Paula Margaretic

Paula Margaretic

Ph.D. In Business Administration
Profesor Hora
ESCUELA DE NEGOCIOS
ARGENTINA
Stgo

Paula Margaretic

Ph.D. In Business Administration

Paula Margaretic es Profesora Asistente de Finanzas de la Escuela de Negocios, UAI. Posee un doctorado en Business Administration, track Finance, de la Universidad Toulouse 1.

Su investigación académica se ha publicado en revistas de Economía y Finanzas (ver www.paulamargaretic.com), centrándose en temas de intermediación financiera, finanzas internacionales, finanzas de hogares y econometría espacial y financiera. Antes de unirse a nuestra Escuela de Negocios, la profesora Margaretic se desempeñó tanto en el sector público como privado: en la Universidad de San Andrés, Argentina; en el Banco Central de Chile; en Airbus, Francia; en el Banco Santander Argentina; en el Centro de Estudios Económicos de la Regulación, Argentina, entre otros.

Paula Margaretic is Assistant Professor of Finance at U. Adolfo Ibañez Business School. She holds a Ph.D. in Business Administration, track Finance, University of Toulouse 1, France. Paula Margaretic research has been published in Finance and Economics journals (see www.paulamargaretic.com). Her contributions focus mostly on topics related to financial intermediation, international finance, household finance, spatial and financial econometrics. Before joining our Business School, Professor Margaretic worked at the University of San Andres, Argentina; at the Central Bank of Chile; at Airbus, France; at Santander Bank, Argentina; at the Centre of Economic Studies on Regulation, Argentina, among others.

Informational economic transmission between countries</>

Bernales, A., Karnani, H. & Margaretic, P., oct. 2025, In: Review of Economic Dynamics, 58.

Business expectations and public policies amid exogenous shocks</>

Margaretic, P., Mingo, S. & Sotelo, A., sep. 2025, In: Global Finance Journal, 67.

Navigating trade uncertainty</>

Calani, M., Margaretic, P. & Moreno, D., ene. 2025, In: Journal of International Economics, 153.

Containment Measures and Business Confidence in COVID Times</>

Margaretic, P., Finchelstein, D. & Sotelo, A., abr. 2023, In: Management and Organization Review, 19, 2, p. 372-413.

Generalizing Impact Computations for the Autoregressive Spatial Interaction Model</>

Laurent, T., Margaretic, P. & Thomas-Agnan, C., 2023, In: Geographical Analysis, 55, 4, p. 728-758.

How Local is the Crime Effect on House Prices?</>

Margaretic, P. & Sosa, J., 2023, In: Journal of Real Estate Finance and Economics, 70, 4, p. 754-793.

Assessing the Quality of Self-Reported Financial Information</>

Madeira, C., Margaretic, P., Martínez, F. & Roje, P., nov. 2022, In: Journal of Survey Statistics and Methodology, 10, 5, p. 1183-1210.

The impact of financial literacy on the quality of self-reported financial information</>

Madeira, C. & Margaretic, P., jun. 2022, In: Journal of Behavioral and Experimental Finance, 34.

Neighbouring countries and bilateral remittances</>

Laurent, T., Margaretic, P. & Thomas-Agnan, C., 2022, In: Spatial Economic Analysis, 17, 4, p. 557-584.

Banks’ interconnections and peer effects</>

Margaretic, P., Cifuentes, R. & Carreño, J., dic. 2021, In: Research in International Business and Finance, 58.

Predictions in spatial econometric models</>

Laurent, T. & Margaretic, P., jun. 2021.

Measuring households' financial vulnerabilities from consumer debt</>

Cifuentes, R., Margaretic, P. & Saavedra, T., jun. 2020, In: Emerging Markets Review, 43.

Economical assessment of commercial high-speed transport</>

Margaretic, P. & Steelant, J., dic. 2018, In: CEAS Aeronautical Journal, 9, 4, p. 747-764.

Sovereign bond spreads and extra-financial performance</>

Margaretic, P. & Pouget, S., nov. 2018, In: International Review of Economics and Finance, 58, p. 340-355.

Spatial dependence in (origin-destination) air passenger flows</>

Margaretic, P., Thomas-Agnan, C. & Doucet, R., jun. 2017, In: Papers in Regional Science, 96, 2, p. 357-380.

Correlated bank runs, interbank markets and reserve requirements</>

Cañón, C. & Margaretic, P., dic. 2014, In: Journal of Banking and Finance, 49, p. 515-533.