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Lecciones de las crisis financieras recientes para el diseno e implementación de las políticas monetarias y financieras en Colombia

Author

Listed:
  • Juan Pablo Zárate Perdomo
  • Adolfo León Cobo Serna
  • José Eduardo Gómez-González

Abstract

El presente trabajo da cuenta de las principales lecciones que se han recogido en materia de la política monetaria y financiera sobre la crisis actual y traza un paralelo con la crisis colombiana de los noventa (guardadas las proporciones) y con las acciones que de ella se derivaron. Además, propone algunas acciones que podrían adoptarse en materia de implementación de las políticas monetarias y financieras con el fin de reducir los riesgos asociados con el comportamiento del sistema financiero y de crédito, tendientes a buscar una economía más estable y con menores desbalances macroeconómicos en el largo plazo.

Suggested Citation

  • Juan Pablo Zárate Perdomo & Adolfo León Cobo Serna & José Eduardo Gómez-González, 2012. "Lecciones de las crisis financieras recientes para el diseno e implementación de las políticas monetarias y financieras en Colombia," Revista ESPE - Ensayos Sobre Política Económica, Banco de la República, vol. 30(69), pages 258-293, December.
  • Handle: RePEc:col:000107:010877
    DOI: 10.32468/Espe.6906
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    Cited by:

    1. Juan José Echavarría & Andrés González, 2012. "Choques internacionales reales y financieros y su impacto sobre la economía colombiana," Revista ESPE - Ensayos sobre Política Económica, Banco de la Republica de Colombia, vol. 30(69), pages 14-66, December.
    2. Leonardo Villar-Gómez & Javier Gómez & Andrés Murcia Pabón & Wilmar Cabrera & Hernando Vargas, 2023. "The monetary and macroprudential policy framework in Colombia in the last 30 years: lessons learnt and challenges for the future," BIS Papers chapters, in: Bank for International Settlements (ed.), Central banking in the Americas: Lessons from two decades, volume 127, pages 87-112, Bank for International Settlements.
    3. Juan J. Echavarría & Luis F. Melo-Velandia & Mauricio Villamizar-Villegas, 2018. "The impact of pre-announced day-to-day interventions on the Colombian exchange rate," Empirical Economics, Springer, vol. 55(3), pages 1319-1336, November.
    4. Andrés J. García Bernal & José E. Gómez-González & Tatiana A. Mora-Arbeláez & Mauricio Villamizar-Villegas, 2015. "Una historia exhaustiva de la regulación financiera en Colombia: El caso del encaje bancario, derivados financieros y riesgos de crédito," Coyuntura Económica, Fedesarrollo, vol. 45(2), pages 221-268, December.
    5. Johanna Inés Cárdenas Pinzón & Luis Eudoro Vallejo Zamudio, 2013. "Comportamiento de la inflación en Colombia 2002-2010 y régimen de metas de inflación," Apuntes del Cenes, Universidad Pedagógica y Tecnológica de Colombia, June.
    6. Santiago Cajiao Raigosa & Luis Fernando Melo Velandia & Daniel Parra Amado, 2014. "Pronósticos para una economía menos volátil: el caso colombiano," Coyuntura Económica, Fedesarrollo, December.

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    More about this item

    Keywords

    Crisis financiera internacional; Colombia; Lecciones de política;
    All these keywords.

    JEL classification:

    • G01 - Financial Economics - - General - - - Financial Crises
    • G15 - Financial Economics - - General Financial Markets - - - International Financial Markets
    • G18 - Financial Economics - - General Financial Markets - - - Government Policy and Regulation

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