Juan Carlos Gozzi https://sites.google.com/site/jcgozzivaldez/home Contact Information University of Warwick Department of Economics - Office S2.88 Coventry, CV4 7AL United Kingdom Telephone: +44 (0)2476 528194 E-mail: j.c.gozzi-valdez@warwick.ac.uk Professional University of Warwick - Department of Economics, Coventry UK Appointments Assistant professor Sept. 2013 - present Board of Governors of the Federal Reserve, Washington, DC USA Economist Division of International Finance Aug. 2011 - Aug. 2013 The World Bank, Washington, DC USA Consultant Development Economics Research Group Chief Economist Office - Latin America and the Caribbean Region Aug. 2003 - Aug. 2006 Centro de Estudios Publicos, Buenos Aires, Argentina Research economist Aug. 2002 - July 2003 McKinsey & Company, Buenos Aires, Argentina Business analyst June 2000 - July 2002 Research Interests International finance Banking and financial institutions Corporate finance Financial regulation Publications in Academic Journals Gozzi, J.C., Levine, R., Martinez-Peria, M.S., and Schmukler, S., 2015. “How Firms Use Corporate Bond Markets under Financial Globalization,” Journal of Banking & Finance 58, pp. 532-551. Gozzi, J.C., Levine, R., and Schmukler, S., 2010. “Patterns of International Capital Raisings,” Journal of International Economics 8:1, pp. 45-57. Gozzi, J.C., Levine, R., and Schmukler, S., 2008. “Internationalization and the Evolution of Corporate Valuation,” Journal of Financial Economics 88:3, pp. 607-632. de la Torre, A., Gozzi, J.C., and Schmukler, S., 2007. “Stock Market Development under Globalization: Whither the Gains from Reforms?” Journal of Banking & Finance 31-6, pp. 1731-1754. de la Torre, A., Gozzi, J.C., and Schmukler, S., 2007. “Financial Development: Emerging and Maturing Policy Issues,” World Bank Research Observer 22-1, pp. 67-102. Other Publications Gozzi, J.C. and Schmukler, S., 2015. “Public Credit Guarantees and Access to Finance,” European Economy: Banks, Regulation, and the Real Sector 2, pp. 101-117. Lead article. de la Torre, A., Gozzi, J.C., and Schmukler, S., 2015. “Innovative Experiences in Access to Finance: Market Friendly Roles for the Visible Hand?,” book under revision, The World Bank. de la Torre, A., Gozzi, J.C., and Schmukler, S., 2008. “Capital Market Development: Whither Latin America,” in Strengthening Global Financial Markets, M. Garcia and S. Edwards eds., National Bureau of Economic Research and University of Chicago Press, pp. 121-153. de la Torre, A., Gozzi, J.C., and Schmukler, S., 2007. “Financial Development in Latin America: Big Emerging Issues, Limited Policy Answers,” in Visiones del Desarrollo en America Latina, J.L. Machinea and N. Serra eds., UN-Economic Commission for Latin America and the Caribbean (ECLAC) and Fundacion CIDOB, pp. 433-490. 1 of 2 Juan Carlos Gozzi https://sites.google.com/site/jcgozzivaldez/home Working Papers “Liquidity Shocks, Local Banks, and Economic Activity: Evidence from the 2007-2009 Crisis,” joint with M. Goetz. “Financial Integration and the Co-Movement of Economic Activity: Evidence from U.S. States,” joint with M. Goetz. “What Do 30 Years of Crises Tell Us about the Transmission of Banking Shocks? Evidence from U.S. Banks’ Foreign Exposures,” joint with R. Correa, B. Goulding, and T. Rice. Research in Progress “SMEs vs. Large Firms: Who Suffered More During the Global Financial Crisis?” joint with M.S. Martinez-Peria. “Do State-Owned Banks Play a Stabilizing Role? Micro Evidence from the Global Financial Crisis,” joint with M.S. Martinez-Peria. “Female Political Leadership and Labor Market Outcomes: Evidence from Matched EmployerEmployee Data,” joint with F. Brollo and M. Gamaleiro. “Electoral Incentives and Patronage,” joint with F. Brollo and S. Giagliarducci. “Voter Turnout and Ideological Extremism: Evidence from U.S. Gubernatorial Primaries,” joint with F. Brollo and A. Hall. Education Brown University, Providence, RI USA Ph.D., Economics, May 2011 M.A., Economics, May 2007 Universidad del CEMA, Buenos Aires, Argentina Licentiate in Economics (with honors), December 2000 Teaching Experience University of Warwick Topics in Macroeconomics and International Economics (PhD., MRes.) (2015-2016) Topics in Global Finance (MSc.) (2014-2016) Macroeconomics I (undergraduate) (2016) Economics I (undergraduate) (2014) Brown University Financial Institutions (undergraduate), teaching assistant (2007-2009) Macroeconomics I (PhD), teaching assistant (2008) Universidad del CEMA Corporate Finance & Asset Valuation (undergraduate), teaching assistant (2002-2003) Conference Presentations and Invited Seminars Third Biannual Financial Intermediation Research Society Conference (2008); Brown University (2008, 2009, 2010); Federal Reserve Bank of Boston (2010, 2011); Arizona State University, W.P. Carey School of Business (2011); Board of Governors of the Federal Reserve (2011, 2013); Federal Reserve Bank of New York (2011); Federal Reserve Bank of Philadelphia (2011); Bank for International Settlements (BIS) - Center for Latin American Monetary Studies (CEMLA) Roundtable on the Future of International Banking: A Latin American and Caribbean Perspective (2012); University of Warwick (2013, 2014, 2015); University of Edinburgh (2014). Academic Service Director - MSc. in Economics and International Financial Economics - University of Warwick (2014present) Referee: Emerging Markets Finance and Trade; Journal of Applied Economics; Journal of Banking & Finance; Journal of Economic Growth; Journal of International Economics; Review of Financial Studies 2 of 2