22 November 2023 Highlights from the Federal Government’s 2023 Fall Economic StatementRead More Regulations and Standards
January 9, 2024After Higher for Longer: Outlook for Bank of Canada Rates and InflationRead More Macroeconomic Risks
Financial Risks, Technology Innovations 8 February 2022 The Connection Between Population Structure and Returns on Infrastructure InvestmentsRead More
Financial Risks, Sustainable Finance 12 November 2021 Tax Incentives for Climate Change: Unlocking Private Capital and Driving Market BehaviourRead More
Climate Risks, Pension, Sustainable Finance 31 May 2021 Green Urban Development: The Impact Investment Strategy of Canadian Pension FundsRead More
Financial Risks, Pension 3 March 2021 Canadian Perspectives on Mass Mobilization and the Risks to Investors and Financial Market StabilityRead More
Macroeconomic Risks 26 January 2021 Tactical Lessons from Quantitative Easing in Canada Speakers: Warren Lovely, Managing Director, National Bank of Canada and Christopher Ragan, Founding Director, Max Bell School of Public Policy, McGill UniversityRead More
Macroeconomic Risks 17 December 2020 Strategic Challenges and Structural Risks with Ultra-Low Interest Rates and Quantitative Easing This session will take a step back and explore some of the medium- and longer-term strategic and structural challenges that can arise from the use of sustained QE, ultra-low interest rates and/or other alternative monetary tools.Read More
Macroeconomic Risks 17 December 2020 Modern Monetary Theory, the Deficit Myth and New Economic Paradigm As a leading authority on “Modern Monetary Theory”, and author of The Deficit Myth: Modern Monetary Theory and the Birth of the People’s Economy, Dr. Kelton will discuss conventional and alternative economic approaches to monetary policy and the role of taxes, debt and deficits in fiscal policy.Read More
Climate Risks, Financial Risks, Sustainable Finance 13 November 2019 Climate Change and Long-Run Discount Rates: Evidence from Real EstateRead More
Financial Risks, Pension, Risk Management 27 August 2018 Systemic Risk Measures and Portfolio ChoiceRead More