This quarter, we look at the effects of receding inflation, a soft Canadian dollar, and a tight labour market on the country’s financial markets outlook.
Will the Bank of Canada’s December rate hike be the last increase for the next year? What factors are putting downward pressure on our national currency? We share our outlook for financial markets, including short- and long-term interest rates in Canada and the United States.
Read the issue briefing to get our full analysis.
Key Findings
Financial Markets Snapshot
Overview
Inflation Dynamics
Monetary Policy in Canada
Canadian Dollar
Financial Markets in the United States
Methodology
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