Don't miss
-"The impact of macroprudential policies in Latin America: An empirical analysis using credit registry data", joint with Leonardo Gambacorta. 2020. Journal of Financial Intermediation.
-"Evaluating the impact of macroprudential policies on credit growth in Colombia", joint with Esteban Gómez, Angélica Lizarazo, Juan Carlos Mendoza. 2020. Journal of Financial Intermediation (ed.), Macroprudential Policies in Americas, volume 42.
-"The impact of macroprudential policies in Latin America: An empirical analysis using credit registry data", joint with Leonardo Gambacorta. 2020. Journal of Financial Intermediation.
-"Evaluating the impact of macroprudential policies on credit growth in Colombia", joint with Esteban Gómez, Angélica Lizarazo, Juan Carlos Mendoza. 2020. Journal of Financial Intermediation (ed.), Macroprudential Policies in Americas, volume 42.
-"New evidence on the effectiveness of macroprudential measures", joint with Yener Altunbaş, Mahir Binici and Leonardo Gambacorta. 2017. VOX. CEPR Policy Portal.
Refereed publications
-"Effects of foreign participation in the colombian local public debt market on domestic financial conditions", joint with Pamela Cardozo, Hernando Vargas Herrera, José Vicente Romero. 2020. Borradores de Economía, 1115. Banco de la República de Colombia.
-"Does Geographical Complexity of Colombian Financial Conglomerates Increase Banks' Risk? The Role of Diversification, Regulatory Arbitrage and Funding Costs", joint with Pamela Cardozo, Pamela Morales Acevedo, Beatriz Pacheco. 2020. Borradores de Economía, 1110. Banco de la República de Colombia.
-"The impact of macroprudential policies and their interaction with monetary policy: an empirical analysis using credit registry data", joint with Leonardo Gambacorta. 2019. IFC Bulletins chapters in: Bank for International Settlements (ed.), Are post-crisis statistical initiatives completed?, volume 49. BIS.
-"Effects of foreign participation in the colombian local public debt market on domestic financial conditions", joint with Pamela Cardozo, Hernando Vargas Herrera, José Vicente Romero. 2020. Borradores de Economía, 1115. Banco de la República de Colombia.
-"Does Geographical Complexity of Colombian Financial Conglomerates Increase Banks' Risk? The Role of Diversification, Regulatory Arbitrage and Funding Costs", joint with Pamela Cardozo, Pamela Morales Acevedo, Beatriz Pacheco. 2020. Borradores de Economía, 1110. Banco de la República de Colombia.
-"The impact of macroprudential policies and their interaction with monetary policy: an empirical analysis using credit registry data", joint with Leonardo Gambacorta. 2019. IFC Bulletins chapters in: Bank for International Settlements (ed.), Are post-crisis statistical initiatives completed?, volume 49. BIS.
-"International trade networks and the integration of Colombia into global trade", joint with Hernando Vargas and Carlos León. 2018. BIS Papers chapters, in: Bank for International Settlements (ed.), Globalisation and deglobalisation, volume 100. PP 105-123. BIS.
-“Determinants of bank profitability in emerging markets”, joint with Emanuel Kohlscheen and Juan Contreras. 2018. BIS Working Papers 686.
-"The macroprudential policy framework in Colombia", joint with Hernando Vargas and Pamela Cardozo. 2017. Bank for International Settlements (ed.). Macroprudential policy frameworks, implementation and relationships with other policies. Vol. 94. PP 103-128. BIS.
-“Evaluating the impact of macroprudential policies on credit growthin Colombia”, joint with Esteban Gómez, Angélica Lizarazo and Juan Carlos Mendoza. 2017. BIS Working Papers 634.
- “Moving in tandem: bank provisioning in Emerging Market Economies”, joint with Emanuel Kohlscheen. MIMEO. 2016. BIS Working Papers 548.
- “Moving in tandem: bank provisioning in Emerging Market Economies”, joint with Emanuel Kohlscheen. MIMEO. 2016. BIS Working Papers 548.
- “Assessing systemic
importance with a fuzzy logic inference system”, joint with Carlos León and
Clara Machado. Intelligent Systems in Accounting, Finance and
Management, 2016. pp.121-153. WILEY.
- “El papel de la estructura del sistema financiero en
la transmisión de la política monetaria” (The role of market
structure in monetary policy transmission) joint with Javier
Gutiérrez. Ensayos sobre Política Económica, Volume 33, April
2015, pp.44-52. ELSEVIER.
- “Shadow Banking y Liquidez en
Colombia” (Shadow
Banking and Liquidity in Colombia) joint with Pamela Cardozo
and Jorge Cely. No. 8. 2014, pp69-113. ODEON.
- “El papel de la estructura del sistema financiero en
la transmisión de la política monetaria” (The role of market
structure in monetary policy transmission) joint with Javier
Gutiérrez. Ensayos sobre Política Económica, Volume 33, April
2015, pp.44-52. ELSEVIER.
- “Shadow Banking y Liquidez en
Colombia” (Shadow
Banking and Liquidity in Colombia) joint with Pamela Cardozo
and Jorge Cely. No. 8. 2014, pp69-113. ODEON.
-“Loan Growth and Bank Risk: New
Evidence", joint with Jose
Eduardo Gómez and Juan Sebastián Amador. Financial Markets and
Portfolio Management. Vol 27. September 2013, pp.365-379. SPRINGER.
-“The Cyclical Behavior of Bank Capital Buffers in an Emerging
Economy: Size Does Matter", joint with Andrés García, Jose Eduardo Gómez and
Fernando Tenjo. Economic Modelling, Volume 29, Issue
5, September 2012, pp.1612-1617. ELSEVIER
-“Foreign Debt Flows and the Credit
Market: A Principal-Agent approach", joint with Esteban
Gómez and Nancy Zamudio. Ensayos
sobre Política Económica. Vol 32. Issue 73, 2014, pp87-103.
ELSEVIER
-“Determinantes de la tasa de cambio en Colombia: un enfoque de
microestructura de mercados (Determinants of the
exchange rate in Colombia: A market microstructure approach) joint with
Diego Rojas. Ensayos sobre Política Económica. Vol 32. Issue 74, 2014, pp52-67. ELSEVIER
- “Systemic importance Index for
financial institutions: A principal Component Analysis Approach", joint with Carlos León. No
7, pp. 127-167. 2013. ODEON.
-“Financial Conditions Index: Early
and Leading Indicator for Colombia”, joint with Esteban Gómez and Nancy
Zamudio- Ensayos sobre Política Económica (ESPE). No.
66. December 2011.
-“Análisis de cambios en volatilidad de los activos
financieros de América Latina” (Volatility changes
analysis for the financial assets in Latin America) Revista
Análisis No. 2, Junio 2011, pp. 145-174. Autorregulador
del Mercado de Valores, Bogotá - Colombia.
-“Volatilidad de la tasa de cambio nominal en Colombia y su relación con
algunas variables” (Volatility of Nominal Exchange Rate
and its relationship with some variables) -joint with Felipe Lega, Tatiana
Venegas and Diego Vásquez - Coyuntura Económica vol.
xxxviii, No. 1, primer semestre 2008, pp. 23-43. Fedesarrollo,
Bogotá - Colombia.
-“Los efectos de la tasa de interés de Usura en Colombia” (The
effects of interest rates limits in Colombia) joint with Dairo Estrada
and Karen Penagos- Coyuntura Económica vol. xxxviii, No. 1,
primer semestre 2008, pp. 45-60. Fedesarrollo, Bogotá -
Colombia.
-“Determinantes
del Acceso al Crédito de los hogares Colombianos” (Determinants
of Credit Access For Colombian Households). Ensayos sobre Política
Económica. Vol.25, Num. 55. December 2007. Banco de la
República. Colombia
-“Crédito,
Represión Financiera y Flujos de Capitales en Colombia: 1974-2003” (Credit, Financial
Regulation and Capital Flows in Colombia: 1974-2003) –joint with Leonardo
Villar and David Salamanca- Revista Desarrollo y Sociedad. Universidad
de los Andes. CEDE. Colombia
Book articles
Articles
for the book “Portafolio y Pensiones: Construyendo una Política
Pública” (Portfolio and pensions: building a public policy) by
Juan Mario Laserna and Carolina Gómez (Editors). Published by Banco de la
República and Universidad Externado de Colombia. 2009.
-“Sistema
de comisiones de las administradoras de fondos de pensiones en Colombia” (Fee
scheme of pension fund managers in Colombia)- joint with Oscar
Martinez.
-“Desempeño
financiero de los fondos de pensiones obligatorias en Colombia” (Financial
Performance of Mandatory Pension Funds in Colombia)- joint
with Oscar Martinez.
-“Impacto
de las operaciones de los fondos de pensiones obligatorios en los
mercados financieros colombianos” (The Impact of Pension Funds operations
into Colombian financial markets)– joint with Diego Jara and Carolina
Gómez-.
Other publications
Book articles
-“Interacting with International Financial Institutions: Insights from BBC course” Blog: bccprogramme.org (Bilateral Assistance and Capacity Building for Central Banks). 2020.
-“El IBR y la DTF como indicadores de referencia” (The Colombian Banking Reference Indicator -IBR- and Term deposit interest rate-DTF- as possible reference indicators) Reportes del Emisor. No. 187. 2014
- “El Impacto de la Reforma Tributaria de 2012 sobre la inflación” (The impact of the 2012 tax reform on inflation) - joint with Luis Fernando Mejía et. al. Reportes de Hacienda. No. 12. Ministerio de Hacienda y Crédito Público. 2014
-“El IBR y la DTF como indicadores de referencia” (The Colombian Banking Reference Indicator -IBR- and Term deposit interest rate-DTF- as possible reference indicators) Reportes del Emisor. No. 187. 2014
- “El Impacto de la Reforma Tributaria de 2012 sobre la inflación” (The impact of the 2012 tax reform on inflation) - joint with Luis Fernando Mejía et. al. Reportes de Hacienda. No. 12. Ministerio de Hacienda y Crédito Público. 2014
-“Efectos de los Límites a las Tasas de Interés sobre la Profundización Financiera” (The effects of interest rates limits on financial depth) -joint with Dairo Estrada and Laura Capera- Temas de Estabilidad Financiera No. 57. Banco de la República. 2011
-“Determinantes de la Oferta de Crédito en el sector financiero colombiano” (Credit supply determinants in the Colombian financial sector) - joint with Hernán Piñeros- Temas de Estabilidad Financiera. No 21. Banco de la República. 2006
Main Mentions
- "Efectiveness of macro-pru in the Americas" Blog: Finance: Research, Policies and Anecdotes. By: Thorsten Beck. 2020.
-“Efectos de los Límites a las Tasas de Interés sobre la Profundización Financiera” (The effects of interest rates limits on financial depth) -joint with Dairo Estrada and Laura Capera- Temas de Estabilidad Financiera No. 57. Banco de la República. 2011
-“Determinantes de la Oferta de Crédito en el sector financiero colombiano” (Credit supply determinants in the Colombian financial sector) - joint with Hernán Piñeros- Temas de Estabilidad Financiera. No 21. Banco de la República. 2006
Main Mentions
Main Mentions
- "Efectiveness of macro-pru in the Americas" Blog: Finance: Research, Policies and Anecdotes. By: Thorsten Beck. 2020.