
Paula Margaretic
- Ph.D. Business Administration, Finance track, University of Toulouse, Francia, 2012.
- Master in Financial Markets and Intermediaries (Quantitative Master), Toulouse School of Economics, Francia, 2007.
- Magister en Economía, Universidad Torcuato Di Tella, 2003.
- Licenciatura en Economía, Universidad de Buenos Aires, 2001.
Profesora Asistente, Departamento de Administración, Facultad de Economía y Negocios de la Universidad de Chile. Su investigación se centra en tres áreas generales de las finanzas: las finanzas internacionales, la banca y la economía financiera.
En particular, sus líneas de investigación se pueden agrupar en dos temáticas principales: los efectos de las fricciones financieras y los problemas de información, y los efectos de pares y spillovers. Previamente la Prof. Margaretic ha trabajado tanto en el ámbito público y privado, en las Universidades Adolfo Ibañez y San Andrés en Argentina, en el Banco Central de Chile, Airbus SAS, en el Banco Santander, en la Secretaria de Industria de Argentina, como consultora en el Banco Mundial, entre otros.
Fricciones financieras y los problemas de información, y los efectos de pares y spillovers.
Publicaciones en Revistas con Comité Editorial
- 2025 / Informational economic transmission between countries / REVIEW OF ECONOMIC DYNAMICS / - No. 101302
- 2025 / Business expectations and public policies amid exogenous shocks: The COVID-19 case in Latin America / Global Finance Journal / - No. 101125
- 2025 / Navigating trade uncertainty: The role of trade financing and the spillover effects / JOURNAL OF INTERNATIONAL ECONOMICS / - No. 104043
- 2023 / How Local is the Crime Effect on House Prices? / JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS
- 2023 / Containment Measures and Business Confidence in COVID Times: A Global Study / MANAGEMENT AND ORGANIZATION REVIEW / - No. 2
- 2023 / Generalizing Impact Computations for the Autoregressive Spatial Interaction Model / GEOGRAPHICAL ANALYSIS / - No. 4
- 2022 / Assessing the Quality of Self-Reported Financial Information / JOURNAL OF SURVEY STATISTICS AND METHODOLOGY / - No. 5
- 2022 / Neighbouring countries and bilateral remittances: a global study / SPATIAL ECONOMIC ANALYSIS / - No. 4
- 2022 / The impact of financial literacy on the quality of self-reported financial information / JOURNAL OF BEHAVIORAL AND EXPERIMENTAL FINANCE
- 2021 / Banks' interconnections and peer effects: Evidence from Chile / RESEARCH IN INTERNATIONAL BUSINESS AND FINANCE
- 2020 / Measuring households' financial vulnerabilities from consumer debt: Evidence from Chile / Emerging Markets Review
- 2018 / Sovereign Bond Spreads and Extra-Financial Performance: An Empirical Analysis of Emerging Markets / International Review of Economics & Finance
- 2018 / Economical assessment of commercial high-speed transport / CEAS Aeronautical Journal / - No. 4
- 2017 / Spatial dependence in (origin-destination) air passenger flows / PAPERS IN REGIONAL SCIENCE / - No. 2
- 2016 / Emerging Market Risk Premia Fluctuations: A micro founded decomposition / Finance / - No. 1
Capítulos de libros
Research Monographs
- 2016 / Sovereign Bond Spreads and Extra-Financial Performance: An Empirical Analysis of Emerging Markets / - No. 789
Competitive Research Awards Received
- 2024 / Climate Change and Neighboring Effects: Exploring their Impact on International Migration / - No. 1240312
- 2023 / How does the housing market react to the exchange rate fluctuations when real estate is invoiced in dollars? / - No. 1231910
- 2023 / Understanding Information Effects on Market Activity, and Market Activity Effects on Information / - No. 1231660
- 2022 / International migration, climate change and network effects: A worldwide study