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dc.creatorVargas-Herrera, Hernando
dc.creatorCardozo-Ortiz, Pamela Andrea
dc.creatorMurcia, Andrés
dc.description.abstractMacroprudential policy in Colombia is described along with a discussion of the main challenges faced by the authorities in implementing it and a review of episodes in which macroprudential measures were taken. An overview and some estimates of their effectiveness in preventing the buildup of imbalances, increasing buffers and cushioning downswings are presented.
dc.format.extent25 páginas : gráficas, tablas
dc.publisherBanco de la República de Colombia
dc.relation.ispartofDocumentos de trabajo
dc.relation.ispartofseriesBorradores de Economía
dc.relation.isversionofBorradores de Economía; No. 1014
dc.rights.accessRightsOpen Access
dc.subjectPolítica macroprudencial
dc.subjectEstabilidad financiera
dc.subjectRegulación financiera
dc.subjectRed de seguridad financiera
dc.subjectBancos centrales
dc.titleThe macroprudential policy framework in Colombia
dc.typeWorking Paper
dc.subject.jelG18 - General Financial Markets: Government Policy and Regulation
dc.subject.jelE51 - Money Supply; Credit; Money Multipliers
dc.subject.jelE58 - Central Banks and Their Policies
dc.subject.jelF32 - Current Account Adjustment; Short-Term Capital Movements
dc.subject.jelF38 - International Financial Policy: Financial Transactions Tax; Capital Controls
dc.subject.jelG28 - Financial Institutions and Services: Government Policy and Regulation
dc.subject.keywordMacroprudential policy
dc.subject.keywordFinancial stability
dc.subject.keywordFinancial regulation
dc.subject.keywordFinancial safety net
dc.subject.keywordCentral banking
dc.subject.lembMacroeconomía -- Colombia
dc.subject.lembCrédito -- Colombia -- 2006-2008
dc.subject.lembColombia -- Política económica
dc.subject.lembIndicadores económicos -- Colombia -- 1992-2016
dc.type.spaDocumentos de trabajo
dc.rights.spaAcceso abierto
dc.rights.ccAtribucion-NoComercial-CompartirIgual CC BY-NC-SA 4.0
dc.subject.jelspaE58 - Bancos centrales y sus políticas
dc.subject.jelspaF32 - Ajustes de la balanza por cuenta corriente; Movimientos de capital a corto plazo
dc.subject.jelspaF38 - Política financiera internacional: Impuesto a las transacciones financieras; controles de capital
dc.subject.jelspaG18 - Mercados financieros en general: Política pública y regulación
dc.subject.jelspaG28 - Instituciones y servicios financieros: Política pública y regulación
dc.subject.jelspaE51 - Oferta monetaria; Crédito; Multiplicadores monetarios
dc.type.hasversionPublished Version
dc.source.bibliographicCitationAltunbas, Y, M Binici, and L Gambacorta (2017): “Macroprudential policies and bank risk”, BIS Working Papers, no 646
dc.source.bibliographicCitationBernanke, B and A Blinder (1988): “Credit, money, and aggregate demand”. American Economic Review, vol 78, no 2, pp 435–39.
dc.source.bibliographicCitationBustamante, C (2011): “Política monetaria contracíclica y encaje bancario”, Banco de la República Working Paper Series, no 646.
dc.rights.disclaimerLas opiniones contenidas en el presente documento son responsabilidad exclusiva de los autores y no comprometen al Banco de la República ni a su Junta Directiva.
dc.creator.firmaAndrés Murcia 

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