Pagliacci, Carolina and Ruda, Mario (2004): ¿Tienen Efectos las Acciones de Política Monetaria? Un análisis de Intencionalidad.
Pagliacci, Carolina (2006): The Venezuelan Overnight Fund Market: Understanding a Credit Constraint Limit Order Market.
Nuñez, Belkys and Pagliacci, Carolina (2008): El Diseño de la Política Petrolera en Venezuela: un enfoque de economía política. Published in: Revista BCV , Vol. XXII, No. 2 (2008)
Barraez, Daniel and Pagliacci, Carolina (2009): A Markov-Switching Model of Inflation: Looking at the future during uncertain times. Published in: Analisis Economico , Vol. XXV, No. 59 (March 2010): pp. 25-46.
Scandizzo, Pasquale and Pagliacci, Carolina (2010): Foreign Reserve Management in an Oil Economy: Macroeconomic Risk as a Real Option.
Moreno, María Antonia and Pagliacci, Carolina (2010): Análisis de Riesgo Macro-financiero para Venezuela. Published in: Revista BCV , Vol. XIX, No. 2 (September 2013)
Carvallo, Oscar and Pagliacci, Carolina (2013): Macroeconomic Shocks, Housing Market and Banks’ Performance in Venezuela.
Pagliacci, Carolina (2014): Latin American Performance to External Shocks: What Has Really Been Sweat?
Pagliacci, Carolina and Peña, Jennifer (2016): Riesgos sistémicos en el mercado interbancario en Venezuela: 2004-2014. Published in: Semestre Económico , Vol. 20, No. 42 (23 January 2017): pp. 95-126.
Fernandez, Leon and Pagliacci, Carolina (2016): The markup and aggregate fluctuations in Venezuela. Testing distributional shocks.
Pagliacci, Carolina (2021): The supply and demand-side impacts of uncertainty shocks. Evidence on advanced and emerging economies.
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