Details about Sandra Valentina Lizarazo
Access statistics for papers by Sandra Valentina Lizarazo.
Last updated 2024-03-08. Update your information in the RePEc Author Service.
Short-id: pli441
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Working Papers
2022
- The State as Financier of Last Resort
IMF Staff Discussion Notes, International Monetary Fund
2020
- Monetary Policy Surprises and Inflation Expectation Dispersion
IMF Working Papers, International Monetary Fund View citations (1)
- Predicting Macroeconomic and Macrofinancial Stress in Low-Income Countries
IMF Working Papers, International Monetary Fund
2017
- Macro-Structural Policies and Income Inequality in Low-Income Developing Countries
IMF Staff Discussion Notes, International Monetary Fund View citations (4)
- Macroeconomic and Distributional Effects of Personal Income Tax Reforms: A Heterogenous Agent Model Approach for the U.S
IMF Working Papers, International Monetary Fund View citations (7)
- Sovereign Risk Contagion
NBER Working Papers, National Bureau of Economic Research, Inc View citations (13)
Also in Staff Report, Federal Reserve Bank of Minneapolis (2017) View citations (5)
2014
- Sovereign Default and Government’s Bailouts
2014 Meeting Papers, Society for Economic Dynamics
2011
- Optimal monetary policy and default
MPRA Paper, University Library of Munich, Germany
2010
- Contagion of Financial Crises in Sovereign Debt Markets
MPRA Paper, University Library of Munich, Germany View citations (19)
Also in Working Papers, Centro de Investigacion Economica, ITAM (2009) View citations (9)
- Default Risk and Risk Averse International Investors
MPRA Paper, University Library of Munich, Germany View citations (40)
Also in Working Papers, Centro de Investigacion Economica, ITAM (2009) View citations (5)
See also Journal Article Default risk and risk averse international investors, Journal of International Economics, Elsevier (2013) View citations (91) (2013)
2009
- Money, Credit and Default
Working Papers, Centro de Investigacion Economica, ITAM View citations (12)
Journal Articles
2015
- Intertwined sovereign and bank solvencies in a simple model of self-fulfilling crisis
International Review of Economics & Finance, 2015, 39, (C), 428-448 View citations (1)
2013
- Default risk and risk averse international investors
Journal of International Economics, 2013, 89, (2), 317-330 View citations (91)
See also Working Paper Default Risk and Risk Averse International Investors, MPRA Paper (2010) View citations (40) (2010)
Chapters
2024
- The future of fiscal policy
Chapter 14 in Fiscal Policy in a Turbulent Era, 2024, pp 210-224
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