Claudio Raddatz
- Profesor Titular
Ph.D. in Economics, Massachusetts Institute of Technology, Estados Unidos
Magíster en Ciencias de la Ingeniería, Universidad de Chile, Chile
Ingeniero Civil Industrial, Universidad de Chile, Chile
Formación Académica
Profesor Titular, Departamento de Administración, Facultad de Economía y Negocios de la Universidad de Chile.
Sus áreas de Especilización son: Estabilidad Financiera, Finanzas Internacionales, Finanzas y Macroeconomía, Banca, Intermediación Financiera, Mercados de Capitales, Finanzas Corporativas, Regulación Financiera.
Biografía
Publicaciones en Revistas con Comité Editorial
● 2024
/
The good, the bad, and the not-so-ugly of credit booms?: capital allocation and financial constraints
/ JOURNAL OF BANKING & FINANCE -
● 2022
/
The riskiness of credit allocation and financial stability
/ JOURNAL OF FINANCIAL INTERMEDIATION - Vol. 51
● 2017
/
International Asset Allocations and Capital Flows: The Benchmark Effect
/ JOURNAL OF INTERNATIONAL ECONOMICS - Vol. 108
● 2016
/
Comparative advantage, international trade, and fertility
/ JOURNAL OF DEVELOPMENT ECONOMICS - Vol. 119
● 2016
/
Liquidity Constraints, Competition, and Markup Cyclicality
/ FINANCIAL MANAGEMENT - Vol. 45, No. 3
● 2015
/
Fiscal responses after catastrophes and the enabling role of financial developmen
/ WORLD BANK ECONOMIC REVIEW - Vol. 29, No. 1
● 2015
/
Institutional Investors and Long-Term Investment: Evidence from Chile
/ WORLD BANK ECONOMIC REVIEW - Vol. 29, No. 3
● 2013
/
Sudden Stops and Financial Frictions: Evidence from Industry Level Data
/ JOURNAL OF INTERNATIONAL MONEY AND FINANCE - Vol. 32, No. 1
● 2013
/
Deconstructing Herding: Evidence from Pension Fund Investment Behavior
/ Journal of Financial Services Research - Vol. 43, No. 1
● 2012
/
On the International Transmission of Shocks: Micro Evidence from Mutual Funds Portfolios
/ JOURNAL OF INTERNATIONAL ECONOMICS - Vol. 88, No. 2
● 2011
/
Multilateral Debt Relief Through the Eyes of Financial Markets
/ REVIEW OF ECONOMICS AND STATISTICS - Vol. 93, No. 4
Libros
● 2014
/
Capital Mobility and Monetary Policy
Capítulos de libros
● 2018
/
Regulatory Reform 10 Years after the Global Financial Crisis: Looking Back, Looking Forward
● 2018
/
The Impact of Benchmark Investing by Institutional Investors on International Capital Allocations
Academic/Professional meeting Proceedings
Research Monographs
● 2024
/
The Riskiness of Credit Origins and Downside Risks to Economic Activity
/ No. 24
● 2021
/
The Good, the Bad, and the not-so Ugly of Credit Booms: Capital Allocation and Financial Constraints
● 2019
/
The Riskiness of Credit Allocation and Financial Stability
/ No. 19
Columna de Opinión
● 2024
/
Implementación de Basilea III
● 2023
/
Endeudamiento de los hogares
● 2021
/
El riesgo que trae el cambio climático a sus inversiones
● 2021
/
El reflation trade y sus riesgos
Academic/Professional meeting Presentations
Competitive Research Awards Received
● 2022
/
Environmental, Social, and Corporate Governance: Causes and Consequences for Firms