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In this paper, the structure of Colombia’s financial sector is analyzed and various risks of the financial sector are …
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This paper discusses an arrangement under the Flexible Credit Line (FCL) for Colombia. Colombia is well placed to confront challenges posed by the ongoing global downturn. Access under an FCL arrangement of SDR 6.966 billion, which the authorities intend to treat as precautionary, would support...
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This report focuses on Colombia’s economic policy framework and the policy response to the global crisis. In recent years, Colombia’s policies strengthened a strong macroeconomic performance, which helped in achieving higher tax revenues and restraint on current spending. Colombia...
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The causes of the global financial crisis were multi-faceted but revealed still unresolved weaknesses in national and international financial oversight and resolution frameworks. In particular, many governments in the crisis-hit countries had to provide unprecedented levels of support to contain...
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) risks as they impact the soundness and stability of the financial system or interfere with the transmission channels of … monetary policy and price stability as well as raising sustainability financing issues. Focusing on climate-related risks … within the broader theme of ESG risks, this book analyzes the evolving overall regulatory framework, the climate risk …
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