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Canadian portfolio investment in foreign securities1

The title of the graph is "Canadian portfolio investment in foreign securities1".
This is a column stacked chart.
There are in total 13 categories in the horizontal axis. The vertical axis starts at -6 and ends at 8 with ticks every 2 points.
There are 3 series in this graph.
The vertical axis is "billions of dollars".
The units of the horizontal axis are months by year ranging from January 2011 to January 2012.
The title of series 1 is "Bonds".
The minimum value is -2.594 occurring in June 2011.
The maximum value is 2.343 occurring in December 2011.
The title of series 2 is "Stocks".
The minimum value is 0.332 occurring in April 2011.
The maximum value is 6.193 occurring in May 2011.
The title of series 3 is "Money market".
The minimum value is -0.918 occurring in December 2011.
The maximum value is 0.526 occurring in January 2011.
This chart has a note which reads "1. Reverse of balance of payments signs.".

Canadian portfolio investment in foreign securities1, billions of dollars
  Bonds Stocks Money market
January 2011 -0.319 1.68 0.526
February 2011 1.889 0.388 0.44
March 2011 -2.342 1.315 -0.701
April 2011 -2.453 0.332 -0.472
May 2011 -2.391 6.193 -0.128
June 2011 -2.594 3.758 -0.301
July 2011 -1.164 2.88 0.191
August 2011 -1.659 4.458 -0.232
September 2011 0.141 0.942 -0.151
October 2011 1.098 0.953 0.002
November 2011 1.562 1.675 -0.291
December 2011 2.343 1.35 -0.918
January 2012 -1.75 3.369 -0.358

1. Reverse of balance of payments signs.