Cabrera-Rodríguez, Wilmar Alexander
Below are the contents available on the site related to the query.
- Publicación |The international environment was characterized by lower interest rates in the U.S.
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Inflation indicators surpassed expectations, staying above the targets set by most central banks.
- Publicación |The international environment remained characterized by high uncertainty, although with signs of economic resilience.Global financial markets began the second quarter of 2025 (2Q25) amid trade tensions driven by new policy announcements by the United States.
- Publicación |Global growth expectations were revised downward, particularly for the US and its major trading partners, due to a deterioration in the external environment and increasing trade tensions.The adjustment in projections for developed economies reflects the uncertainty generated from trade policy…
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Global economy proved resilient during the period analyzed, although with some differences among major economies.
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Global inflationary pressures remain high, although they continued to exhibit a downward trend in most countries, mainly due to lower supply pressures.
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The global economy proved resilient during the period analyzed, although signs of a slowdown emerged towards the end of the quarter.
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Inflation indicators remain above the target of most central banks despite continuing to show a decline in most countries.
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Despite significant declines in 2023, inflation indicators remain above the target of most central banks.
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Global inflationary pressures remain high, although showing a downward trend, while economic activity demonstrated greater resilience than expected.
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Banco de la República (the Central Bank of Colombia - Banrep) generates information for decision-making, accountability, and public dissemination purposes. In particular, the Financial Markets Report is framed within the principle of public disclosure and contributes to fulfill the Bank's…
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The dynamics of the main markets in which the financial system participates (e.g., credit, deposits, and fund management, among others) are closely linked to the behavior of the household sector, given its preponderant role in each of them. Considering the above and the high growth in credit for…
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This report analyzes the credit risk exposure and performance of credit institutions as of March 2022. With the recovery of economic activity, portfolio quality indicators continued to improve. The loan portfolio also grew at an accelerated rate. The Financial Stability Report for the first half…
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This report analyzes the level of concentration in the credit and deposit markets, given the importance of this aspect in credit and liquidity risks. Likewise, it presents an additional analysis to determine the degree of competition among financial intermediaries in the credit market.
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This Special Report analyzes the performance of the real estate market and housing credit in Colombia and identifies potential sources of risk in the expected economic recovery scenario. To this end, it studies the dynamics of supply, demand, and price indicators. The results suggest that the…
























