
Biografía
Profesor Titular, Departamento de Administración, Facultad de Economía y Negocios de la Universidad de Chile. Miembro titular del Consejo Técnico de Inversiones (CTI) del Banco Central.
Actualmente el profesor Raddatz realiza labores en:
- Director del programa de Magíster en Finanzas (Weekend) Departamento de Administración, Facultad de Economía y Negocios de la Universidad de Chile.
- Miembro del Comité Académico del Magíster en Finanzas, Departamento de Administración, Facultad de Economía y Negocios de la Universidad de Chile.
Campos de Investigación
Sus áreas de Especilización son: Estabilidad Financiera, Finanzas Internacionales, Finanzas y Macroeconomía, Banca, Intermediación Financiera, Mercados de Capitales, Finanzas Corporativas, Regulación Financiera.
Contacto
clraddatz@fen.uchile.cl
Publicaciones en Revistas con Comité Editorial
- 2025 / How do ESG firms invest? / International Review of Financial Analysis / - No. 103863
- 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
- 2017 / International Asset Allocations and Capital Flows: The Benchmark Effect / JOURNAL OF INTERNATIONAL ECONOMICS
- 2016 / Comparative advantage, international trade, and fertility / JOURNAL OF DEVELOPMENT ECONOMICS
- 2016 / Liquidity Constraints, Competition, and Markup Cyclicality / FINANCIAL MANAGEMENT / - No. 3
- 2015 / Fiscal responses after catastrophes and the enabling role of financial developmen / WORLD BANK ECONOMIC REVIEW / - No. 1
- 2015 / Institutional Investors and Long-Term Investment: Evidence from Chile / WORLD BANK ECONOMIC REVIEW / - No. 3
- 2013 / Sudden Stops and Financial Frictions: Evidence from Industry Level Data / JOURNAL OF INTERNATIONAL MONEY AND FINANCE / - No. 1
- 2013 / Deconstructing Herding: Evidence from Pension Fund Investment Behavior / Journal of Financial Services Research / - No. 1
- 2012 / On the International Transmission of Shocks: Micro Evidence from Mutual Funds Portfolios / JOURNAL OF INTERNATIONAL ECONOMICS / - No. 2
- 2011 / Multilateral Debt Relief Through the Eyes of Financial Markets / REVIEW OF ECONOMICS AND STATISTICS / - No. 4
Libros
- 2015 / Global Liquidity, Spillovers to Emerging Markets and Policy Responses
- 2014 / Capital Mobility and Monetary Policy
- 2014 / Macroeconomic and Financial Stability: Challenges for Monetary Policy
Capítulos de libros
- 2020 / Banking Sector: Low Rates, Low Profits?
- 2020 / Bank Capital: COVID-19 Challenges and Policy Responses
- 2019 / Banks' Dollar Funding: A Source of Financial Vulnerability
- 2018 / House Price Synchronization: What Role for Financial Factors?
- 2018 / The Riskiness of Credit Allocation: A Source of Financial Vulnerability?
- 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
- 2015 / Global Liquidity, Spillovers to Emerging Markets and Policy Responses: An Overview
Academic/Professional meeting Proceedings
Research Monographs
- 2024 / The Riskiness of Credit Origins and Downside Risks to Economic Activity / - No. 24/72
- 2021 / The Good, the Bad, and the not-so Ugly of Credit Booms: Capital Allocation and Financial Constraints
- 2021 / Does the Diversity and Solvency of Authorized Participants Matter for Bond ETF Arbitrage? Evidence from the Dash for Cash Episode
- 2020 / Global Banks’ Dollar Funding: A Source of Financial Vulnerability
- 2019 / The Riskiness of Credit Allocation and Financial Stability / - No. 19/207
- 2016 / Macroprudential Policies: General Analysis and a Look into the Chilean Experience / - No. 59
Columna de Opinión
- 2024 / Implementación de Basilea III
- 2023 / Endeudamiento de los hogares
- 2022 / ¿Por qué a la gente no le gusta la inflación?
- 2021 / Las consecuencias del proyecto de retiro de rentas vitalicias
- 2021 / El riesgo que trae el cambio climático a sus inversiones
- 2021 / El reflation trade y sus riesgos
Academic/Professional meeting Presentations
- 2023 / The Riskiness of Credit Origins Over the Cycle
- 2022 / Is dollar funding a source of global financial vulnerability?
Competitive Research Awards Received