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All (188) (60 to 70 of 188 results)

  • Articles and reports: 92F0138M2000004
    Description:

    Up to and including the 1996 Census, the enumeration area (EA) served as both the primary collection area and the basic dissemination area. Optimising both the collection and dissemination functions was a difficult undertaking and compromises were made. For the 2001 Census, the new digital cartographic file called the National Geographic Base (NGB) and the block program have made it possible to create separate enumeration areas for data collection and dissemination areas for data dissemination. This working paper describes the design criteria that have been specified for the implementation of the dissemination area (DA). These criteria address the improvements most frequently requested by users such as increased temporal stability, reduced area suppression, intuitive boundaries, compactness and homogeneity. In addition to integrating and reflecting the recommendations from the user community, the dissemination area design incorporates operational factors related to the DA code structure, maximum code size and production timeframes.

    NOTE: This working paper was first released in March 2000 and described the design criteria and their parameters that were being considered for creating the dissemination area (DA) for the 2001 Census. Since that time, the design criteria have been finalised. New information is highlighted as "Updates" in this version of the paper (June 2001). The remainder of the paper is the same as the version released in March 2000.

    Release date: 2000-03-13

  • Surveys and statistical programs – Documentation: 13F0026M2000001
    Description:

    The intent of this document is to provide an inventory of the surveys, databases, publications, articles and work in progress in Statistics Canada that relate to Canada's retirement income programs. The inventory provides information on publications, output and relevant data elements produced by the surveys and databases. It does not provide an exhaustive description of these data sources, but instead focuses on the information that can be used for purposes of researching/analysing retirement income programs. Some of the information contained does not specifically relate to these programs but might be used as a secondary source when doing research in this area.

    Release date: 2000-03-06

  • Surveys and statistical programs – Documentation: 11-522-X19990015652
    Description:

    Objective: To create an occupational surveillance system by collecting, linking, evaluating and disseminating data relating to occupation and mortality with the ultimate aim of reducing or preventing excess risk among workers and the general population.

    Release date: 2000-03-02

  • Articles and reports: 75F0002M2000002
    Description:

    This paper presents data from several of the most important income series. These integrated series use the Survey of Consumer Finances (SCF) data up to and including reference year 1995. From 1996 onwards, the data come from the Survey of Labour and Income Dynamics (SLID).

    Release date: 2000-02-14

  • Table: 92F0138M2000001
    Description:

    With this working paper, Statistics Canada is releasing 1991 Census data tabulated by a new geographic classification called "census metropolitan area and census agglomeration influenced zones", or MIZ. This classification applies to census subdivisions (municipalities) that lie outside census metropolitan areas and census agglomerations. This part of Canada covers 96% of the country's total land mass and contains 22% of its population, yet up to now we have been limited in our means of differentiating this vast area. The MIZ classification shows the influence of census metropolitan areas (CMA) and census agglomerations (CA) on surrounding census subdivisions as measured by commuting flows based on 1991 Census place of work data. This version of the MIZ classification also incorporates a preliminary version of a north concept that flags census subdivisions according to their location in the north or south of Canada.

    The series of tables presented here show detailed demographic, social and economic characteristics for Canada as a whole, for the six major regions of Canada, and for individual provinces and territories. Within each table, the data are subdivided into five categories: census metropolitan area or census agglomeration, strong MIZ, moderate MIZ, weak MIZ and no MIZ. Within each of these categories, the data are further subdivided into north and south.

    Readers are invited to review and use the data tables to assess whether this combined MIZ and north/south classification of non-CMA/CA areas provides sufficient detail to support data analysis and research. The intent of this MIZ classification is to reveal previously hidden data detail and thereby help users address issues related to this vast geographic area.

    This is the first of three related Geography working papers (catalogue no. 92F0138MPE). The second working paper (no. 2000-2, 92F0138MPE00002) provides background information about the methodology used to delineate the MIZ classification. The third working paper (no. 2000-3, 92F0138MPE00003) describes the methodology used to define a continuous line across Canada that separates the north from the south to further differentiate the MIZ classification.

    Release date: 2000-02-03

  • Articles and reports: 92F0138M2000002
    Description:

    This working paper provides an overview of census metropolitan and census agglomeration influenced zones, or MIZ, their background and the methodology used to define them. The MIZ classification is an approach to better differentiate areas of Canada outside of census metropolitan areas (CMA) and census agglomerations (CA). Census subdivisions that lie outside these areas are classified into one of four zones of influence ranging from "strong" to "no" influence according to the degree of influence that CMA/CAs have on them. The MIZ classification fills a gap in Statistics Canada's geographic framework and promotes data integration since we expect it will be possible to obtain survey data as well as census data based on the same geographic structure. Studies done with a preliminary version of MIZ showed the potential of MIZ to reveal the diversity of non-metropolitan Canada. Based on feedback received on that initial research, this working paper reports on more recent work that has been done to refine the number and data breakpoints for MIZ categories and to examine the additional variables of distances between census subdivisions (CSDs), physical adjacency and a north-south allocation.

    This is the second in a series of three related Geography working papers (catalogue no. 92F0138MPE) that describe a new statistical area classification that includes census metropolitan areas/census agglomerations, MIZ and the North concept. The first working paper (no. 2000-1, 92F0138MPE00001) briefly describes MIZ and provides tables of selected socio-economic characteristics from the 1991 Census tabulated by the MIZ categories. The third working paper (no. 2000-3, 92F0138MPE00003) describes the North concept and the methodology used to define a continuous line across Canada that separates the north from the south to further differentiate the MIZ classification.

    Release date: 2000-02-03

  • Articles and reports: 92F0138M2000003
    Description:

    Statistics Canada's interest in a common delineation of the north for statistical analysis purposes evolved from research to devise a classification to further differentiate the largely rural and remote areas that make up 96% of Canada's land area. That research led to the establishment of the census metropolitan area and census agglomeration influenced zone (MIZ) concept. When applied to census subdivisions, the MIZ categories did not work as well in northern areas as in the south. Therefore, the Geography Division set out to determine a north-south divide that would differentiate the north from the south independent of any standard geographic area boundaries.

    This working paper describes the methodology used to define a continuous line across Canada to separate the north from the south, as well as lines marking transition zones on both sides of the north-south line. It also describes the indicators selected to derive the north-south line and makes comparisons to alternative definitions of the north. The resulting classification of the north complements the MIZ classification. Together, census metropolitan areas, census agglomerations, MIZ and the North form a new Statistical Area Classification (SAC) for Canada.

    Two related Geography working papers (catalogue no. 92F0138MPE) provide further details about the MIZ classification. Working paper no. 2000-1 (92F0138MPE00001) briefly describes MIZ and includes tables of selected socio-economic characteristics from the 1991 Census tabulated by the MIZ categories, and working paper no. 2000-2 (92F0138MPE00002) describes the methodology used to define the MIZ classification.

    Release date: 2000-02-03

  • Surveys and statistical programs – Documentation: 75F0002M1999009
    Description:

    This paper describes the issues around updating the low income cut-offs as well as Statistics Canada's findings and proposes a course of action.

    Release date: 2000-01-12

  • Stats in brief: 13-604-M1999036
    Description:

    Recent economic trends, including expanding globalization of trade (as evidenced by new trade agreements), volatility in market exchange rates, and greater interest in international comparisons of real income and productivity are generating increased interest in intercountry comparisons. These comparisons are made in real terms derived from purchasing power parities (PPPs). In Canada, a particularly important relationship with the United States focusses attention on US/Canada comparative price and volume measures. This article includes updated annual bilateral volume indexes of real gross domestic product (GDP) per capita and its components for the United States, compared with Canada, and the associated PPPs.

    Release date: 1999-11-30

  • Surveys and statistical programs – Documentation: 89F0077X
    Description:

    The National Longitudinal Survey of Children (NLSC) is the first Canada-wide survey of children. Starting in 1994, it will gather information on a sample of children and their life experiences. It will follow these children over time, collecting information on the children and their families, education, health, development, behaviour, friends, activities, etc.

    Release date: 1999-10-22
Data (3)

Data (3) ((3 results))

  • Table: 13-604-M2007054
    Description:

    This paper examines some of the reasons behind the slowdown of output growth relative to employment during 2006. It finds the two have converged frequently in recent years, including most of 2002 and 2003. After reviewing the sources of last year's productivity slowdown by industry, it looks at the negative impact of labour shortages on the quality of labour, especially in western Canada.

    Release date: 2007-02-23

  • Table: 92F0138M2000001
    Description:

    With this working paper, Statistics Canada is releasing 1991 Census data tabulated by a new geographic classification called "census metropolitan area and census agglomeration influenced zones", or MIZ. This classification applies to census subdivisions (municipalities) that lie outside census metropolitan areas and census agglomerations. This part of Canada covers 96% of the country's total land mass and contains 22% of its population, yet up to now we have been limited in our means of differentiating this vast area. The MIZ classification shows the influence of census metropolitan areas (CMA) and census agglomerations (CA) on surrounding census subdivisions as measured by commuting flows based on 1991 Census place of work data. This version of the MIZ classification also incorporates a preliminary version of a north concept that flags census subdivisions according to their location in the north or south of Canada.

    The series of tables presented here show detailed demographic, social and economic characteristics for Canada as a whole, for the six major regions of Canada, and for individual provinces and territories. Within each table, the data are subdivided into five categories: census metropolitan area or census agglomeration, strong MIZ, moderate MIZ, weak MIZ and no MIZ. Within each of these categories, the data are further subdivided into north and south.

    Readers are invited to review and use the data tables to assess whether this combined MIZ and north/south classification of non-CMA/CA areas provides sufficient detail to support data analysis and research. The intent of this MIZ classification is to reveal previously hidden data detail and thereby help users address issues related to this vast geographic area.

    This is the first of three related Geography working papers (catalogue no. 92F0138MPE). The second working paper (no. 2000-2, 92F0138MPE00002) provides background information about the methodology used to delineate the MIZ classification. The third working paper (no. 2000-3, 92F0138MPE00003) describes the methodology used to define a continuous line across Canada that separates the north from the south to further differentiate the MIZ classification.

    Release date: 2000-02-03

  • Table: 16F0007X
    Description:

    The federal government's Canadian Environmental Industry Strategy consists of a number of initiatives to achieve a cleaner environment and a stronger environmental industry. Statistics Canada received funding from Industry Canada, under Initiative 8 of the strategy, to develop a national statistical database on the environment industry. Statistics Canada began a program consisting of new surveys, modifications to existing surveys and integration of statistics from various components of its economic statistics framework.

    The environment "industry" does not exist as an explicit element in any existing classification. This is not surprising, because the environment industry consists of business involved in activities that span a number of different industries in the Standard Industrial Classification. Attempts had been made to identify environmental goods and services in existing classifications, but without appreciable success. It was necessary to develop new ways and new tools to obtain the information. These methods are outlined.

    A major objective of the approach adopted by Statistics Canada is to provide sufficient detail to permit comparability of the results with other countries and to satisfy a variety of data needs.

    Release date: 1997-06-01
Analysis (82)

Analysis (82) (40 to 50 of 82 results)

  • Articles and reports: 61F0041M1997001
    Description:

    Primary product specialization and coverage ratios are now being produced and published for Canadian manufacturing industries. This paper reviews concepts, outlines uses, summarizes 1994 data, details a number of methodological issues, examines sources of change over time and measures those sources by means of a shift/share decomposition. The paper also describes the algorithm that has been developed for detecting and treating confidential values. This algorithm includes the use of rounding and the application of ranges; such treatment maintains confidentiality while allowing specialization and coverage data to be released for each and every manufacturing industry. The Appendix comprises specialization and coverage ratios for 1994.

    Release date: 1999-09-01

  • Articles and reports: 88F0006X1999006
    Description:

    This study provides background information towards developing working definitions of e-commerce. In addition, through selected case studies it examines whether respondents could provide information for such measurements. The study distinguishes between e-commerce and e-business, the former being a sub-set of the latter and emphasizes computer-mediation as an important feature of this phenomenon. A definition of e-commerce is then proposed: "Transactions carried over computer-mediated channels that comprise the transfer of ownership or the entitlement to use tangible or intangible assets".

    Release date: 1999-08-20

  • Articles and reports: 62F0014M1997005
    Geography: Canada
    Description:

    Since 1961, the service component of the Canadian Consumer Price Index (CPI) has generally shown a higher rate of increase than the goods component. Furthermore, when some of the more volatile components of the CPI are removed the spread widens. For instance, during the same period core goods inflation (excluding food and energy) increased at an annual rate of 4.3% compared to 6.1% per cent for services (excluding shelter). The literature on service sector inflation suggests five explanations for this phenomenon. Although all these sources of the inflation differential are interesting and important in their own right, this paper will examine two. Some believe that service inflation is a statistical artifact stemming from the inherent difficulties in measuring the output of services and hence their price changes. This issue will be examined first. Indeed the measurement problem appears more serious for services; however it cannot be held completely responsible for the inflationary gap. William Baumol (1967) originally suggested the other cause for higher service inflation whereby unbalanced sectorial growth would be the cause of the divergent inflation rates. This explanation will be the focus of the second part of the paper. In spite of the attractiveness of Baumol's model, empirical evidence rejects the hypothesis.

    Release date: 1999-05-13

  • Articles and reports: 62F0014M1997009
    Geography: Canada
    Description:

    A research program was recently initiated by Prices Division to explore the feasibility of using the hedonic approach for making quality adjustments in the Consumer Price Index (CPI) for clothing items. The current paper is the first of a series, which attempts to derive hedonic quality adjustments for Men's Dress Shirts. A database for quality characteristics is first constructed, from which two experimental hedonic models are estimated. One of these models is then used to produce hedonic quality adjustments for all shirt substitutions that have occurred subsequent to May 1995 up to June 1996. These values are then compared with the actual quality adjustments used in the official CPI. Although results are preliminary, three important conclusions can be made. First, quality adjustments derived using the hedonic versus the traditional approach are very different, at least at the level of individual substitutions. Which of the two approaches is more accurate, however, is not evident at this premature stage. Second, the integrity of the data on quality characteristics will have to improve greatly if the hedonic approach is ever to be considered as a viable alternative. Finally, improving the source data on quality characteristics would be of value whether or not the hedonic approach is adopted for making quality adjustments. One of the ways this could be done would be to adopt the checklist approach, which is the current procedure in the United States and in Sweden.

    Release date: 1999-05-13

  • Articles and reports: 62F0014M1998006
    Geography: Canada
    Description:

    Statistical agencies such as Statistics Canada are investigating the use of scanner data for their own purposes. Interest has grown in the potential uses of this data to improve the quality of price indexes. This paper reports on initial research done in Prices Division. The paper looks at scanner data and the feasibility of its use to produce CPI estimates; evaluates current CPI methodology and procedures; and the impact that use of scanner data would have on the CPI commodity indexes. The main focus of the study, however, is to explore the impact that scanner data would have on the CPI basic commodity indexes covered by scannable items. Since the CPI criterion relates to a limited selection of scanner data, an examination will be made of the impact of gradually relaxing the criteria to include more products and outlets from the scanner data. The initial subset was derived by applying the CPI criteria of volume selling brands and outlets. Each of these changes in criteria yielded a different subset of scanner data. Calculations were performed using these various subsets of scanner data and their results compared to the CPI. An analysis of the results will be used in determining the strengths and limitations of CPI data, detect any deficiencies and provide information for revision of pricing selection.

    Release date: 1999-05-13

  • Articles and reports: 62F0014M1998011
    Geography: Canada
    Description:

    This paper is the second in a series reporting on the current progress of a study whose purpose is to explore the feasibility of using the hedonic approach for making quality adjustments to the Clothing component of the Consumer Price Index (CPI). In this phase of the study, two preliminary checklists were developed for obtaining prices and quality characteristics for Men's Dress Shirts and Men's Sports Jackets. These checklists were then used for data collection in the field on expanded CPI samples for the two items. To date, the resulting database for Men's Dress Shirts has been used to derive a hedonic model. The main conclusions that can be made at this point are: 1) checklists represent a certain improvement over the current method of reporting and should be developed for all clothing items in the CPI; 2) if the hedonic approach to quality adjustment in clothing is to be formally adopted then the CPI samples will have to be augmented, at least periodically to permit estimation; and 3) more experience is needed with the hedonic approach in research mode, using clothing items with more complexity, before we can say whether the hedonic approach should be formally adopted as an alternative to our current method of quality adjustment for clothing items.

    Release date: 1999-05-13

  • Articles and reports: 62F0014M1998012
    Geography: Canada
    Description:

    This paper examines the methods of adjustment for quality change made in the Canadian Consumer Price Index for the period 1989 to 1994. It finds that in most cases the current Canadian practice ensures that the replacement of one commodity by another, one variety of a commodity by another, or one outlet by another, has no impact on the overall index. The main exceptions to this result occur when replacing varieties of commodities that are purchased only occasionally, and a judgement is made that the quality ratio between the old and new variety is not the same as the ratio of their prices. In these cases there is an impact on the index, up or down, depending on whether the change in price reported is higher or lower than the change in quality. From the experience of the CPI in these six years there has been a correlation between the price ratio of a variety and its replacement and the index movement that derives from the judgement. The direction and size of the impact on the index depends largely on whether an item is replaced with a higher or lower priced item. For these reasons, the paper argues that more attention should be paid to ensuring that the item selection is more representative of current sales than has traditionally been the case.

    Release date: 1999-05-13

  • Articles and reports: 13F0026M1999005
    Description:

    The new 1999 Survey of Financial Security (SFS) will provide a picture of the value and nature of assets held by Canadian families. Such information will make it possible to analyse asset holdings over the life cycle, as well as to look at the financial vulnerability and future consumption capabilities of Canadians.

    This report identifies some problematic and complex issues related to the evaluation of owner-occupied dwellings (principal residence) and examines several possible approaches to valuing these dwellings. The following information about the dwelling is considered in suggesting possible valuation methods: insured value, assessed value, dwelling characteristics, and purchase price and year of purchase. An optimal method to produce an objective value for a dwelling is also suggested and methods for deriving the value of principal residences located on farms are discussed as well.

    Release date: 1999-03-23

  • Articles and reports: 75F0002M1998018
    Description:

    This paper presents data on labour market transitions (or the seam) using data from the Survey of Labour and Income Dynamics (SLID).

    Release date: 1998-12-30

  • Articles and reports: 92F0138M1998001
    Description:

    Prior to the 2001 Census, the Geography Division manually calculated land area using a planimeter. The manual approach was necessary since the division did not have a national digital database to support an automated method. The manual land area calculation was a labour intensive process as well as very time consuming, expensive and very prone to error. With the anticipation of having a national digital base for the 2001 Census (to be called the National Geographic Base or NGB), the automated land area calculation becomes a simple GIS process.

    The objectives of this paper are to show the effects of data aggregation and different map projections on automated land area calculation. The testing is a two- staged process; the first stage uses the 1996 Digital Cartographic Files (DCFs) and the second stage will use the NGB. Although the DCFs are not ideal for testing land area, this two-staged approach is necessary since the NGB will not be completed until Autumn 1998. This report presents results on the first stage using the 1996 DCFs.

    The results reveal that the effects of data aggregation are minimal; thus land area can be stored at the census block level and then aggregated to higher level geographic entities without any serious ramifications for the 2001 Census. The results also indicate that an equal-area projection, specifically the Albers Equal-Area Conic projection, is more appropriate for calculating land area.

    Release date: 1998-10-26
Reference (103)

Reference (103) (0 to 10 of 103 results)

  • Surveys and statistical programs – Documentation: 75F0011X
    Description:

    This overview for the Survey of Labour and Income Dynamics (SLID) provides information on the purpose, content, methodology and products and services pertaining to SLID. Its HTML, menu-driven format enables users to discover all main elements of the survey in one, easy-to-use document. This publication was designed for survey respondents, users of SLID data, researchers and analysts, and individuals who would like to learn more about the survey.

    The SLID is an important source for income data for Canadian families, households and individuals. Introduced in 1993, SLID provides an added dimension to traditional surveys on labour market activity and income: the changes experienced by individuals and families through time. At the heart of the survey's objectives is the understanding of the economic well-being of Canadians. SLID also provides information on a broad selection of human capital variables, labour force experiences and demographic characteristics such as education, family relationships and household composition. Its breadth of content, combined with a relatively large sample, makes it a unique and valuable dataset.

    With this release, users now have free access to the 202 CANSIM Series tables. Tables are accessible using a PC or Mac via the web browser.

    Release date: 2013-06-27

  • Surveys and statistical programs – Documentation: 89F0078X
    Description:

    The National Longitudinal Survey of Children and Youth (NLSCY) is the first Canada-wide survey of children. Starting in 1994, it will gather information on a sample of children and their life experiences. It will follow these children over time. The survey will collect information on children and their families, education, health, development, behaviour, friends, activities, etc. This document describes the survey instruments of cycle 4.

    Release date: 2004-07-02

  • Surveys and statistical programs – Documentation: 62F0026M2003001
    Description:

    This report describes the quality indicators produced for the 2001 Survey of Household Spending. It covers the usual quality indicators that help users interpret the data, such as coefficients of variation, nonresponse rates, slippage rates and imputation rates.

    Release date: 2003-11-26

  • Surveys and statistical programs – Documentation: 13-604-M2003042
    Description:

    On May 31, 2001, the quarterly income and expenditure accounts adopted the Chain Fisher Index formula, chained quarterly, as the official measure of real gross domestic product (GDP) in terms of expenditures. This formula was also adopted for the Provincial Accounts on October 31, 2002.

    There were two reasons for adopting this formula: to provide users with a more accurate measure of real GDP growth between two consecutive periods and to make the Canadian measure comparable with the Income and Product Accounts of the United States, which has used the Chain Fisher Index formula since 1996 to measure real GDP.

    Release date: 2003-11-06

  • Surveys and statistical programs – Documentation: 62-014-X
    Description:

    The growth in the Information and Communication Technology (ICT) sector has created a need for more sector-specific economic indicators. Prices Division at Statistics Canada (STC) currently produces price indexes for several ICT goods that include computers and computer equipment or peripherals (e.g., printers and monitors). These indexes measure the price movement of ICT goods at the final or end-purchaser level (i.e., government, businesses and households) for consumption. The ICT price index series are used by economists, industry analysts and the general public to track and comprehend events and trends as they occur in this important area of the ICT sector. Within STC, the series pertaining to consumers are used in the calculation of the Consumer Price Index. In addition, several series are used by the Canadian System of National Accounts in deflating the value of gross investment by government and businesses. This reference document outlines what ICT goods price indexes are produced and their underlying data sources and methodology.

    Release date: 2003-10-30

  • Surveys and statistical programs – Documentation: 13F0031M2003010
    Description:

    This document provides compilers and users in Canada and the United States with a fuller understanding of the present practices, similarities and differences between the two national accounts systems. This will enable users to make meaningful comparisons of the published national accounts data. This report is the result of the co-operation between professionals of the two countries in trying to harmonize and improve the respective national accounts, and hopefully, in due course, international standards.

    Release date: 2003-06-20

  • Surveys and statistical programs – Documentation: 13F0031M
    Description:

    This series includes four reports which are the first set of documents relating to the changes made in the The 1997 historical revision of the Canadian System of National Accounts.

    Release date: 2003-06-20

  • Surveys and statistical programs – Documentation: 21-601-M2002061
    Description:

    This paper compares six definitions of the word 'rural' from databases at Statistics Canada. Each definition emphasizes different criteria (population size, density, context) and has different associated thresholds. The size of the territorial units (building blocks) from which each definition is constructed also varies.

    Release date: 2002-12-23

  • Surveys and statistical programs – Documentation: 62F0026M2001003
    Description:

    This document provides a detailed description of the methodology of the Survey of Household Spending. Topics covered include: target population; sample design; data collection; data processing; weighting and estimation; estimation of sampling error; and data suppression and confidentiality.

    Release date: 2001-10-15

  • Surveys and statistical programs – Documentation: 13F0026M2001003
    Description:

    Initial results from the Survey of Financial Security (SFS), which provides information on the net worth of Canadians, were released on March 15 2001, in The daily. The survey collected information on the value of the financial and non-financial assets owned by each family unit and on the amount of their debt.

    Statistics Canada is currently refining this initial estimate of net worth by adding to it an estimate of the value of benefits accrued in employer pension plans. This is an important addition to any asset and debt survey as, for many family units, it is likely to be one of the largest assets. With the aging of the population, information on pension accumulations is greatly needed to better understand the financial situation of those nearing retirement. These updated estimates of the Survey of Financial Security will be released in late fall 2001.

    The process for estimating the value of employer pension plan benefits is a complex one. This document describes the methodology for estimating that value, for the following groups: a) persons who belonged to an RPP at the time of the survey (referred to as current plan members); b) persons who had previously belonged to an RPP and either left the money in the plan or transferred it to a new plan; c) persons who are receiving RPP benefits.

    This methodology was proposed by Hubert Frenken and Michael Cohen. The former has many years of experience with Statistics Canada working with data on employer pension plans; the latter is a principal with the actuarial consulting firm William M. Mercer. Earlier this year, Statistics Canada carried out a public consultation on the proposed methodology. This report includes updates made as a result of feedback received from data users.

    Release date: 2001-09-05
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