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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".
The units of the horizontal axis are months by year ranging from September 2010 to September 2011.
The title of series 1 is "Bonds".
The minimum value is -2.604 occurring in June 2011.
The maximum value is 4.397 occurring in November 2010.
The title of series 2 is "Stocks".
The minimum value is -1.574 occurring in December 2010.
The maximum value is 6.193 occurring in May 2011.
The title of series 3 is "Money market".
The minimum value is -1.201 occurring in November 2010.
The maximum value is 1.528 occurring in October 2010.
This chart has a note which reads "1. Reverse of balance of payments signs.".
Bonds | Stocks | Money market | |
---|---|---|---|
September 2010 | 1.152 | 3.239 | 0.809 |
October 2010 | -0.668 | -0.927 | 1.528 |
November 2010 | 4.397 | -0.233 | -1.201 |
December 2010 | 0.314 | -1.574 | -0.677 |
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 | -2.604 | 3.885 | -0.301 |
July 2011 | -1.163 | 2.779 | 0.191 |
August 2011 | -1.399 | 3.68 | -0.232 |
September 2011 | -0.469 | 1.337 | -0.151 |
1. Reverse of balance of payments signs.