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Raúl Gonzalez



Nationality:

Venezuelan


Doctoral Program:

2006 / 2007

Languages


English, Spanish: Native
French: Intermediate
German, Portuguese: Elementary


Research Interests


Financial Econometrics
Non-parametric estimation methods
Empirical Asset Pricing



E-mail


Raul.Gonzalez@sfi-phd.ch

Principal Address


Principal Address:
HEC Genève – UNIMAIL
Office 3233
40, Bd du Pont d’Arve
CH-1211 Genève 4
Switzerland

Personal Webpage


Education

2004 - 2006

M.A., Quantitative Economics & Finance, Univesity of St. Gallen, Switzerland

1993 - 1997

S.B., Mathematics, S.B., Philosophy, Massachusetts Institute of Technology, USA


Work Experience

1997 - 1999

Sr. Equity Analyst, ABN AMRO

1999 - 2003

Derivatives Trader/Structurer, Citigroup


Events

19.05.2016
Lunch and Learn @ SFI
Informationevent in Zurich


30.05.2016
Seminario SFI con il Prof. Fabrizio Zilibotti
Tema: La crescita economica cinese: passato, presente e futuro

01.06.2016
SFI Breakfast Seminar with Prof. Riccardo Rebonato
Topic: Portfolio and Risk Management Under Stress

01.06.2016
SFI Signing Ceremony – Master in Wealth Management
Topic: "Swiss Financial Center: Challenges and Opportunities"


09.06.2016
SFI Frühstück Seminar mit Roland Dörig
Topic: Energie Infrastruktur - eine interessante Alternative Anlageklasse


More events


Press releases

03.03.2016

Finanzexperten treffen sich im Kanton Schwyz
Der Swiss Asset Management Day findet am 7. April zum fünften Mal im Kanton Schwyz statt. Thema: Die neuen Herausforderungen in der Vermögensverwaltung.

19.01.2016
Asset Management Study Switzerland by zeb und SFI. Asset Management in Switzerland faces huge challenges.

12.11.2015
Swiss Finance Institute has attributed its Outstanding Paper Award to “The Impact of Treasury Supply on Financial Sector Lending and Stability”, a research paper by Arvind Krishnamurthy of Stanford University and Annette Vissing-Jorgensen of the University of California Berkeley that studies how government debt crowds out financial sector short-term debt.
Press Release


19.06.2015
Swiss Finance Institute publishes the first comprehensive Swiss study on structured products. The most recent SFI White Paper sheds light on the performance, costs, and investments of structured products.
English version, German version, French version, Italian version

More press releases...


SFI in the news


Paolo Vanini: «Diese Asset Manager werden erfolgreich sein»
Interview with Paolo Vanini on Change in Asset Management (09.03.2016)

EPFL: How Do ETFs Influence Financial Markets?
Articel referring to SFI Prof. Semyon Malamud's practitioner roundup. (04.03.2016)


L'Agefi: Comment la Chine pourrait éviter une crise financière
Article referring to the Evening Seminar with Prof. Darrell Duffie on China's Financial System

Schweizer Bank: Positive Asset Manager
Article referring to the most recent Asset Management Study Switzerland by zeb and SFI (19.02.2016)

FinanzNachrichten: Asset Management in der Schweiz vor großen Herausforderungen
Article referring to the most recent Asset Management Study Switzerland by zeb and SFI (18.02.2016)

FuW: Bewährungsprobe für Basel III
Article by SFI Adjunct Prof. Cocca on Basel III (17.02.2016)

Tribune de Genève: Le franc fort peut générer une hémorragie d'emplois
Article referring to the SFI Research Paper Series, No 15–65, by M. Efing, R. Fahlenbrach, Ch. Herpfer, and P. Krüger (13.02.2016)

Schweizer Jahrbuch für derivate Produkte: Die grösste Herausforderung waren die Daten
Article on SFI White Paper by Dietmar Maringer, Walter Pohl, and Paolo Vanini (03.02.2016)

More SFI in the news...

SFI in the press image
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