IMF Publications by Author
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Raphael A Espinoza:
2023
Title: Financial Conditions in Europe: Dynamics, Drivers, and Macroeconomic Implications
Series: Working Paper No. 2023/209
Date: September 29, 2023
Subject: Asset prices Credit Financial cycles Financial sector policy and analysis Inflation Monetary policy Monetary tightening Money Prices
2022
Title: The State as Financier of Last Resort
Series: Staff Discussion Notes No. 2022/003
Date: October 13, 2022
Subject: Economic sectors Financial crises Financial institutions Financial sector policy and analysis Health Money Public financial management (PFM)
Title: Effective Fiscal-Monetary Interactions in Severe Recessions
Series: Working Paper No. 2022/170
Date: September 2, 2022
2021
Title: The Fiscal Multiplier of European Structural Investment Funds: Aggregate and Sectoral Effects with an Application to Slovenia
Series: Working Paper No. 2021/118
Date: April 30, 2021
Subject: Economic sectors Employment Expenditure Labor Manufacturing National accounts Private investment Public employment Public investment spending
2020
Title: The Fiscal Multiplier of Public Investment: The Role of Corporate Balance Sheet
Series: Working Paper No. 2020/199
Date: September 25, 2020
Subject: Corporate investment Expenditure Financial statements National accounts Private investment Public financial management (PFM) Public investment and public-private partnerships (PPP) Public investment spending
Title: Systemic Risk Modeling: How Theory Can Meet Statistics
Series: Working Paper No. 2020/054
Date: March 13, 2020
Subject: Banking Consumer loans Interbank markets Loans Systemic risk
2018
Title: Economic Gains From Gender Inclusion: New Mechanisms, New Evidence
Series: Staff Discussion Notes No. 2018/006
Date: October 8, 2018
Subject: Employment Gender Gender diversity Gender inequality Labor Women
Title: Macroprudential Stress Tests: A Reduced-Form Approach to Quantifying Systemic Risk Losses
Series: Working Paper No. 2018/049
Date: March 9, 2018
Subject: Asset and liability management Asset valuation Banking Countercyclical capital buffers Financial contagion Financial regulation and supervision Financial sector policy and analysis Stress testing Systemic risk
2017
Title: FX Intervention in the New Keynesian Model
Series: Working Paper No. 2017/207
Date: September 29, 2017
Subject: Consumption Exchange rates Foreign exchange Inflation National accounts Prices Return on investment
2016
Title: Unconventional Policy Instruments in the New Keynesian Model
Series: Working Paper No. 2016/058
Date: March 10, 2016
Subject: Banking Financial frictions Inflation Neoclassical theory Output gap