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Find out three ways U.S. debt can affect Canada.
The federal government’s debt has doubled since 2015 – and shows no signs of turning around.
We analyze the proposed federal budget measures, and the effect they may have on Canadians and their families.
Geopolitical tensions and policy uncertainty are driving inflation risks. We look at the potential role of fixed income in portfolio positioning.
We analyze the 2023 Fall Economic Statement and outline the tax and support measures that may impact Canadians and their families.
While a U.S. default is exceedingly unlikely, what are the costs of political brinkmanship for global financial markets?
As economic trends shift, we believe 2023 will be characterized by continued volatility and in some cases, periods of risk-on market action.