Inside the Markets
C
Canada 10-Year Bond Yield
Description
The Canadian 10-year government bond yield is the benchmark for Canadian sovereign debt and reflects Bank of Canada monetary policy expectations.
Key risks
interest-rate-risk
This risk may negatively affect the instrument’s performance under certain market conditions.
The list of risks is not exhaustive and highlights the most material structural and market-related factors.
Portfolio role & behavior
Economic role
safe-haven
Behavior
counter-cyclical
The information provided is for analytical and informational purposes only and does not constitute investment advice.
Any decisions are made independently by the user and at their own risk.
For details, see legal terms.