Financial System Review

  • December 8, 2011

    Financial System Review - December 2011

    In this issue of the Financial System Review, the Bank of Canada’s Governing Council judges that the risks to the stability of Canada’s financial system are high and have increased markedly over the past six months, owing primarily to an escalation of the sovereign debt crisis in the euro area and a weaker global economic outlook.

    Erratum: The data for Chart 7 on page 8 were plotted incorrectly. See revised chart.

Follow the Bank