statistiques bancaires et financières de la Banque du Canada, et celles
des institutions financières parabancaires, aux Tableaux D1, D2, D3, D4, D5, K4 et K5. Les statistiques
indiquées représentent les moyennes mensuelles des mercredis pour la période antérieure à janvier 1994
et les moyennes mensuelles des journées écoulées depuis, à l’exception des statistiques relatives aux
institutions parabancaires qui représentent les moyennes de fin de mois. Les intéressés peuvent obtenir des
données rétrospectives pour la période antérieure à novembre 1993 en consultant le fichier CANSIM
ou en s’adressant au département des Études monétaires et financières de la Banque du Canada.
Les données de l’agrégat M1 remontent à janvier 1953, celles de M2 et de M2+, à janvier 1968 et
celles de M3, à janvier 1970. Quant aux données des agrégats M1++ et M2++, elles remontent à janvier
1968 et celles de M1+, à mars 1975. Les données désaisonnalisées de M1 brut sont la somme des données
désaisonnalisées de la monnaie hors banques, des comptes de chèques personnels et des comptes courants,
laquelle est majorée des chiffres des ajustements décrits ci-dessous. Les données désaisonnalisées de M1
sont la somme des données désaisonnalisées de la monnaie hors banques et des dépôts à vue (en termes
nets) dans les banques à charte, majorée des chiffres des ajustements décrits ci-dessous. Les données
désaisonnalisées de M2+ sont la somme des données désaisonnalisées de M2 et des données
désaisonnalisées des dépôts dans les sociétés de fiducie ou de prêt hypothécaire, des dépôts dans les caisses
populaires et les credit unions, des rentes individuelles versées par les compagnies d’assurance vie, des
dépôts des particuliers dans les caisses d’épargne publiques et des fonds communs de placement du marché
monétaire, augmentée des ajustements décrits ci-dessous. Les données désaisonnalisées de M2++ sont la
somme des données désaisonnalisées de M2+ et des données désaisonnalisées relatives aux obligations
d’épargne du Canada, aux autres titres de placement au détail et aux fonds communs de placement autres
que ceux du marché monétaire. Les données relatives aux autres agrégats sont désaisonnalisées
séparément. Dans tous les cas, la désaisonnalisation a été faite à l’aide de la méthode X-12-ARMMI du
programme de désaisonnalisation de Statistique Canada, qui applique la technique des moyennes mobiles
aux séries chronologiques et permet de calculer les chiffres de l’année précédente ou de l’année suivante.
Comme les facteurs de désaisonnalisation sont recalculés chaque année, ces séries sont soumises à une
révision annuelle.
Les séries relatives aux corrections apportées aux agrégats de la monnaie englobent les corrections
apportées aux données rétrospectives pour tenir compte des nombreuses ruptures survenues à la suite des
changements liés aux modifications apportées en 1980 à la Loi sur les banques. Ces ajustements sont
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 124
and credit aggregates also include adjustments to take account of the discontinuities
related to the incorporation over time of certain non-bank financial institutions as
chartered banks and adjustment for the acquisition of certain non-bank financial
institutions’ assets and liabilities by chartered banks. These discontinuities are
documented in the notes to Tables C1–C10 and D1.
Each of the credit aggregates (consumer credit, residential mortgage credit, household
credit, short-term business credit, and total business credit) includes an adjustment for the
effects of “securitization.” Securitization occurs when loans are removed from the balance
sheets of financial institutions and sold to special-purpose corporations who issue
commercial paper and other notes secured by the transferred assets. This credit, which is
lost from the balance sheets of financial institutions, is recaptured by bringing into the
credit aggregates loans held by the special-purpose securitization corporations. These data
are obtained from Statistics Canada’s Quarterly Survey of Securitized Receivables and
Asset-backed Securities. Data for the months between quarter-ends are created by linear
interpolation supplemented by adjustments for known large transactions. (See the article
in the Summer 1998 issue of the Review for more information on the adjustments for
securitization.)
décrits dans un article paru dans la livraison de mars 1983 de la Revue. Les séries relatives aux corrections
apportées aux agrégats de la monnaie et du crédit tiennent compte également des ruptures découlant du fait
que certaines institutions parabancaires ont reçu le statut de banque à charte et que des banques à charte ont
pris le contrôle de certaines institutions parabancaires. Ces ruptures sont expliquées dans les notes relatives
aux Tableaux C1 à C10 et D1.
Chacun des agrégats du crédit (crédit à la consommation, crédit hypothécaire à l’habitation, crédit aux
ménages, crédits à court terme aux entreprises et ensemble des crédits aux entreprises) est corrigé pour
tenir compte de l’effet de la « titrisation ». La titrisation consiste à retirer des prêts des bilans d’institutions
financières et à les vendre à des sociétés spécialisées qui émettent du papier commercial et d’autres
billets garantis par les avoirs transférés. Afin de tenir compte de ce crédit qui est enlevé des bilans
d’institutions financières, on englobe dans les agrégats du crédit les prêts détenus par les sociétés
spécialisées en titrisation. Les données sont tirées du Relevé trimestriel des créances titrisées et titres
adossés à des créances publié par Statistique Canada. Les données pour les périodes comprises entre les
fins de trimestre sont établies selon la méthode de l’interpolation linéaire et en tenant compte de l’incidence
d’importantes transactions. (Pour plus de renseignements sur les corrections effectuées pour tenir compte
de l’effet de la titrisation, voir l’article sur le sujet dans la livraison d’été 1998 de la Revue.)
El
E1
Sources: Bank of Canada, Statistics Canada, Globe Information Services, and Investment
Funds Institute of Canada
• Currency outside banks includes Bank of Canada notes and coin in circulation.
Holdings of notes are calculated by deducting the amount held by the chartered banks
from the total amount of notes outstanding. The amount of coin in circulation outside
banks is obtained by deducting coin held by the chartered banks and the Bank of Canada
from the total amount outstanding as reported by the Royal Canadian Mint. • Chartered
bank net demand deposits are Canadian dollar gross demand deposits net of estimated
private sector float.
• Adjustments to M1, which are included in Gross M1, include continuity adjustments
as well as adjustments for demand deposits of other chartered banks.
• Adjustments to M2 include continuity adjustments as well as notice deposits of other
chartered banks.
• Adjustments to M3 include continuity adjustments as well as term deposits of other
chartered banks.
• Until January 2000, data for trust and mortgage loan companies for months between
quarter-ends are estimated by a combination of interpolation of quarterly Statistics Canada
data supplemented by some available monthly data. Since that time, data for the months
between quarter-ends are derived using linear interpolation. Beginning December 2004,
data includes Cooperative Retail Associations.
• Data for credit unions and caisses populaires for months between quarter-ends are
estimated using monthly data obtained from the larger provincial centrals and federations.
• Data for life insurance company individual annuities are created from quarterly
Canadian Life and Health Insurance Association data. Data for the months between
quarter-ends are derived using linear interpolation.
• Personal deposits at government-owned savings institutions include personal
deposits at ATB Financial. Prior to April 2003, it also included total deposits at Province of
Ontario Savings Office, which was acquired by Desjardins Credit Union Inc. at that time.
• Data for money market mutual funds represent the assets of funds that primarily
invest in Canadian or foreign short-term money market instruments. Prior to March 1990,
data were obtained from Globe Information Services. Since March 1990, data have been
obtained from Investment Funds Institute of Canada.
Sources : Banque du Canada, Statistique Canada, Globe Information Services et Institut des fonds
d’investissement du Canada
• Le poste Monnaie hors banques comprend les billets de la Banque du Canada et la monnaie
métallique en circulation. Pour obtenir le montant des billets détenus par le public, on soustrait de l’encours
des billets le montant détenu par les banques à charte. Le montant des pièces de monnaie hors banques
s’obtient en déduisant le montant détenu par les banques à charte et par la Banque du Canada de l’encours
global des pièces donné par la Monnaie royale canadienne. • Le poste Dépôts à vue nets aux banques à
charte indique le montant brut des dépôts à vue en dollars canadiens dont a été déduit le montant estimatif
des effets du secteur privé en compensation.
• Les ajustements à M1, principal élément de M1 brut, englobent les corrections effectuées pour
assurer la continuité des données et pour tenir compte des dépôts à vue d’autres banques à charte.
• Les ajustements à M2 comprennent les corrections effectuées pour assurer la continuité des données
et pour tenir compte des dépôts à préavis d’autres banques à charte.
• Les ajustements à M3 comprennent les corrections effectuées pour assurer la continuité des données
et pour tenir compte des dépôts à terme d’autres banques à charte.
• Jusqu’en janvier 2000, les données relatives aux sociétés de fiducie ou de prêt hypothécaire pour
les mois compris entre les fins de trimestre étaient établies en interpolant à partir des chiffres trimestriels
fournis par Statistique Canada et en se fondant sur certaines données mensuelles. Depuis, les données
relatives à ces mois sont obtenues exclusivement par interpolation linéaire. Elles englobent les associations
coopératives de détail depuis décembre 2004.
• Les données relatives aux caisses populaires et credit unions pour les périodes comprises entre les
fins de trimestre sont estimées à partir des chiffres mensuels fournis par les grandes centrales et fédérations
provinciales.
• Les données relatives aux compagnies d’assurance vie (rentes individuelles) sont estimées à partir
des données trimestrielles fournies par l’Association canadiene des companies d’assurance de personnes.
Les données pour les périodes comprises entre les fins de trimestre sont obtenues par interpolation linéaire.
• Le poste Dépôts des particuliers aux caisses d’épargne publiques comprend les dépôts des particuliers auprès d’ATB Financial. Avant avril 2003, il comprenait aussi l’ensemble des dépôts de la Caisse
d’épargne de l’Ontario, qui a été acquise par Desjardins Credit Union Inc.
• Les chiffres des fonds communs de placement du marché monétaire représentent les sommes investies
principalement dans les instruments à court terme des marchés monétaires canadien et étrangers. Avant
mars 1990, ces données étaient fournies par Globe Information Services. Depuis mars 1990, elles
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 125
• Adjustments to M2+ include continuity adjustments as well as credit union and
caisses populaires share capital, less the sum of Receiver General deposits at trust and
mortgage loan companies, trust and mortgage loan company holdings of currency and
demand and notice deposits with other deposit-taking institutions, and credit union and
caisses populaires holdings of currency and demand and notice deposits with other
deposit-taking institutions (other than provincial centrals and federations).
• Data for non-money market mutual funds represent the assets of funds that invest in
a wide range of Canadian or foreign financial instruments. The series is an estimate of
cumulative net inflows into these funds. Prior to March 1990, data were obtained from
Globe Information Services. Since March 1990, data have been obtained from Investment
Funds Institute of Canada.
• M1+ consists of Gross M1 plus chequable notice deposits held at chartered banks
plus all chequable deposits at trust and mortgage loan companies, credit unions and
caisses populaires (excluding deposits of these institutions) plus continuity adjustments.
• M1++ consists of M1+ plus non-chequable notice deposits held at chartered banks
plus all non-chequable deposits at trust and mortgage loan companies, credit unions and
caisses populaires less interbank non-chequable notice deposits plus continuity
adjustments.
proviennent de l’Institut des fonds d’investissement du Canada.
• Les données relatives aux ajustements à M2+ englobent les corrections de continuité, le capital social
des caisses populaires et des credit unions, déduction faite des dépôts du Receveur général dans les sociétés
de fiducie ou de prêt hypothécaire, des avoirs en numéraire et dépôts à vue ou à préavis de ces dernières
dans d’autres institutions de dépôt et des avoirs en numéraire et dépôts à vue ou à préavis détenus par les
caisses populaires et les crédit unions dans des institutions de dépôt autres que les centrales ou les
fédérations provinciales.
• Les chiffres des fonds communs de placement autres que ceux du marché monétaire représentent les
sommes investies dans un vaste éventail d’instruments financiers canadiens ou étrangers. La série en
question est une estimation des entrées nettes cumulatives dans ces fonds. Avant mars 1990, ces données
étaient tirées du Globe Information Services. Depuis mars 1990, elles proviennent de l’Institut des fonds
d’investissement du Canada.
• M1+ comprend M1 brut plus les dépôts à préavis avec droit de tirage par chèque tenus dans les
banques, tous les dépôts avec droit de tirage par chèque dans les sociétés de fiducie ou de prêt hypothécaire,
les credit unions et les caisses populaires (desquels sont retranchés les dépôts de ces institutions), plus les
corrections effectuées pour assurer la continuité des données.
• M1++ comprend M1+ plus les dépôts à préavis sans droit de tirage par chèque dans les banques
et les dépôts sans droit de tirage par chèque dans les sociétés de fiducie ou de prêt hypothécaire, les credit
unions et les caisses populaires, moins les dépôts interbancaires à préavis non transférables par chèque,
auxquels s’ajoutent les corrections de continuité.
K8
K8
Sources: Bank of Canada, Canada Mortgage and Housing Corporation, Computershare
Trust Company of Canada, and Dominion Bond Rating Service
Bonds outstanding are shown at par value. Bonds payable in foreign currencies have
been converted into Canadian dollars using the closing spot rate for the last business day
of December. Related monthly series are available on CANSIM database at Statistics
Canada,Table 176-0071.
• Other currencies of payment are Eurodollars, sterling, Swiss francs, French francs,
Deutschemarks, Netherlands guilders, European Currency Units (ECU), European units of
account, Hong Kong dollars, Australian dollars, New Zealand dollars, Italian liras, the
Japanese yen, and optional currencies. • When the currency of issue is optional the issues
are payable in Canadian or U.S. dollars; Canadian dollars or sterling; Canadian dollars,
U.S. dollars, or sterling. Canadian dollar issues placed in overseas markets are included
with issues payable in Eurodollars.
• Government of Canada and provincial direct and guaranteed bonds do not include
treasury bills. • Municipal bonds do not include issues guaranteed by the provinces
(already included in provincial securities) and issues sold directly to provinces and their
agencies. • Corporate bonds include all assets of Canadian corporations payable in
Canadian dollars or in other currencies with the exception of finance company and
commercial paper with an original term to maturity of one year or less and issues sold to a
parent company, whether this parent is incorporated in Canada or abroad. • Included under
foreign debtors are those issues payable in Canadian dollars of the IBRD and certain foreign
governments and corporations.
• Term securitizations include instruments issued under the NHA-insured mortgagebacked securities program, as reported prior to January 2000 by the program trustee,
Computershare Trust Company of Canada, and since January 2000 by Canada Mortgage
and Housing Corporation, as well as other term securities issued by special purpose
corporations.
Sources : Banque du Canada, Dominion Bond Rating Service, Société canadienne d’hypothèques et de
logement et Société de fiducie Computershare du Canada
Les obligations figurent à leur valeur nominale. La valeur nominale des obligations libellées en
monnaies étrangères a été convertie en dollars canadiens, au cours du comptant à la clôture du dernier jour
ouvrable de décembre. Les séries mensuelles connexes sont disponibles par le truchement de la base de
données CANSIM de Statistique Canada (Tableau 176-0071).
• Les autres monnaies de paiement sont, entre autres, l’eurodollar, la livre sterling, le franc suisse, le
franc français, le deutsche mark, le florin néerlandais, l’unité monétaire européenne (ECU), les unités de
compte européennes, le dollar de Hong Kong, le dollar australien, le dollar néo-zélandais, la lire italienne et
le yen japonais. • La mention au choix, dans le cas de la monnaie de paiement, signifie que les obligations
sont payables en dollars canadiens ou en dollars É.-U.; en dollars canadiens ou en livres sterling; en dollars
canadiens, en dollars É. U. ou en livres sterling. Les émissions libellées en eurodollars comprennent les
émissions en dollars canadiens vendues sur les marchés d’outre-mer.
• Les obligations émises ou garanties par le gouvernement canadien ou par une province ne
comprennent pas les bons du Trésor. • Les obligations des municipalités ne comprennent ni les titres émis
sous la garantie d’une province (qui sont alors recensés comme obligations provinciales) ni les titres
vendus directement aux provinces ou à leurs agences. • Les obligations des sociétés englobent toutes les
émissions des sociétés canadiennes payables en dollars canadiens ou en monnaies étrangères, à l’exclusion
du papier émis par les sociétés de financement et du papier commercial dont l’échéance à l’émission ne
dépasse pas un an ainsi que des émissions vendues à des sociétés mères, que ces dernières aient été
constituées au Canada ou à l’étranger. • Figurent au poste Emprunteurs étrangers des obligations payables
en dollars canadiens, émises par la BIRD et certaines sociétés ou certains gouvernements étrangers.
• La titrisation à terme englobe les titres qui sont émis dans le cadre du Programme des titres
hypothécaires LNH (selon les données fournies, avant janvier 2000, par le fiduciaire du programme, la
Société de fiducie Computershare du Canada, et, depuis, par la Société canadienne d’hypothèques et de
logement) ainsi que d’autres titres à terme émis par des sociétés spécialisées.
Banking and Financial Statistics
October 2007
Statistiques bancaires et financières
Octobre 2007
S 126
K9
K9
Source: Bank of Canada
• Bonds include issues of Canadian corporations, payable in Canadian and foreign
currencies, placed in Canada and abroad. Issues payable in foreign currencies have been
converted into Canadian dollars at the average noon market rate for the month of delivery.
• Stocks include common and preferred stocks issued by Canadian corporations in Canada
and abroad. Issues sold to a parent company in Canada or abroad are excluded. For the
years before 1980 several stock issues, generally of less than $1 million, are not classified
by industry but are included in the total. For those years, therefore, the components do not
add up to the total. Classification by industry is generally based on the 1980 Standard
Industrial Classification published by Statistics Canada. Most holding companies are
classified as financial companies. Agriculture, fishing, trapping, logging and forestry
industries are included in the service and other category.
Source : Banque du Canada
• Les obligations englobent les émissions de sociétés canadiennes, libellées en dollars canadiens ou en
monnaies étrangères, qui sont placées au Canada ou à l’étranger. La valeur des émissions libellées en
monnaies étrangères a été convertie en dollars canadiens au taux correspondant à la moyenne mensuelle des
cours du change à midi, le mois de la livraison. • Les actions comprennent les actions ordinaires ou
privilégiées émises par les sociétés canadiennes au Canada ou à l’étranger. Les émissions vendues à une
société mère, au Canada ou à l’étranger, sont exclues. Pour les années antérieures à 1980, plusieurs
émissions d’actions, en général d’une valeur inférieure à 1 million de dollars, ne sont pas réparties par
branche d’activité économique, mais sont comprises dans le total. Par conséquent, pour ces années, il est
possible que la somme des différents éléments ne corresponde pas au total. La répartition par branche
d’activité économique s’appuie dans l’ensemble sur la Classification type des industries qu’a fait paraître
Statistique Canada en 1980. Les statistiques relatives à la plupart des sociétés de portefeuille sont
comprises dans celles des sociétés financières. Les statistiques relatives à l’agriculture, la pêche, le
piégeage et l’exploitation forestière figurent sous la rubrique Services et autres industries.
S 127
Subject index
Index des sujets
Note: References are to table numbers.The symbol “†”
Nota : Les numéros figurant après les sujets sont ceux des tableaux. Le
symbole † indique que les données sont désaisonnalisées.
indicates seasonally adjusted data.
Acceptances. See Bankers’ acceptances
Accounts payable and accrued liabilities
non-depository credit
intermediation, D3
Agricultural loans, chartered banks, C5
Alberta Treasury Branches, deposits, K4
Assets and liabilities
Bank of Canada, B1, B2, K1
chartered banks, C1, C2, C3, C4,
C8†, C9, C10
credit unions and caisses
populaires, D2
investment funds, D5
net flows, capital account, balance of
payments, J2
non-depository credit
intermediation, D3
regional distribution, chartered
banks, C5, C6
trust and mortgage loan
companies, D1
Balance of international payments,
A2†, J1†, J2
Bank notes
Bank of Canada liabilities, K1
in circulation, B1, B2, B4, C1
counterfeit, B4
Bank of Canada
advances to chartered banks, C4
advances to members of the
Canadian Payments
Association, B1, B3
assets and liabilities, B1, B2
bank notes, liabilities, K1
deposits by chartered banks, B1,
C1, C3
foreign currency deposits and
liabilities, B1, B2
holdings of Government of
Canada securities, B1, B2,
G1, G4, G5
investment in Industrial
Development Bank (IDB),
B1
Bank of Canada (continued)
transactions, K14
Bank Rate, F1
Bankers’ acceptances
chartered banks, C2, C4, C7, C8†
credit measures, E2
customers’ liability, C3, C5
financial futures (BARs and
BAXs), F15
credit unions and caisses
populaires, D2
life insurance companies, D4
non-depository credit
intermediation, D3
trust and mortgage loan
companies, D1
segregated funds, D4
investment funds, D5
money market trading, F11
new issues, F4, F5
outstanding, F2
rates, F1
regional distribution, C5, C6
BARs (1-month bankers’ acceptances
futures), F15
BAXs (3-month bankers’acceptances
futures), F15
Bonds
corporate (see Corporate bonds)
Government of Canada (see Bonds,
Government of Canada)
holdings
Bank of Canada, B1, B2, G1,
G4
chartered banks, C1, C3
credit unions and caisses
populaires, D2
general public, G1, G4, G5
investment funds, D5
life insurance companies, D4
segregated funds, D4
trust and mortgage loan
companies, D1
municipal (see Municipal
bonds)
Acceptations bancaires
Banques à charte C2 C4 C7 C8†
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Contrats à terme sur acceptations bancaires
(BAR et BAX) F15
Émissions F4 F5
Encours F2
Engagements de clients C3 C5
Indicateurs du crédit E2
Intermédiation financière non financée au
moyen de dépôts D3
Opérations conclues sur le marché monétaire
F11
Répartition régionale C5 C6
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Taux F1
Actif et passif
Banque du Canada B1 B2 K1
Banques à charte C1 C2 C3 C4 C8† C9 C10
Caisses populaires et credit unions D2
Flux nets, compte de capital, balance des
paiements J2
Intermédiation financière non financée au
moyen de dépôts D3
Répartition régionale, banques à charte C5 C6
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Actions
— en portefeuille D1 D5
Bourses F3
Émissions et rachats F4 F5 F6 F9 F10 K9
Taux de capitalisation des bénéfices F3
Taux de rendement F3
Voir aussi Obligations des sociétés et Papier
des sociétés
Agrégats monétaires
M1, M2, M2+ et M3 : A2† E1† K7†
M1 brut, M1+, M1++ et M2++ : A1 A2† E1†
Association canadienne des paiements
Avances de la Banque du Canada B1 B3
Dépôts à la Banque du Canada B1 B2
Assurance-chômage, cotisations G1
Avoir des actionnaires
Banques à charte C4
Caisses séparées D4
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire D1
Sociétés de placement D5
Avoirs et engagements en monnaies étrangères
Banque du Canada B1 B2
Banques à charte C1 C2 C3 C4 C5 C6 C7 C9
Banques à charte, répartition régionale C5 C6
Avoirs liquides, banques à charte C1 C3 C8†
Balance commerciale
Répartition par région J3†
Solde A2† J1†
Balance courante, balance des paiements A2† J1†
Balance des paiements A2† J1† J2
Banque du Canada
Actif et passif B1 B2
Avances aux banques à charte C4
Avances aux membres de l’Association
canadienne des paiements B1 B3
Dépôts de banques à charte B1 C1 C3
Dépôts et engagements en monnaies
étrangères B1 B2
Opérations K14
Passif-billets K1
Placements dans la Banque d’expansion
industrielle B1
Portefeuille de titres du gouvernement
canadien B1 B2 G1 G4 G5
Banques à charte
Acceptations bancaires C2 C4 C7 C8†
Actif C1 C3 C8†
Avances de la Banque du Canada C4
Avoir propre des actionnaires C4
Avoirs et engagements en monnaies étrangères
C1 C2 C3 C4 C5 C6 C7 C9
Créances sur les non-résidents et engagements
envers eux C1 C7 C10
Dépôts à la Banque du Canada B1 C1 C3
Banking and Financial Statistics
October 2007
Bonds (continued)
new issues and retirements
holdings by non-residents,
changes, J2
placed in Canada and abroad,
F4, F5, F6
provincial (see Provincial bonds)
repos, F14
strip bond trading, F14
trading, F12, F14
yields, A2†, F1
yield spreads, A1
Bonds, Government of Canada
futures (CGFs and CGBs), F15
gross new issues/retirements, F7,
G2
holdings
Bank of Canada, B1, B2, G4
chartered banks, C1
credit unions and caisses
populaires, D2
general public, G4, G5, G7
Government of Canada accounts,
G4, G5
investment funds, D5
life insurance companies, D4
segregated funds, D4
trust and mortgage loan
companies, D1
new issues, by area of placement,
F4, F5, F6
outstanding, G3, G4, G5, G6,G7
repos, F14
trading, F12, F13, F14
yields, A2†, F1
British pound, in Canadian dollars, I1
Budgetary surplus or deficit, federal,
G1†
Business credit, A2†, E2, K7†
Business loans
chartered banks, C1, C3, C5, C7,
C8†, E2
non-depository credit
intermediation, D3
prime rate, F1
C–6 currencies, Canadian dollar index,
A1, I1
Caisses populaires
assets and liabilities, D2
contribution to M2+, E1†
credit measures, E2
holdings of Government of Canada
securities, D2, G5
members’ equity, D2
Call and short loans, chartered banks,
C1, C3, C5, C9
Canada Pension Plan, purchases of
provincial securities, F5
Canada Savings Bonds
holdings by general public, G1, G4,
G5, G6, G7
in M2++, E1†
net new issues, F5
term to maturity, G6, G7
Canadian dollar, exchange rates, I1
Canadian Payments Association
advances by Bank of Canada, B1,
B3
deposits with Bank of Canada, B1,
B2
Capacity utilization rates, A2†
Capital account, balance of payments. J2
Capital assistance, G1†
Capital consumption allowance, G1†,
H1†
Central banks (foreign), deposits with
Bank of Canada, B1
CGBs (10-year Government of Canada
bond futures), F15
CGFs (5-year Government of Canada
bond futures), F15
Chain price index, A2†, H3†
Chartered banks
advances from Bank of Canada, C4
assets, C1, C3, C8†
assets, regional distribution, C5
bankers’ acceptances, C2, C4, C7,
C8†
credit measures, E2
demand deposits, C2, C4, C8†, E1†
demand deposits, foreign currency,
C9, E1†
deposits with Bank of Canada, B1,
C1, C3
foreign currency assets and
liabilities, C1, C2, C3, C4, C5,
C6, C7, C9
Government of Canada deposits,
C2, C4
holdings of Canadian securities,
C1, C3, C5, G5
interest rates, F1
items in transit, C3
liabilities, C2, C4, C8†
liabilities, regional distribution, C6
loans (see Loans, chartered banks)
non-residents, claims on and
liabilities to, C1, C7, C10
shareholders’ equity, C4
subordinated debt, C2, C4
Statistiques bancaires et financières
Octobre 2007
Banques à charte (suite)
Dépôts à vue C2 C4 C8† E1†
Dépôts à vue en monnaies étrangères C9 E1†
Dépôts du gouvernement canadien C2 C4
Dette subordonnée C2 C4
Effets en compensation C3
Indicateurs du crédit E2
Passif C2 C4 C8†
Portefeuille de titres canadiens C1 C3 C5 G5
Prêts. Voir Prêts des banques à charte
Répartition régionale de l’actif C5
Répartition régionale du passif C6
Taux d’intérêt F1
Banques centrales étrangères, dépôts à la Banque
du Canada B1
Banque d’expansion industrielle (BEI), titres
achetés par la Banque du Canada B1
BAR (contrats à terme sur acceptations bancaires
à 1 mois) F15
BAX (contrats à terme sur acceptations bancaires
à 3 mois) F15
BEI (Banque d’expansion industrielle), titres
achetés par la Banque du Canada B1
Bénéfices des sociétés H1†
Bénéfices réinvestis, balance courante, balance
des paiements J1†
Besoins de trésorerie du gouvernement canadien
A2† G1
Biens durables, semi-durables et non durables,
dépenses des ménages H1† H2† H3†
Billets à ordre, sociétés de fiducie ou de prêt
hypothécaire D1
Billets de banque
— contrefaits B4
— en circulation B1 B2 B4 C1
Passif-billets de la Banque du Canada K1
Bons du Canada en dollars É.-U.
— détenus par le public G4 G7
— détenus par les non-résidents G5
Échéance G6 G7
Émissions nettes F4 F6
Bons du Trésor américain F1
Bons du Trésor des municipalités F2 F4 F5
Bons du Trésor des provinces F2 F4 F5
Bons du Trésor du gouvernement canadien
Émissions F4 F5
Encours F2 G4 G6 G7
Opérations F11 F13
Opérations avec clause de réméré F14
Opérations de la Banque du Canada K14
Portefeuilles
Banque du Canada B1 B2 G1 G4
Banques à charte C1 C3
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Comptes du gouvernement canadien G4 G5
Public G1 G4 G5 G7
S 128
Bons du Trésor du gouvernement canadien (suite)
Portefeuilles
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Taux de rendement A2† F1
Voir aussi Obligations du gouvernement
canadien et Titres du gouvernement
canadien
Bourse de Montréal F3
Bourse de New York F3
Bourse de Toronto F3
Bourses américaines F3
Branche d’activité
PIB au coût des facteurs H4†
PIB par branche d’activité A2†
Répartition des prêts bancaires par secteur C7
Caisse d’épargne de l’Ontario, dépôts K4
Caisse d’épargne postale, dépôts K4
Caisses d’épargne publiques, dépôts K4
Caisses populaires
Actif et passif D2
Avoir propre D2
Contribution à M2+ E1†
Indicateurs du crédit E2
Portefeuille de titres du gouvernement
canadien D2 G5
Caisses séparées D4
Cartes de crédit des banques à charte, soldes C1
C5 C7
Certificats de placement garantis D1 F1
Cessions en pension B3 K14
CGB (contrats à terme sur obligations du
gouvernement canadien à 10 ans) F15
CGF (contrats à terme sur obligations du
gouvernement canadien à 5 ans) F15
Chômage A2† H5† H6†
Commerce, PIB au coût des facteurs H4†
Commerce extérieur. Voir Exportations et
Importations
Communications, PIB H4†
Compagnies d’assurance vie
Actif et passif D4 E1† G5
Indicateurs du crédit E2
Compte de capital, balance des paiements J2
Comptes courants (M1) E1† K7†
Comptes créditeurs et charges à payer
Intermédiation financière non financée au
moyen de dépôts D3
Comptes de chèques personnels K7†
Comptes du gouvernement canadien G4 G5
Comptes nationaux G1† H1† H2†
Conditions monétaires, indice A1
Construction
Demande intérieure H1† H2† H3† H7†
PIB au coût des facteurs H4†
Construction non résidentielle H1† H2† H3†
Banking and Financial Statistics
October 2007
Clearing and settlement system, automated advances from Bank of
Canada to Canadian Payments
Association, B3
Commercial paper. See Corporate paper
Commercial paper rate, U.S., F1
Commodity price index, A2†, H9†
Communications, GDP, H4†
Construction
domestic demand, H1†, H2†, H3†,
H7†
GDP at factor cost, H4†
Consumer credit, A2†, E2, K7†
Consumer price index, A1, A2†, H8†, K13†
Core CPI, A1, A2†
Corporate bonds
holdings, D1, D4, D5
issues and retirements, F4, F5, F6,
F9, F10, K9
trading, F12
yields, F1
see also Corporate paper; Equities
Corporate paper
holdings
chartered banks, C1, C3, C5
investment funds, D5
life insurance companies, D4
new issues, E2, F4, F5, F6, F9, F10
outstanding, F2
rates, A1, F1
trading, F11
see also Corporate bonds; Equities
Corporate profits, H1†
Counterfeit bank notes, B4
CPIX, A1
CPIW, A1
Credit
business, A2†, E2, K7
consumer, A2†, E2, K7
household, A2†, E2
Credit card balances, chartered banks,
C1, C5, C7
Credit measures, E2, K7†
Credit unions
assets and liabilities, D2
contribution to M2+, E1†
credit measures, E2
holdings of Government of Canada
securities, D2, G5
members’ equity, D2
Crown corporation securities, trading,
F11, F12
Currencies, exchange rates, I1
Currency outside banks, E1†, K7†
Current account, balance of payments,
A2†, J1†
Current accounts (M1), E1†, K7†
Debentures, D1, D2
Deficit, governments, A2†, G1†
Demand deposits
chartered banks, C2, C4, C8†, E1†
chartered banks, foreign currency,
C9
chartered banks, regional
distribution, C6
credit unions and caisses
populaires, D2
in investment funds, D5
non-depository credit
intermediation, D3
part of M1: E1†, K7†
trust and mortgage loan
companies, D1
Deposits with government savings
institutions, K4
Dividends, current account, balance of
payments, J1†
Domestic demand, excluding inventories,
H1†, H2†, H3†
Domestic income, H1†
Domestic product, gross. See Gross
domestic product
Dow Jones Industrials, F3
Durables, personal expenditures, H1†,
H2†, H3†
Employment, A2†, H5†, H6†
Equities
holdings, D1, D5
issues and retirements, F4, F5, F6,
F9, F10, K9
price/earnings ratio, F3
stock markets, F3
yields, F3
see also Corporate bonds; Corporate
paper
Euro, in Canadian dollars, I1
Exchange rates, A1, I1
Excise tax and duties, G1
Expenditures (federal), national
accounts, G1†
Expenditures, governments, H1†, H2†,
H3†
Exports
classified by area, J3†
commodity classification, J4†
current account, balance of
payments, A2†, J1†
national accounts, H1†, H2†, H3†
prices and volumes, A2†, J4†
Factored receivables, C7
Farm income, H1†
Farm inventories, H1†
Statistiques bancaires et financières
Octobre 2007
Construction résidentielle H1† H2† H3† H7†
Contrats à terme sur instruments financiers F15
Contrats de crédit-bail D1 D3
Cotisations à l’assurance-chômage G1
Cours du change A1 I1
Coûts unitaires de main-d’œuvre A1 A2†
Créances affacturées C7
Créances résultant du crédit-bail C1 C3 C5 C7 E2
Crédit à la consommation A2† E2 K7†
Crédit-bail C1 C3 C5 C7 D1 E2
Crédit hypothécaire E2 E7†
Credit unions
Actif et passif D2
Avoir propre D2
Contribution à M2+ E1†
Indicateurs du crédit E2
Portefeuille de titres du gouvernement
canadien D2 G5
Crédits aux entreprises A2† E2 K7†
Crédits aux ménages A2† E2
Débentures D1 D2
Déficit budgétaire. Voir Finances publiques
Demande intérieure (stocks non compris) H1†
H2† H3†
Dépense nationale brute, en dollars constants et
courants H1† H2†
Dépenses des ménages H1† H2† H3†
Dépenses du gouvernement canadien, comptes
nationaux G1†
Dépenses publiques H1† H2† H3†
Dépôts à terme ou à préavis
Banques à charte C2 C4 C8† E1†
Banques à charte, monnaies étrangères C9
Caisses populaires et credit unions D2
Intermédiation financière non financée au
moyen de dépôts D3
Répartition régionale C6
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Taux d’intérêt F1
Dépôts à vue
— compris dans M1 E1† K7†
Banques à charte C2 C4 C8† E1†
Banques à charte, monnaies étrangères C9
Banques à charte, répartition régionale C6
Intermédiation financière non financée au
moyen de dépôts D3
Caisses populaires et credit unions D2
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Dépôts d’épargne des particuliers
Banques à charte C2 C4 C8† E1†
S 129
Dépôts d’épargne des particuliers (suite)
Répartition régionale C6
Sociétés de fiducie ou de prêt hypothécaire
D1
Taux d’intérêt F1
Dette subordonnée, banques à charte C2 C4
Devises I1
Dividendes, balance courante, balance des
paiements J1†
Dollar canadien, taux de change I1
Dollar É.-U., en dollars canadiens A2† I1
Droits de tirage spéciaux (DTS) I1 I2
Échéance des titres du gouvernement canadien
G6 G7
Effets en compensation
Banques à charte C3
Gouvernement canadien B1
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire
D1
Emploi A2† H5† H6†
Euro, en dollars canadiens I1
Excédent budgétaire. Voir Finances publiques
Exportations
Balance courante, balance des paiements
A2† J1†
Comptes nationaux H1† H2† H3†
Prix et volumes A2† J4†
Répartition par catégorie de produits J4†
Répartition par région J3†
Finances publiques
Excédent ou déficit budgétaire
Administrations publiques A2†
Gouvernement canadien A2† G1†
Fonds communs de placement du marché
monétaire (sous M2+) E1†
Fonds monétaire international I2
Fourchette cible de maîtrise de l’inflation A1
Fourchette opérationnelle A1 F1
Franc français, en dollars canadiens I1
Franc suisse, en dollars canadiens I1
Gains hebdomadaires H9
Gains horaires A1 H9
Gouvernement canadien
Besoins de trésorerie A2† G1
Dépenses, comptes nationaux G1† H1† H2†
H3†
Dépôts à la Banque du Canada B1 B2
Dépôts aux banques à charte C2 C4
Effets en compensation B1
Prêts des banques à charte C1 C3
Programmes de garantie de prêts C7
Recettes G1†
Banking and Financial Statistics
October 2007
Federal funds rate, U.S., F1
Finance companies, E2
Financial futures, F15
Financial markets, F1
Financing requirements, federal, A2†,
G1
Fiscal position, federal, G1†
Fisher volume index, H2†
Fixed term deposits. See Term and
notice deposits
Foreign central banks, deposits with
Bank of Canada, B1
Foreign currency assets and liabilities
Bank of Canada, B1, B2
chartered banks, C1, C2, C3, C4, C5,
C6, C7, C9
chartered banks, regional
distribution, C5, C6
Forward premium or discount, U.S.
dollar, F1
French franc, in Canadian dollars, I1
GDP price indexes, H3†
General loans, chartered banks, C8†
German mark, in Canadian dollars, I1
Gold, holdings, I2
Government of Canada
deposits with Bank of Canada, B1,
B2
deposits with chartered banks, C2,
C4
expenditures, national accounts,
G1†, H1†, H2†, H3†
financing requirements, A2†, G1
guaranteed loans schemes, C7
items in transit, B1
loans by chartered banks, C1, C3
revenues, G1†
Government of Canada accounts,
G4, G5
Government of Canada securities
bonds (see Bonds, Government of
Canada)
distribution of holdings, G4, G5
holdings
Bank of Canada, B1, B2, G1,
G4, G5
chartered banks, C1, C3, C5,
G5
credit unions and caisses
populaires, D2, G5
general public, G1, G4, G5, G7
Government of Canada
accounts, G4, G5
investment funds, D5, G5
life insurance companies, D4,
G5
non-residents, G5
Statistiques bancaires et financières
Government of Canada securities (continued)
provincial/municipal
governments, G5
segregated funds, D4
trust and mortgage loan
companies, D1, G5
net new issues, by area of
placement, F4, F5, F6
outstanding, G4, G6, G7
term to maturity, G6, G7
trading, F11, F12, F13, F14
treasury bills (see Treasury bills,
federal)
yields, A2†, F1
Gross domestic product
by industry, A2†, H4†
constant dollars, A2†, H2†
current dollars, A2†, H1†
price indexes, H3†
volume, A2
Gross national expenditure, constant
and current dollars, H1†, H2†
Guaranteed investment certificates
(GICs), D1, F1
Guaranteed loans schemes, Government of
Canada, C7
Hourly earnings, A1, H9
Household credit, A2†, E2
Housing
construction, H1†, H2†, H3†, H7†
starts and vacancies, H7†
IDB (Industrial Development Bank),
investment by Bank of
Canada, B1
Implicit chained prices, H3
Imports
classified by area, J3†
commodity classification, J5†
current account, balance of
payments, A2†, J1†
national accounts, H1†, H2†, H3†
prices and volumes, A2†, J5†
Income tax revenues, federal, G1†
Indexes
Canadian dollar index vs. C–6
currencies, I1
chain price, A2†, H3†
commodity price, A2†, H9†
consumer price, A1, A2†, H8†,
K13†
core CPI, A1, A2†
CPIW/CPIX, A1
Fisher volume index, H2†
GDP price indexes, H3†
IPPI, A1
monetary conditions, A1
Octobre 2007
Importations
Balance courante, balance des paiements J1†
Comptes nationaux H1† H2† H3†
Prix et volumes A2† J5†
Répartition par catégorie de produits J5†
Répartition par région J3†
Impôts
— indirects, moins subventions H1†
Contribution des — indirects aux variations de
l’indice des prix à la consommation H8†
K13†
Recettes du gouvernement canadien G1†
Indicateurs du crédit E2 K7†
Indice C-6 des cours du dollar canadien I1
Indice de prix de Paasche H3
Indice de prix en chaîne A2† H3†
Indice de référence A1 A2†
Indice de volume de Fisher H2†
Indice des conditions monétaires A1
Indice des prix à la consommation A1 A2† H8†
K13†
Indice des prix des produits de base A2† H9†
Indice des prix des produits industriels (IPPI) A1
Indice Dow Jones F3
Indices de prix implicites en chaîne H3
Indices des prix du PIB H3†
Industries manufacturières A2† H4†
Industries productrices de biens non agricoles A2†
Inflation A1
Intérêts
Balance courante, balance des paiements J1†
Dette publique G1†
Intermédiation financière non financée au
moyen de dépôts D3
Investissements en machines et matériel H1† H2†
H3†
IPCP A1
IPCX A1
IPPI (indice des prix des produits industriels) A1
Lignes de crédit G4 G5 G6 G7
Livre sterling, en dollars canadiens I1
LNH (Loi nationale sur l’habitiation), titres
hypothécaires garantis F4 F5
Logements
Construction H1† H2† H3† H7†
Mises en chantier et logements inoccupés H7†
M1, M2, ... Voir Agrégats monétaires
Main-d’œuvre, coûts unitaires A1 A2†
Marché financier F1
Marché monétaire
Opérations avec clause de réméré F14
Placements des non-résidents, variations J2
Répartition des opérations par catégorie de
titres F11
Taux des fonds à un jour F1
Marchés boursiers F3
Mark allemand, en dollars canadiens I1
Mesure de Laspeyres H2
S 130
Mesures du crédit E2 K7†
Monnaie hors banques E1† K7†
Monnaies, cours du change I1
Municipalités. Voir Bons du Trésor des municipalités, Obligations des municipalités et
Titres des municipalités
Non-résidents
Créances sur les banques à charte et
engagements envers elles C10
Portefeuille d’actifs canadiens, variations J2
Portefeuille de titres du gouvernement
canadien G5
Prêts des banques à charte C1 C7
Obligations
Écarts de rendement A1
Émissions et remboursements
Portefeuille des non-résidents, variations J2
Titres placés au Canada et à l’étranger F4
F5 F6
Gouvernement canadien. Voir Obligations
du gouvernement canadien
Municipalités. Voir Obligations des
municipalités
Opérations F12 F14
Opérations avec clause de réméré F14
Opérations sur obligations coupons détachés
F14
Portefeuilles
Banque du Canada B1 B2 G1 G4
Banques à charte C1 C3
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Public G1 G4 G5
Sociétés de fiducie ou de prêt hypothécaire
D1
Sociétés de placement D5
Provinces. Voir Obligations des provinces
Sociétés. Voir Obligations des sociétés
Taux de rendement A2† F1
Obligations à rendement réel
Écart de rendement A1
Opérations F12
Taux de rendement A2† F1
Obligations d’épargne du Canada
— comprises dans M2++ E1†
— détenues par le public G1 G4 G5 G6 G7
Échéance G6 G7
Émissions nettes F5
Obligations des municipalités
Émissions et remboursements F4 F5 F6 F8
Opérations F12
Portefeuilles D1 D5
Obligations des provinces
Émissions et remboursements F4 F5 F7
Opérations F12 F14
Portefeuilles D1 D5
Taux de rendement F1
Banking and Financial Statistics
October 2007
Indirect taxes
contribution to changes in
consumer price index, H8†, K13†
federal, less subsidies, H1†
federal revenues, G1†
Industrial Development Bank (IDB),
investment by Bank of Canada,
B1
Industry
bank loans, by sector, C7
GDP, A2†
GDP at factor cost, H4†
Inflation, A1
Inflation-control target range, A1
Interest
current account, balance of
payments, J1†
on public debt, G1†
Interest rates, F1
International Monetary Fund, I2
International reserves, official, I2, J2
Inventories, H1†, H2†
Investment, fixed, H1†, H2†, H3†
Investment funds, D5, G5
Investment income
current account, balance of
payments, J1†
GDP, national accounts, H1†
Government of Canada revenues,
G1†
IPPI (Industrial Product Price Index),
A1
Items in transit
chartered banks, C3
government of Canada, B1
non-depository credit
intermediation, D3
trust and mortgage loan
companies, D1
Japanese yen, in Canadian dollars, I1
Labour costs, unit, A1, A2†
Labour force, A2†, H5†, H6†
Labour income, A2†, H1†
Large Value Transfer System (LVTS)
advances from Bank of Canada to
Canadian Payments
Association, B3
Laspeyres measure, H2
Leasing contracts, D1, D3
Leasing receivables, C1, C3, C5, C7, E2
Liabilities. See Assets and liabilities
Life insurance companies
assets and liabilities, D4, E1†, G5
credit measures, E2
Liquid assets, chartered banks, C1, C3,
C8†
Loans, chartered banks
agricultural loans, C5
business loans, C1, C3, C7, C8†, D3
business loans, authorized, C5
call and short loans, C1, C3, C5, C9
classification of loans, C7
foreign currency, C2, C7, C9, E2
general loans, C8†
mortgage loans, A2†, C1, C3, C5,
C8†
to non-residents, C1, C7
to non-depository credit
intermediation, D3
personal loans, C1, C3, C5, C8†
regional distribution, C5
types of loans, C1, C3, C5
see also Mortgage loans
Loans, other institutions
credit unions and caisses
populaires, D2
life insurance companies, D4
non-depository credit
intermediation, D3
trust and mortgage loan
companies, D1
LVTS (Large Value Transfer System)
advances from Bank of Canada to
Canadian Payments
Association, B3
M1, M2, M2+, M3 monetary aggregates,
A2†, E1†, K7†
M1 gross, M1+, M1++, M2++ monetary
aggregates, A1, A2†, E1†
Machinery and equipment investment,
H1†, H2†, H3†
Manufacturing, A2†, H4†
Merchandise trade. See Exports;
Imports
Merchandise trade balance
classified by area, J3†
current account, A2†, J1†
Monetary aggregates, A1, A2†, E1†,
K7†
Monetary conditions index, A1
Monetary policy variables, A1
Money market
investments held by non-residents,
changes, J2
overnight financing, F1
repos, F14
trading by type of security, F11
Money market mutual funds (in M2+),
E1†
Montreal Stock Exchange, F3
Mortgage credit, E2, E7†
Statistiques bancaires et financières
Octobre 2007
Obligations des sociétés
Émissions et remboursements F4 F5 F6 F9
F10 K9
Opérations F12
Portefeuilles D1 D4 D5
Taux de rendement F1
Voir aussi Papier des sociétés et Actions
Obligations du gouvernement canadien
Contrats à terme sur obligations du
gouvernement canadien à 5 et 10 ans
(CGF et CGB) F15
Obligations du gouvernement canadien (suite)
Émissions brutes et remboursements F7 G2
Émissions, répartition selon le lieu de
placement F4 F5 F6
Encours G3 G4 G5 G6 G7
Opérations F12 F13 F14
Opérations avec clause de réméré F14
Portefeuilles
Banque du Canada B1 B2 G4
Banques à charte C1
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Comptes du gouvernement canadien G4 G5
Public G4 G5 G7
Sociétés de fiducie ou de prêt hypothécaire D1
Sociétés de placement D5
Taux de rendement A2† F1
Opérations avec clause de réméré F14
Opérations non budgétaires du gouvernement
canadien G1
Opérations sur obligations coupons détachés F14
Or, avoirs en I2
Papier à court terme
Banques à charte C1 C3
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Sociétés de fiducie ou de prêt hypothécaire D1
Sociétés de placement D5
Papier commercial. Voir Papier des sociétés
Papier des sociétés
Émissions E2 F4 F5 F6 F9 F10
Encours F2
Opérations F11
Portefeuilles
Banques à charte C1 C3 C5
Compagnies d’assurance vie D4
Sociétés de placement D5
Taux A1 F1
Voir aussi Obligations des sociétés et Actions
Passif. Voir Actif et passif
PIB, indices des prix H3†
PIB, volume A2
Population active A2† H5† H6†
Prêts à vue ou à court terme, banques à charte C1
C3 C5 C9
S 131
Prêts agricoles, banques à charte C5
Prêts aux entreprises
Banques à charte C1 C3 C5 C7 C8† E2
Intermédiation financière non financée au
moyen de dépôts D3
Taux de base F1
Prêts des autres institutions
Caisses populaires et credit unions D2
Compagnies d’assurance vie D4
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire
D1
Prêts des banques à charte
Intermédiation financière non financée au
moyen de dépôts D3
Monnaies étrangères C2 C7 C9 E2
Prêts à des non-résidents C1 C7
Prêts à vue ou à court terme C1 C3 C5 C9
Prêts agricoles C5
Prêts aux entreprises C1 C3 C7 C8† D3
Prêts généraux C8†
Prêts hypothécaires A2† C1 C3 C5 C8†
Prêts personnels C1 C3 C5 C8†
Répartition régionale C5
Types de prêts C1 C3 C5
Ventilation des prêts C7
Ventilation des prêts aux entreprises, par
autorisation C5
Voir aussi Prêts hypothécaires
Prêts hypothécaires
Banques à charte, immeubles non résidentiels
C1 C3 C5
Banques à charte, prêts à l’habitation A2† C1
C3 C5 C8†
Caisses populaires et credit unions D2
Compagnies d’assurance vie D4
Créances hypothécaires détenues par des
caisses séparées D4
Habitation D3
Immeubles non-résidentiels D3
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire D1
Sociétés de placement D5
Taux d’intérêt F1
Prêts non hypothécaires
Intermédiation financière non financée au
moyen de dépôts D3
Prêts personnels
Banques à charte C1 C3 C5 C8†
Intermédiation financière non financée au
moyen de dépôts D3
Sociétés de fiducie ou de prêt hypothécaire D1
Prises en pension, Banque du Canada B1 B2 B3 K14
Prises en pension, banques à charte C1 C2 C3 C7
Prises en pension spéciales, Banque du Canada K14
Banking and Financial Statistics
October 2007
Mortgage loans
chartered banks, non-residential,
C1, C3, C5
chartered banks, residential, A2†,
C1, C3, C5, C8†
credit unions and caisses
populaires, D2
held in segregated funds, D4
investment funds, D5
life insurance companies, D4
non-depository credit
intermediation, D3
non-residential mortgages, D3
rates, F1
residential, D3
trust and mortgage loan companies, D1
Mortgage-backed securities (NHA), new
issues, F4, F5
Municipal bonds
holdings, D1, D5
issues and retirements, F4, F5, F6,
F8
trading, F12
Municipal securities, holdings
chartered banks, C1, C3, C5
credit unions and caisses
populaires, D2
life insurance companies, D4
segregated funds, D4
Municipal treasury bills, F2, F4, F5
National accounts, G1†, H1†, H2†
National income, H1†
New York Stock Exchange, F3
NHA (National Housing Act) mortgagebacked securities, new isues, F4, F5
90-day commercial paper rate, A1
Non-budgetary transactions, federal,
G1
Non-depository credit intermediation, D3
Non-farm goods industries, A2†
Non-mortgage loans
non-depository credit
intermediation, D3
Non-residential construction, H1†, H2†,
H3†
Non-residents
claims on and liabilities to,
chartered banks, C10
holdings of Canadian assets,
changes, J2
holdings of Government of Canada
securities, G5
loans by chartered banks, C1, C7
Notes. See Bank notes
Notice deposits. See Term and notice
deposits
Official international reserves, I2
Ontario Savings Office, deposits, K4
Operating band, A1, F1
Output and employment, A2†
Overnight money market rate, A1, F1
Overnight rate, target, A1, F1
Paasche price index, H3
Personal chequing accounts, K7†
Personal expenditures, H1†, H2†, H3†
Personal loans
chartered banks, C1, C3, C5, C8†
non-depository credit
intermediation, D3
trust and mortgage loan
companies, D1
Personal savings deposits
chartered banks, C2, C4, C8†, E1†
interest rates, F1
regional distribution, C6
trust and mortgage loan
companies, D1
Post Office Savings Bank, deposits, K4
Price/earnings ratio, F3
Prices
chain price index, A2†, H3†
consumer, H8†, K13†
exports, J4†
GDP price indexes, H3†
imports, J5†
services, H3†
stock market, F3
Prime business loan rate, F1
Prime rate, U.S., F1
Promissory notes, trust and mortgage
loan companies, D1
Provincial bonds
holdings, D1, D5
issues and retirements, F4, F5, F7
trading, F12, F14
yields, F1
Provincial securities
holdings
Canada Pension Plan, F5
chartered banks, C1, C3, C5
credit unions and caisses
populaires, D2
investment funds, D5
life insurance companies, D4
segregated funds, D4
trust and mortgage loan
companies, D1
issues, F6
trading, F11
Provincial treasury bills, F2, F4, F5
Purchase and resale agreements
(PRAs), B1, B2, B3, K14
Real Return Bonds
trading, F12
yield, A2†, F1
yield spread, A1
Statistiques bancaires et financières
Octobre 2007
Prix
Consommation H8† K13†
Cours boursiers F3
Exportations J4†
Importations J5†
Indice de prix en chaîne A2† H3†
Indices des prix du PIB H3†
Services H3†
Production et emploi A2†
Produit intérieur brut
En dollars constants A2† H2†
En dollars courants A2† H1†
Indices des prix H3†
Par branche d’activité A2† H4†
Programmes de garantie de prêts, gouvernement
canadien C7
Provinces. Voir Bons du Trésor des provinces,
Obligations des provinces et Titres des
provinces
Provisions pour consommation de capital G1†
H1†
Recettes au titre de l’impôt fédéral sur le revenu G1†
Recettes du gouvernement canadien G1†
Régime de pensions du Canada, achats de titres
provinciaux F5
Répartition régionale
Actif des banques à charte C5
Passif des banques à charte C6
Report ou déport sur le dollar É.-U. F1
Réserves officielles de liquidités internationales I2 J2
Revenu intérieur H1†
Revenu national H1†
Revenus de placements
Balance courante, balance des paiements J1†
PIB sur la base des comptes nationaux H1†
Recettes du gouvernement canadien G1†
Revenus des agriculteurs H1†
Revenus du travail A2† H1†
Salaires et traitements A2† H1† H9
Secteur manufacturier A2† H4†
Services
Balance courante, balance des paiements J1†
Dépenses des ménages en services H1† H3†
PIB au coût des facteurs H4†
Prix H3†
Sociétés d’État
Opérations sur titres des — F11 F12
Sociétés de fiducie ou de prêt hypothécaire
Actif et passif D1
Avoir des actionnaires D1
Contribution à M2+ E1†
Effets en compensation D1
Indicateurs du crédit E2
Portefeuille de titres du gouvernement
canadien D1 G5
Taux d’intérêt des prêts hypothécaires et des
certificats de placement garantis F1
S 132
Sociétés de financement E2
Sociétés de placement D5 G5
Standard & Poor’s, indicateurs F3
Stocks H1† H2†
Stocks du secteur agricole H1†
STPGV (Système de transfert de paiements de
grande valeur)
Avances de la Banque du Canada à l’Association canadienne des paiements B3
Subventions G1†
Subventions d’équipement G1†
Succursales du Trésor de l’Alberta, dépôts K4
Système automatisé de compensation et de
règlement
Avances de la Banque du Canada à l’Association canadienne des paiements B3
Système de transfert de paiements de grande
valeur (STPGV)
Avances de la Banque du Canada à l’Association canadienne des paiements B3
Taux cible du financement à un jour F1
Taux d’intérêt F1
Taux d’intérêt aux États-Unis F1
Taux d’utilisation des capacités A2†
Taux de base des prêts aux entreprises F1
Taux de base des prêts bancaires aux États-Unis F1
Taux de capitalisation des bénéfices F3
Taux de change A1 I1
Taux de rendement
Actions F3
Bons du Trésor A2† E1
Dividendes (indice synthétique) F3
Obligations F1
Obligations du gouvernement canadien A2† F1
Titres A2†
Taux des fonds fédéraux aux États-Unis F1
Taux du financement à un jour A1 F1
Taux du papier commercial à 90 jours A1
Taux du papier commercial aux États-Unis F1
Taux officiel d’escompte F1
Taxes d’accise et autres droits G1
Titres
Avoirs des banques à charte en monnaies
étrangères C9
Portefeuille des banques à charte C1 C3
Répartition régionale de l’actif des banques
à charte C5
Taux de rendement A2†
Voir aussi Titres des municipalités, Titres des
provinces et Titres du gouvernement
canadien
Titres des municipalités, portefeuilles
Banques à charte C1 C3 C5
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Banking and Financial Statistics
October 2007
Regional distribution
chartered bank assets, C5
chartered bank liabilities, C6
Reinvested earnings, current account,
balance of payments, J1†
Repos, F14
Residential construction, H1†, H2†,
H3†, H7†
Revenues, federal, G1†
Reverse repos, C1, C2, C3, C7
Sale and repurchase agreements
(SRAs), B3, K14
Savings deposits. See Personal savings
deposits
SDRs (special drawing rights), I1, I2
Securities
foreign currency holdings by
chartered banks, C9
holdings by chartered banks, C1,
C3
regional distribution of bank assets,
C5
yields, A2†
see also Government of Canada
securities; Municipal
securities; Provincial
securities
Securitizations (term), new issues, F4, F5
Segregated funds, D4
Self-employed labour force, H5†
Semi- and non-durables, personal
expenditures, H1†, H2†, H3†
Services
current account, balance of
payments, J1†
GDP at factor cost, H4†
personal expenditures on, H1†, H3†
prices, H3†
Shareholders’ equity
chartered banks, C4
investment funds, D5
non-depository credit
intermediation, D3
segregated funds, D4
trust and mortgage loan
companies, D1
Short-term paper
chartered banks, C1, C3
credit unions and caisses populaires,
D2
investment funds, D5
life insurance companies, D4
segregated funds, D4
Short-term paper (continued)
trust and mortgage loan
companies, D1
Special drawing rights (SDRs), I1, I2
Special purchase and resale agreements
(SPRAs), K14
Standard & Poor’s indicators, F3
Standby credit facilities, G4, G5, G6, G7
Stock markets, F3
Strip bond trading, F14
Subordinated debt, chartered banks,
C2, C4
Subsidies, G1†
Surplus, governments, A2†, G1†
Swiss franc, in Canadian dollars, I1
Taxes, government
direct, G1†
indirect, G1†, H1†, H8†, K13†
Term and notice deposits
chartered banks, C2, C4, C8†, E1†
chartered banks, foreign currency,
C9
credit unions and caisses
populaires, D2
interest rates, F1
investment funds, D5
non-depository credit
intermediation, D3
regional distribution, C6
trust and mortgage loan companies, D1
Term to maturity, federal securities, G6,
G7
Toronto Stock Exchange, F3
Trade, GDP at factor cost, H4†
Transfers
balance of payments, J1†
government, G1†
Transportation and storage, H4†
Treasury bills, federal
holdings
Bank of Canada, B1, B2, G1, G4
chartered banks, C1, C3
credit unions and caisses
populaires, D2
general public, G1, G4, G5, G7
Government of Canada accounts,
G4, G5
investment funds, D5
life insurance companies, D4
segregated funds, D4
trust and mortgage loan companies,
D1
new issues, F4, F5
outstanding, F2, G4, G6, G7
repos, F14
trading, F11, F13
Statistiques bancaires et financières
Octobre 2007
Titres des provinces
Émissions F6
Opérations F11
Portefeuilles
Banques à charte C1 C3 C5
Caisses populaires et credit unions D2
Caisses séparées D4
Compagnies d’assurance vie D4
Régime de pensions du Canada F5
Sociétés de fiducie ou de prêt hypothécaire D1
Sociétés de placement D5
Titres des sociétés d’État, opérations F11 F12
Titres du gouvernement canadien
Bons du Trésor. Voir Bons du Trésor du
gouvernement canadien
Échéance G6 G7
Émissions nettes, répartition selon le lieu de
placement F4 F5 F6
Encours G4 G6 G7
Obligations. Voir Obligations du
gouvernement canadien.
Opérations F11 F12 F13 F14
Portefeuilles
Banque du Canada B1 B2 G1 G4 G5
Banques à charte C1 C3 C5 G5
Caisses populaires et credit unions D2 G5
Caisses séparées D4
Compagnies d’assurance vie D4 G5
Comptes du gouvernement canadien G4 G5
Non-résidents G5
Provinces et municipalités G5
Public G1 G4 G5 G7
Sociétés de fiducie ou de prêt hypothécaire
D1 G5
Sociétés de placement D5 G5
Répartition des portefeuilles G4 G5
Taux de rendement A2† F1
Titres hypothécaires garantis F4 F5
Transferts
Balance des paiements J1†
Gouvernement canadien G1†
Transports et entreposage H4†
Travailleurs autonomes H5†
Trésorerie du gouvernement canadien G1†
Tritrisation à terme F4 F5
Variables relatives à la politique monétaire A1
Yen japonais, en dollars canadiens I1
S 133
Banking and Financial Statistics
October 2007
Treasury bills, federal (continued)
transactions by Bank of Canada, K14
yields, A2†, F1
see also Bonds, Government of
Canada; Government of
Canada securities
Treasury bills, U.S., F1
Trust and mortgage loan companies
assets and liabilities, D1
contribution to M2+, E1†
credit measures, E2
holdings of Government of Canada
securities, D1, G5
interest rates, mortgage and GIC,
F1
items in transit, D1
shareholders’ equity, D1
Unemployment, A2†, H5†, H6†
Unemployment insurance contributions, G1
Unit labour costs, A1, A2†
U.S. dollar, in Canadian dollars, A2†, I1
U.S. interest rates, F1
U.S. stock markets, F3
U.S.-pay Canada bills
holdings by general public, G4, G7
holdings by non-residents, G5
net new issues, F4, F6
term to maturity, G6, G7
Wages and salaries, A2†, H1†, H9
Weekly earnings, H9
Yields
bonds, F1
equities, F3
Government of Canada bonds, A2†,
F1
securities, A2†
stock dividends (composite), F3
treasury bills, A2†, E1
Statistiques bancaires et financières
Octobre 2007
S 134
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