IMF Publications by Author
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Carlos Caceres:
2020
Title: Stress Testing U.S. Leveraged Corporates in a COVID-19 World
Series: Working Paper No. 2020/238
Date: November 13, 2020
Subject: Corporate sector Currencies Economic sectors Financial institutions Financial sector policy and analysis Loans Money Stocks Stress testing
2019
Title: Trade Wars and Trade Deals: Estimated Effects using a Multi-Sector Model
Series: Working Paper No. 2019/143
Date: July 3, 2019
Subject: Exports Imports International trade Tariffs Taxes Trade barriers Trade tensions
Title: Analyzing the Effects of Financial and Housing Wealth on Consumption using Micro Data
Series: Working Paper No. 2019/115
Date: May 24, 2019
Subject: Consumption Household consumption Housing Housing prices Income National accounts Prices
2017
Title: Financial Integration in Latin America:A New Strategy for a New Normal
Series: Books
Date: April 10, 2017
Subject: Banking Economic integration Expenditure Financial institutions Financial integration Financial markets Insurance Insurance companies Pension spending Regional integration
2016
Title: U.S. Monetary Policy Normalization and Global Interest Rates
Series: Working Paper No. 16/195
Date: September 29, 2016
Subject: Asset prices Central bank autonomy Interest rates Monetary policy Spillovers United States
Title: Global Financial Conditions and Monetary Policy Autonomy
Series: Working Paper No. 16/108
Date: June 8, 2016
Subject: Central bank policy rate Exchange rate arrangements Exchange rate flexibility Financial sector policy and analysis Financial services Floating exchange rates Foreign exchange Spillovers
Title: Understanding Corporate Vulnerabilities in Latin America
Series: Working Paper No. 16/80
Date: April 7, 2016
Subject: Canada Commodity prices Corporate sector Cross country analysis Latin America Regional shocks Risk premium
Title: Bank Solvency and Funding Cost
Series: Working Paper No. 16/64
Date: March 15, 2016
Subject: Banking Capital adequacy requirements Econometric analysis Estimation techniques Financial regulation and supervision Financial sector policy and analysis Financial statements Public financial management (PFM) Solvency
2013
Title: The Day After Tomorrow : Designing an Optimal Fiscal Strategy for Libya
Series: Working Paper No. 13/79
Date: March 27, 2013
2012
Title: Measures of Fiscal Risk in Hydrocarbon-Exporting Countries
Series: Working Paper No. 12/260
Date: October 30, 2012
Subject: Commodity price fluctuations Fiscal policy Fiscal risk Hydrocarbons Oil exporting countries Oil prices
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