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Rodrigo Suescun

Personal Details

First Name:Rodrigo
Middle Name:
Last Name:Suescun
Suffix:
RePEc Short-ID:psu215
Terminal Degree:1995 Department of Economics; University of Pennsylvania (from RePEc Genealogy)

Affiliation

(in no particular order)

Centro de Estudios Sobre Desarrollo Económico (CEDE) (Center of Studies on Economic Development)
Facultad de Economía (Department of Economics)
Universidad de los Andes (University of the Andes)

Bogotá, Colombia
http://economia.uniandes.edu.co/es/investigaciones_y_publicaciones/cede




RePEc:edi:ceandco (more details at EDIRC)

Facultad de Economía (Department of Economics)
Universidad de los Andes (University of the Andes)

Bogotá, Colombia
http://economia.uniandes.edu.co/

339-4949
332-4492
Carrera 1 No 18A-70, Bloque C, Bogota
RePEc:edi:feandco (more details at EDIRC)

Research output

as
Jump to: Working papers Articles Books

Working papers

  1. Rodrigo Suescún & Roberto Steiner, 2017. "Un modelo de equilibrio general dinámico para la evaluación de la política económica en Colombia," INFORMES DE INVESTIGACIÓN 015736, FEDESARROLLO.
  2. Suescun, Rodrigo, 2007. "The size and effectiveness of automatic fiscal stabilizers in Latin America," Policy Research Working Paper Series 4244, The World Bank.
  3. Suescun, Rodrigo, 2005. "Fiscal space for investment in infrastructure in Colombia," Policy Research Working Paper Series 3629, The World Bank.
  4. Suescun, Rodrigo, 2004. "Raising revenue with transaction taxes in Latin america - or is it better to tax with the devil you know?," Policy Research Working Paper Series 3279, The World Bank.
  5. Rodrigo SUESCÚN, 2001. "Impuestos a las transacciones: implicaciones sobre el bienestar y el crecimiento," ARCHIVOS DE ECONOMÍA 002820, DEPARTAMENTO NACIONAL DE PLANEACIÓN.
  6. Rodrigo Suescún, 2000. "Optimal Commodity Price Stabilization over the Business Cycle," BORRADORES DE ECONOMIA 003301, BANCO DE LA REPÚBLICA.
  7. Rodrigo Suescún M., 2000. "Optimical Commodity Price Stabilizador Over the Business Cycle," Borradores de Economia 154, Banco de la Republica de Colombia.
  8. Rodrigo Suescún M., 1997. "Commodity booms,dutch disease,and real business cycles in a small open economy: The case of coffee in Colombia," BORRADORES DE ECONOMIA 002164, BANCO DE LA REPÚBLICA.
  9. Rodrigo Suescún M., 1997. "Commodity Booms, Dutch Disease, and Real Business Cycles in a Small Economy: The Case of Coffe in Colombia," Borradores de Economia 073, Banco de la Republica de Colombia.
  10. Rodrigo Suescún M. & Martha Misas, 1996. "Cambio Tecnológico, Ineficiencia de Escala e Ineficiencia X en la Banca Colombiana," Borradores de Economia 059, Banco de la Republica de Colombia.
  11. Rodrigo Suescún, 1995. "Growth, Welfare Costs And Aggregate Fluctuations In Economies With Monetary Taxation," BORRADORES DE ECONOMIA 002775, BANCO DE LA REPÚBLICA.

Articles

  1. Rodrigo Suescún, 1997. "Bonanzas, enfermedad holandesa y ciclo económico real en Colombia," COYUNTURA ECONÓMICA, FEDESARROLLO, June.
  2. Rodrigo Suescún, 1995. "Implicaciones macroeconómicas de la tributación monetaria," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 14(28), pages 95-138, December.
  3. Martha Misas & Rodrigo Suescún, 1993. "Funciones de demanda de dinero y el comportamiento estacional del mercado monetario," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 12(23), pages 55-79, June.
  4. Rodrigo Suescún, 1992. "Inflación y devaluación como un fenómeno fiscal," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 11(22), pages 7-50, December.
  5. Roberto Steiner & Rodrigo Suescún & Fernando Melo, 1992. "Flujos de capital y expectativas de devaluación," COYUNTURA ECONÓMICA, FEDESARROLLO, vol. 22(2), pages 93-110, July.
  6. Suescun Melo Rodrigo, 1987. "Nueva Evidencia Sobre Economias De Escala En La Banca Colombiana," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 6(12), pages 5-22, December.
  7. Alejandro, Lopez Mejia & Rodrigo Suescun Melo, 1987. "Comentario Al Articulo. Sensibilidad De La Tasa De Interes Activa De Los Bancos A Cambios En Los Parametros De Politica Y Estructura," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 6(12), pages 129-132, December.
  8. Rodrigo Suescún, 1986. "Origen de las variaciones de la rentabilidad bancaria: 1980-1984," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 5(9), pages 43-68, June.

Books

  1. Guillermo Perry & Luis Servén & Rodrigo Suescún, 2008. "Fiscal Policy, Stabilization, and Growth : Prudence or Abstinence," World Bank Publications, The World Bank, number 6818.
  2. Rogério L.F. Werneck & Timothy Irwin & Federico Sturzenegger & Guillermo Perry & Luis Servén & Ilian Mihov & Francesco Giavazzi & Olivier Blanchard & Carlos Hamilton Vasconcelos Araújo & Rodrigo Suesc, 2008. "Fiscal Policy, Stabilization, and Growth: Prudence or Abstinence?," IDB Publications (Books), Inter-American Development Bank, number 356 edited by Guillermo Perry & Rodrigo Suescún & Luis Servén, April.

Citations

Many of the citations below have been collected in an experimental project, CitEc, where a more detailed citation analysis can be found. These are citations from works listed in RePEc that could be analyzed mechanically. So far, only a minority of all works could be analyzed. See under "Corrections" how you can help improve the citation analysis.

Working papers

  1. Suescun, Rodrigo, 2007. "The size and effectiveness of automatic fiscal stabilizers in Latin America," Policy Research Working Paper Series 4244, The World Bank.

    Cited by:

    1. Sena Kimm GNANGNON, 2012. "The Effect of Development Aid Unpredictability and Migrants’ Remittances on Fiscal Consolidation in Developing Countries," Working Papers 201210, CERDI.
    2. Sèna Kimm Gnangnon, 2012. "The Effect of Development Aid Unpredictability and Migrants' Remittances on Fiscal Consolidation in Developing Countries," Working Papers halshs-00677108, HAL.
    3. Dinga, Emil & Ionescu, Cornel & Padurean, Elena, 2010. "Discretionary Policy versus Non-Discretionary Policy in the Economic Adjustment Process," Journal for Economic Forecasting, Institute for Economic Forecasting, vol. 0(4), pages 184-207, December.

  2. Suescun, Rodrigo, 2005. "Fiscal space for investment in infrastructure in Colombia," Policy Research Working Paper Series 3629, The World Bank.

    Cited by:

    1. Pereira, Ricardo Antonio de Castro & Ferreira, Pedro Cavalcanti, 2007. "Efeitos de crescimento e bem-estar da Lei de parceria público-privada no Brasil," FGV/EPGE Economics Working Papers (Ensaios Economicos da EPGE) 648, FGV/EPGE - Escola Brasileira de Economia e Finanças, Getulio Vargas Foundation (Brazil).
    2. Semmler, Willi & Greiner, Alfred & Diallo, Bobo & Rezai, Armon & Rajaram, Anand, 2007. "Fiscal policy, public expenditure composition, and growth theory and empirics," Policy Research Working Paper Series 4405, The World Bank.
    3. William Easterly & Timothy Irwin & Luis Servén, 2008. "Walking up the Down Escalator: Public Investment and Fiscal Stability," World Bank Research Observer, World Bank Group, vol. 23(1), pages 37-56, January.

  3. Suescun, Rodrigo, 2004. "Raising revenue with transaction taxes in Latin america - or is it better to tax with the devil you know?," Policy Research Working Paper Series 3279, The World Bank.

    Cited by:

    1. Ignacio Lozano-Espitia & Hernando Vargas-Herrera & Norberto Rodríguez-Niño, 2017. "Financial transaction tax and banking margins: An empirical note for Colombia," Ensayos sobre Política Económica, Banco de la Republica de Colombia, vol. 35(83), pages 154-160, Junio.
    2. Victor Duarte Lledo, 2005. "Tax Systems Under Fiscal Adjustment; A Dynamic CGE Analysis of the Brazilian Tax Reform," IMF Working Papers 05/142, International Monetary Fund.

  4. Rodrigo Suescún, 2000. "Optimal Commodity Price Stabilization over the Business Cycle," BORRADORES DE ECONOMIA 003301, BANCO DE LA REPÚBLICA.

    Cited by:

    1. Miguel Urrutia & Carlos Esteban Posada & Adriana Pontón & Oscar Martínez, 2000. "Comercio Exterior y Actividad Económica de Colombia en el Siglo XX: Exportaciones Totales y Tradicionales," Borradores de Economia 163, Banco de la Republica de Colombia.

  5. Rodrigo Suescún M., 1997. "Commodity booms,dutch disease,and real business cycles in a small open economy: The case of coffee in Colombia," BORRADORES DE ECONOMIA 002164, BANCO DE LA REPÚBLICA.

    Cited by:

    1. Carlos Esteban Posada Posada & Wilman Gómez, 2004. "Un choque del activo externo neto y el ciclo económico Colombiano 1994-2001," BORRADORES DE ECONOMIA 003674, BANCO DE LA REPÚBLICA.
    2. Camilo Zea, 1999. "Financial Inefficiency And Real Business Cycle In Colombia," BORRADORES DE ECONOMIA 002722, BANCO DE LA REPÚBLICA.
    3. Cristina Fernández & Andrés González G., 2000. "Integración y vulnerabilidad externa en Colombia," COYUNTURA ECONÓMICA, FEDESARROLLO, December.
    4. Lavan Mahadeva & Javier Gómez Pineda, 2009. "The international cycle and Colombian monetary policy," BORRADORES DE ECONOMIA 005406, BANCO DE LA REPÚBLICA.
    5. Cardenas, Mauricio & Escobar, Andres, 1998. "Saving determinants in Colombia: 1925-1994," Journal of Development Economics, Elsevier, vol. 57(1), pages 5-44, October.

  6. Rodrigo Suescún M. & Martha Misas, 1996. "Cambio Tecnológico, Ineficiencia de Escala e Ineficiencia X en la Banca Colombiana," Borradores de Economia 059, Banco de la Republica de Colombia.

    Cited by:

    1. Jorge David Quinteo Otero & William Orlando Prieto Bustos & Fernando Barrios Aguirre & Laura Elena Leviller Guardo, 2008. "Determinantes de la eficiencia técnica en las empresas colombianas, 2001-2004," REVISTA SEMESTRE ECONÓMICO, UNIVERSIDAD DE MEDELLÍN, November.
    2. Camilo Zea, 1999. "Financial Inefficiency And Real Business Cycle In Colombia," BORRADORES DE ECONOMIA 002722, BANCO DE LA REPÚBLICA.
    3. Ana María Olaya Pardo & Manuel Ramírez Gómez, 2004. "Aversión al riesgo y eficiencia de escala en los bancos: Incluyendo variables de riesgo y regulación," BORRADORES DE INVESTIGACIÓN 004346, UNIVERSIDAD DEL ROSARIO.
    4. Roberto Steiner & Adolfo Barajas & Natalia Salazar, 1998. "El margen de intermediación bancaria en Colombia," IDB Publications (Working Papers) 6110, Inter-American Development Bank.
    5. Michel Janna Gandur, 2003. "Eficiencia en Costos,Cambios en las Condiciones Generales del Mercado y Crisis en la Banca Colombiana: 1992-2002," Borradores de Economia 260, Banco de la Republica de Colombia.
    6. Dairo Estrada & Poldy Osorio, 2004. "Effects Of Financial Capital On Colombian Banking Efficiency," BORRADORES DE ECONOMIA 002432, BANCO DE LA REPÚBLICA.
    7. Miguel SARMIENTOÕ & Andrés CEPEDA & Hernando MUTIS & Juan F. PÉREZ, 2013. "Nueva Evidencia sobre la Eficiencia de la Banca," ARCHIVOS DE ECONOMÍA 010705, DEPARTAMENTO NACIONAL DE PLANEACIÓN.
    8. Alejandro Ramírez Vigoya & Laura Cristancho, 2010. "Eficiencia en el Sector Financiero Colombiano en el Periodo 1995-2008," REVISTA FACULTAD DE CIENCIAS ECONÓMICAS, UNIVERSIDAD MILITAR NUEVA GRANADA, December.
    9. Sergio Clavijo, 2000. "Hacia la Multibanca en Colombia: Retos y 'Retazos' Financieros," Borradores de Economia 150, Banco de la Republica de Colombia.
    10. Barajas, Adolfo & Steiner, Roberto & Salazar, Natalia, 2000. "The impact of liberalization and foreign investment in Colombia's financial sector," Journal of Development Economics, Elsevier, vol. 63(1), pages 157-196, October.
    11. Alejandro BADEL FLOREZ, 2002. "Sistema Bancario Colombiano: ¿Somos eficientes a nivel internacional?," ARCHIVOS DE ECONOMÍA 003500, DEPARTAMENTO NACIONAL DE PLANEACIÓN.

Articles

  1. Rodrigo Suescún, 1995. "Implicaciones macroeconómicas de la tributación monetaria," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 14(28), pages 95-138, December.

    Cited by:

    1. Carlos Esteban Posada P., 1997. "Otro costo de una inflación perfectamente prevista," Ensayos sobre Política Económica, Banco de la Republica de Colombia, vol. 16(31), pages 5-33, Junio.

  2. Martha Misas & Rodrigo Suescún, 1993. "Funciones de demanda de dinero y el comportamiento estacional del mercado monetario," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 12(23), pages 55-79, June.

    Cited by:

    1. Sergio Clavijo, 2000. "Reflexiones Sobre Política Monetaria E "Inflación Objetivo" En Colombia," BORRADORES DE ECONOMIA 003423, BANCO DE LA REPÚBLICA.
    2. Álvaro Chaves Castro., 2005. "Un modelo de cointegración estacional de la producción industrial, Colombia 1993-2005," REVISTA CUADERNOS DE ECONOMÍA, UN - RCE - CID, December.
    3. Luis Armando Galvis Aponte & María Modesta Aguilera Díaz, 1999. "Determinantes de la demanda por turismo hacia Cartagena, 1987-1998," Documentos de trabajo sobre Economía Regional y Urbana 09, Banco de la Republica de Colombia.
    4. Harold Stevens Ávila Aguirre, 2013. "Comportamiento de la demanda de dinero en Colombia durante el periodo 2000: I-2010: IV," REVISTA APUNTES DEL CENES, UNIVERSIDAD PEDAGOGICA Y TECNOLOGICA DE COLOMBIA, June.
    5. Helmuth Árias Gómez, 2003. "Un ejercicio teórico y empírico acerca de la demanda de dinero," REVISTA APUNTES DEL CENES, UNIVERSIDAD PEDAGOGICA Y TECNOLOGICA DE COLOMBIA, December.
    6. Sergio Clavijo, 2000. "Reflexiones Sobre Política Monetaria e "Inflación Objetivo" en Colombia," Borradores de Economia 141, Banco de la Republica de Colombia.

  3. Rodrigo Suescún, 1992. "Inflación y devaluación como un fenómeno fiscal," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 11(22), pages 7-50, December.

    Cited by:

    1. Juan Carlos Echeverry, 1996. "The rise and Perpetuation of a Moderate Inflation, Colombia 1970-1991," Borradores de Economia 050, Banco de la Republica de Colombia.
    2. Carlos Humberto Cardona & Adriana Pontón & Eduardo Sarmiento, 1998. "Evidencia sobre las Desinflaciones: Experiencia Internacional," Borradores de Economia 102, Banco de la Republica de Colombia.
    3. Parada, Jairo & Albor, Cristina, 2011. "La Financiación del Déficit del Gobierno Central: Sus Costos Económicos y la Independencia Del Banco Central en Colombia desde 1991
      [National Government Deficit Financing:Economic Costs and Central
      ," MPRA Paper 52985, University Library of Munich, Germany, revised 06 Oct 2011.
    4. Alberto Carrasquilla, 1996. "Dimensiones Fiscales De Una Inflación Moderada: El Caso Colombiano," BORRADORES DE ECONOMIA 002357, BANCO DE LA REPÚBLICA.
    5. Carrasquilla, Alberto, 1996. "Dimensiones fiscales de una inflación moderada: el caso colombiano," Sede de la CEPAL en Santiago (Estudios e Investigaciones) 34264, Naciones Unidas Comisión Económica para América Latina y el Caribe (CEPAL).
    6. Alberto Carrasquilla, 1996. "Dimensiones Fiscales de una Inflación Moderada: El Caso Colombiano," Borradores de Economia 055, Banco de la Republica de Colombia.

  4. Suescun Melo Rodrigo, 1987. "Nueva Evidencia Sobre Economias De Escala En La Banca Colombiana," ENSAYOS SOBRE POLÍTICA ECONÓMICA, BANCO DE LA REPÚBLICA - ESPE, vol. 6(12), pages 5-22, December.

    Cited by:

    1. Camilo Zea, 1999. "Financial Inefficiency And Real Business Cycle In Colombia," BORRADORES DE ECONOMIA 002722, BANCO DE LA REPÚBLICA.
    2. Ana María Olaya Pardo & Manuel Ramírez Gómez, 2004. "Aversión al riesgo y eficiencia de escala en los bancos: Incluyendo variables de riesgo y regulación," BORRADORES DE INVESTIGACIÓN 004346, UNIVERSIDAD DEL ROSARIO.
    3. Rodrigo Suescún M. & Martha Misas, 1996. "Cambio Tecnológico, Ineficiencia de Escala e Ineficiencia X en la Banca Colombiana," Borradores de Economia 059, Banco de la Republica de Colombia.
    4. Sandra Patricia Ospina, 1995. "Los Efectos de la Regulación en el Margen de Intermediación de las Tasas de Interés en Colombia," Borradores de Economia 028, Banco de la Republica de Colombia.
    5. Miguel SARMIENTOÕ & Andrés CEPEDA & Hernando MUTIS & Juan F. PÉREZ, 2013. "Nueva Evidencia sobre la Eficiencia de la Banca," ARCHIVOS DE ECONOMÍA 010705, DEPARTAMENTO NACIONAL DE PLANEACIÓN.
    6. Alejandro BADEL FLOREZ, 2002. "Sistema Bancario Colombiano: ¿Somos eficientes a nivel internacional?," ARCHIVOS DE ECONOMÍA 003500, DEPARTAMENTO NACIONAL DE PLANEACIÓN.

Books

  1. Guillermo Perry & Luis Servén & Rodrigo Suescún, 2008. "Fiscal Policy, Stabilization, and Growth : Prudence or Abstinence," World Bank Publications, The World Bank, number 6818.

    Cited by:

    1. Woo, Jaejoon, 2011. "Growth, income distribution, and fiscal policy volatility," Journal of Development Economics, Elsevier, vol. 96(2), pages 289-313, November.
    2. Guillermo Perry & Eduardo García, 2016. "The Influence of Multilateral Development Institutions on Latin American Development Strategies. Special Issue of International Development Policy on Latin America," DOCUMENTOS CEDE 014591, UNIVERSIDAD DE LOS ANDES-CEDE.
    3. Carlos Brambila-Paz, 2017. "Households, Families and Prospective Economic Mobility in Mexico," Journal of Family and Economic Issues, Springer, vol. 38(4), pages 582-595, December.
    4. Eric Leeper, 2010. "Anchors Away: How Fiscal Policy Can Undermine "Good" Monetary Policy," Working Papers Central Bank of Chile 580, Central Bank of Chile.
    5. Eric M. Leeper, 2011. "Anchors Aweigh: How Fiscal Policy Can Undermine “Good” Monetary Policy," Central Banking, Analysis, and Economic Policies Book Series,in: Luis Felipe Céspedes & Roberto Chang & Diego Saravia (ed.), Monetary Policy under Financial Turbulence, edition 1, volume 16, chapter 11, pages 411-453 Central Bank of Chile.

  2. Rogério L.F. Werneck & Timothy Irwin & Federico Sturzenegger & Guillermo Perry & Luis Servén & Ilian Mihov & Francesco Giavazzi & Olivier Blanchard & Carlos Hamilton Vasconcelos Araújo & Rodrigo Suesc, 2008. "Fiscal Policy, Stabilization, and Growth: Prudence or Abstinence?," IDB Publications (Books), Inter-American Development Bank, number 356 edited by Guillermo Perry & Rodrigo Suescún & Luis Servén, April.

    Cited by:

    1. Timothy C. Irwin, 2015. "Defining The Government'S Debt And Deficit," Journal of Economic Surveys, Wiley Blackwell, vol. 29(4), pages 711-732, September.
    2. Carlos Brambila-Paz, 2017. "Households, Families and Prospective Economic Mobility in Mexico," Journal of Family and Economic Issues, Springer, vol. 38(4), pages 582-595, December.
    3. Giovanni Andrea Cornia & Milica Uvalic, 2012. "Learning from the past: Which of the past/current development strategies are best suited to deal with the ‘quadruple crisis’?," Working Papers 116, United Nations, Department of Economics and Social Affairs.

More information

Research fields, statistics, top rankings, if available.

Statistics

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Co-authorship network on CollEc

NEP Fields

NEP is an announcement service for new working papers, with a weekly report in each of many fields. This author has had 7 papers announced in NEP. These are the fields, ordered by number of announcements, along with their dates. If the author is listed in the directory of specialists for this field, a link is also provided.
  1. NEP-MAC: Macroeconomics (5) 2003-04-02 2003-07-17 2005-12-14 2007-06-11 2017-10-01. Author is listed
  2. NEP-PBE: Public Economics (2) 2005-12-14 2007-06-11
  3. NEP-AFR: Africa (1) 2003-04-02
  4. NEP-CMP: Computational Economics (1) 2017-10-01
  5. NEP-DEV: Development (1) 2005-12-14
  6. NEP-DGE: Dynamic General Equilibrium (1) 2017-10-01
  7. NEP-LAM: Central & South America (1) 2017-10-01

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