Colombia: Financial System Stability Assessment

Publication Date:

February 22, 2013

Electronic Access:

Free Download. Use the free Adobe Acrobat Reader to view this PDF file

Summary:

In this paper, the structure of Colombia’s financial sector is analyzed and various risks of the financial sector are studied. Supervision of the financial system can be performed by supervisory architecture, banking supervision, various securities, and insurance policies. Systemic liquidity provision, deposit insurance, and bank resolution form the financial safety net. Finally, financial stability and macroprudential framework have been discussed. Macroprudential tools and policies are also explained in detail.

Series:

Country Report No. 2013/050

Subject:

English

Publication Date:

February 22, 2013

ISBN/ISSN:

9781475530919/1934-7685

Stock No:

1COLEA2013002

Pages:

87

Please address any questions about this title to publications@imf.org