Search Results - "De Moraes, Claudio Oliveira"
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Does transparency of central banks communication affect credit market? Empirical evidence for advanced and emerging markets
Published in The North American journal of economics and finance (01-07-2020)“…This study examines the effect of the transparency of central banks communication on credit market. In particular, this study investigates how central banks’…”
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El spread de las tasas de interés en Colombia para el período 2010-2020
Published in Lecturas de economía (01-07-2022)“…El SPREAD mide los costos de intermediación del sistema financiero y afecta el crecimiento económico. Este artículo busca evaluar los determinantes del SPREAD…”
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What do we know about the relationship between banks’ risk measures and social-environmental sustainability transparency?
Published in Borsa Istanbul Review (01-05-2023)“…Concerns regarding social and environmental issues have become a pervasive aspect of economic relationships, prompting banks' role in social-environmental…”
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The Effect of Central Bank Communication on the Capital Buffer of Banks: Evidence from an Emerging Economy
Published in Econometric research in finance : ERFIN (03-09-2018)“…The global financial crisis has revealed that the coordination between monetary policy and financial stability should be part of economic policy. This study…”
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Who needs cash? Digital finance and income inequality
Published in The Quarterly review of economics and finance (01-10-2023)“…This article analyzes the role of access to digital and physical forms of finance on income inequality. The article develops a new measure of financial access…”
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Bank’s risk measures and monetary policy: Evidence from a large emerging economy
Published in The North American journal of economics and finance (01-07-2019)“…Based on data collected from Brazilian banks, this study aims to understand how monetary policy affects bank’s risk measures that can be used as…”
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Impacts of the sovereign risk perception on financial stability: Evidence from Brazil
Published in The Quarterly review of economics and finance (01-08-2021)“…•Credit Rating Agencies (CRAs) assess the ratings of a country’s sovereign bonds.•We investigate whether CRAs sovereign credit news affects Brazil’s financial…”
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How does capital regulation react to monetary policy? New evidence on the risk-taking channel
Published in Economic modelling (01-08-2016)“…Before the subprime crisis, financial stability was a microprudential issue addressed by capital regulation and unrelated to monetary policy. The financial…”
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The Macroeconomic Impact on Bank's Portfolio Credit Risk: The Colombian Case
Published in Emerging markets finance & trade (02-01-2023)“…This paper explores the determinants of credit risk for the Colombian economy, a small emerging economy in Latin American. Using a sample of 28 large banks…”
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What is the effect of banking concentration and competition on financial development? An international assessment
Published in Journal of economic studies (Bradford) (12-08-2021)“…PurposeThis paper analyzes the effect of the banking market (concentration and competition) on financial development.Design/methodology/approachIn order to…”
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Central bank disclosure as a macroprudential tool for financial stability
Published in Economic systems (01-12-2018)“…•Disclosure of information (transparency) is essential to financial stability.•We build two indices based on central bank communication on credit…”
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The bridge between macro and micro banking regulation: A framework from the model of financial flows
Published in Journal of economic studies (Bradford) (01-01-2017)Get full text
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Financial intermediation analysis from financial flows
Published in Journal of economic studies (Bradford) (02-08-2019)“…Purpose The purpose of this paper is to analyze the financial friction effect of non-performing loans (NPLs) on financial intermediation (FI) through empirical…”
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The bridge between macro and micro banking regulation
Published in Journal of economic studies (Bradford) (08-05-2017)“…Purpose The purpose of this paper is to discuss more efficient mechanisms of regulation in the financial system. Design/methodology/approach The authors…”
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The Aggregate Behavior of Banks: A Proposal for Prudential Supervision
Published in Latin American business review (Binghamton, N.Y.) (03-04-2015)“…This study seeks to investigate a macroeconomic approach that could help bank regulators and supervisors perform their task of ensuring financial stability. To…”
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What do we know about the relationship between banks and income inequality? Empirical evidence for emerging and low-income countries
Published in Journal of economics and business (01-01-2023)“…The objective of this article is to examine whether the banking sector contributes to reducing income inequality and poverty. We assess the effect of banks on…”
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Efectos de los anuncios de política monetaria sobre la volatilidad de la tasa de cambio: un análisis para Colombia, 2008-2015
Published in Lecturas de economía (2017)“…Resumen Este artículo busca evidencia sobre los efectos de la comunicación de los bancos centrales. Para ello, se evalúa la capacidad de los mercados…”
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Credit behavior and financial stability in an emerging economy
Published in Economic systems (01-06-2023)“…One relevant issue for the management of financial stability is the monitoring of the credit market. In this sense, Basel III proposed the credit gap as the…”
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Banking sustainability in a large emerging economy: Focus on Brazilian banks
Published in Journal of economics and business (01-11-2024)“…This study investigates the exposure of Brazilian banks to sectors with a higher sensitivity to climate-related risks. For this purpose, by aligning the novel…”
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Americanas, um Caso de Comunicação Corporativa
Published in Revista FSA (01-08-2023)Get full text
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