“The Bank of Canada (BoC) tends to be more focused on where inflation will be a year out than what it might be doing in any one month.”
– Giuseppe Pietrantonio, Associate Client Portfolio Manager, Multi-Asset and Currency Management, CIBC Asset Management.
In this edition of CIBC Asset Management’s Market Spotlight, Giuseppe discusses which metrics the BoC pays attention to when making rate decisions. Also outlined are the trends and issues most likely to impact ESG investing this year.
Questions about these insights? Contact me today.