Skip to content
Youtube
Linkedin
Search text
Login
Read
Read our most recent research publications
Top Topics
Climate Change
Macroeconomic Risk
Financial Risk
Sustainable Finance
View All
Content
Articles
Reports
View All
Featured Publication
Q4 2025 IACPM: Credit Outlook Survey
Read More
Financial Risks
,
Macroeconomic Risks
Attend
Find out what events are coming up
Upcoming Events
Canada’s Productivity Challenge and the Fiscal Path to Recovery
January 27, 2026
2026 Housing Market Outlook: Finding Equilibrium in a Cooling Economy
February 11, 2026
Cat Bonds as a New Frontier for Climate Risk Management
February 18, 2026
View All
Featured Event
Macroeconomic Policy Webinar Series 2026
Read More
Watch
View past webinars & videos
Latest Videos
Bond Yields, Pension Funds and the Art of De-risking
November 19, 2025
GRI Summit 2025
Building Trust within a Rapidly Evolving Landscape
Members-only event, by invitation event September 17
September 17, 2025
GRI Summit 2025
Beyond the Horizon: The Future of Finance in a Technologically Integrated World
Members-only event, by invitation event September 17
September 17, 2025
View All
Featured Webinar
March 26, 2025
Reevaluating Monetary Policy in an Age of Uncertainty: A New Approach to Contain Inflation and Support Financial Stability
Read More
Macroeconomic Risks
About
About GRI
GRI Team
GRI Board of Directors
GRI Executives in Residence
GRI Business Strategy Committee
GRI Sustainable Finance Advisory Committee
GRI Research Advisory Committee
Education
Board Risk Oversight and Insight Program (BROIP)
Emerging Leaders Program (ELP)
riskLIT
Careers
Membership
Annual Reports
Resources
News
Content Tagged With:
Market Risk
Pension
,
Financial Risks
,
Risk Management
10 June 2025
Anatomy of a Shortfall: Municipal Bond Yields and Public Pension Shortfalls During the Covid-19 Crisis
Read More
Technology Innovations
2 April 2025
AI Supply Chain Shocks: Insights from DeepSeek R1
Read More
Risk Management
,
Financial Risks
11 November 2024
Narrative Monetary Policy
Read More
Pension
,
Financial Risks
8 February 2022
The Connection Between Population Structure and Returns on Infrastructure Investments
Read More
Financial Risks
,
Sustainable Finance
12 November 2021
Tax Incentives for Climate Change: Unlocking Private Capital and Driving Market Behaviour
Read More
Pension
,
Climate Risks
,
Sustainable Finance
31 May 2021
Green Urban Development: The Impact Investment Strategy of Canadian Pension Funds
Read More
Pension
,
Financial Risks
3 March 2021
Canadian Perspectives on Mass Mobilization and the Risks to Investors and Financial Market Stability
Read 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 University
Read 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
« Previous
Page
1
Page
2
Next »