Rafael Felipe Schiozer

ORCID:

https://orcid.org/0000-0003-3890-6345


Formação:
  • University of Pennsylvania

    | Pós-Doutorado | 2013 - 2014
  • University of Ilinóis at Urbana-Champaign

    | Pós-Doutorado | 2009 - 2009
  • University of Washington

    Doutorado-sanduíche em Finanças | Doutorado | 2005 - 2005
  • Fundação Getulio Vargas - SP

    Administração de Empresas | Doutorado | 2003 - 2006
  • Universidade Estadual de Campinas

    Engenharia de Petróleo | Mestrado | 2000 - 2002
  • Universidade de São Paulo

    Bacharelado Em Administração de Empresas | Graduação | 1996 - 1999
Laboratórios:
Nenhum laboratório cadastrado
Nuvens de Palavras:
Artigos:

(47.37% artigos com DOI)

Titulo DOI Ano
THE DETERMINANTS OF DEBT RENEGOTIATION: EVIDENCE FROM BRAZIL 10.1016/j.qref.2024.04.002 2024
Collateral and the democratization of Rural Credit in Brazil: access, loan terms, and default 10.1590/S0034-7590202303 2023
The Information Content from Lending Relationships Across the Supply Chain 10.1016/j.jfi.2023.101057 2023
The signaling role of covenants and the speed of capital structure adjustment under poor creditor rights: Evidence from domestically and cross-listed firms in Brazil 10.1016/j.mulfin.2021.100704 2022
Ownership concentration and the presence of covenants in debt contracts of Brazilian firms 10.15728/bbr.2022.19.4.2.en 2022
Disclosure of Related Party Transactions Under IFRS: Does Cross-Listing Reduce the Legal Origin Disclosure Gap? 10.1142/s1094406022500184 2022
A tutorial on the use of differences-in-differences in management, finance and accounting 10.1590/1982-7849rac2021200067 2021
Redução de risco no crédito com duplicatas 10.12660/rbfin.v19n2.2021.81983 2021
ADOÇÃO OBRIGATÓRIA DE IFRS, GOVERNANÇA CORPORATIVA E VALOR DA FIRMA 10.1590/s0034-759020200405 2020
Achatando a curva da inadimplência 10.12660/gvexec.v19n3.2020.81727 2020
Risco ambiental no setor financeiro: do discurso à prática 2020
Bank risk, bank bailouts and sovereign capacity during a financial crisis: a cross-country analysis 10.21314/JCR.2018.246 2018
Risk, financial stability and banking 10.1016/j.jfs.2018.08.007 2018
Trade credit and product market power during a financial crisis 10.1016/j.jcorpfin.2018.01.009 2018
Crédito com garantia 2017
Contingentes Conversíveis e seus Impactos na Otimização da Estrutura de Capital de Bancos Brasileiros sob Basiléia III 10.1590/1808-057x201501350 2016
Asymmetric transmission of a bank liquidity shock 10.1016/j.jfs.2015.11.005 2016
Determinants of Supply and Demand for Trade Credit by Micro, Small and Medium-Sized Enterprises 10.1590/1808-057x201500940 2015
Capital bancário e crédito no Brasil 2015
Bank Dividends and Signaling to Information-Sensitive Depositors 10.1016/j.jbankfin.2015.02.011 2015
Depositors' Perception of 'Too-Big-to-Fail' 10.1093/rof/rft057 2015
Garantias Governamentais e Competitividade no Setor Financeiro 2015
Cessão de Crédito e Restrição de Capital: um Estudo com Bancos Brasileiros 2014
Atuação de Bancos Estrangeiros no Brasil: Mercados de Crédito e Derivativos de 2005 a 2011 2014
Hedge e Especulação com Derivativos Cambiais: Evidências de Operações Cotidianas 2013
Exposição a risco e captação em fundos de investimento: os cotistas monitoram a alocação de ativos? 2013
Gestão de Capital de Giro: um Estudo Comparativo entre Práticas de Empresas Brasileiras e Britânicas 2012
Financial health and customer satisfaction in private health care providers in Brazil 2011
A Oferta do Trade Credit em Empresas Brasileiras de Capital Aberto 2011
Obituary: Saul Suslick 2010
Why do banks go Public? Evidence from the wave of Brazilian Bank IPOs 2010
Determinants of Currency Risk Management in Latin American non financial firms 2009
A Recente Onda de Abertura de Capital de Bancos Brasileiros 2009
Por que o hedge parcial é ótimo? 2008
How to Select the Best Portfolio of Oil and Gas Projects 2008
The Pitfalls of Capital Budgeting when Costs Correlate to Oil Price 2008
Uso derivativos em empresas não-financeiras listadas em bolsa no Brasil 2007
Impactos Econômicos do regime aduaneiro especial do petróleo (REPETRO) nas atividades de E&P no Brasil 2002
Eventos:

(0.00% eventos com DOI)

Titulo DOI Ano
Bank Loan Forbearance: Evidence from a million restructured loans 2020
Bank Loan Forbearance: evidence from a million restructured loans 2020
Bank Relationship and Firms' cost of hedging 2020
Bank Relationship and Firms' cost of hedging 2020
Bank loan forbearance: evidence from a million restructured loans 2019
Bank Relationship and Firms' Cost of Hedging 2019
bank relationship and firms' cost of hedging 2019
Disclosure under IFRS: Does Cross-listing Eliminate Legal Origin Differences? 2019
Trade Credit and Product Market Power during a Financial Crisis 2017
Bank risk-taking, sovereign capacity and bank bailouts in crisis periods: a cross-country analysis 2017
Bank risk-taking, sovereign capacity and bank bailouts in crisis periods: a cross-country analysis 2017
Bailout Policies, Bank Competition and Banking Risk in Crisis Periods 2016
Bailout Policies, Bank Competition and Banking Risk in Crisis Periods 2016
Asymmetric transmission of a liquidity shock 2015
Bank Dividends and Signaling to Information-Sensitive Depositors 2014
Bank Dividends and Signaling to Information-Sensitive Depositors 2014
Asymmetric transmission of a liquidity shock 2014
Capital bancário e crédito: um estudo empírico no mercado brasileiro de 2003 a 2012 2014
Asymmetric transmission of a liquidity shock 2014
bank Dividends and Signaling to Information-Sensitive Depositors 2013
The International Transmission of Liquidity Shocks: A Croos Country Study on Trade Credit and Financial Crisis 2013
Informed Depositors and Bank Dividends 2012
Financial Crisis and Cross Border Too Big To Fail Perception 2012
Are Bank Dividends a signal to informed depositors? 2012
Cessão de crédito nos bancos brasileiros: um estudo sob a ótica da restrição de capital 2012
Reação dos Investidores ao Risco de Crédito das Carteiras dos Fundos: Evidências da Crise 2012
Financial Crisis and Cross Border Too Big To Fail Perception 2012
Informed Depositors and Bank Dividend 2012
Do Brazilian Banks use Dividends for Signaling? 2011
Práticas da gestão de capital de giro em micro e pequenas empresas brasileiras: uma comparação com a evidência internacional 2011
Financial Crisis and Cross-Border Too Big to Fail Perception 2011
Too Big To Fail Perception by Depositors: an Empirical Investigation 2010
Gestão de risco ou especulação? Evidências de operações reais de operações de derivativos cambiais no Brasil 2010
Too Big To Fail Perception by Depositors: an Empirical Investigation 2010
A RECENTE ONDA DE ABERTURA DE CAPITAL DE BANCOS NO BRASIL 2009
The expectations of oil companies on future oil prices: an empirical analysis of reserves trading 2009
Financial Performance and Customer Satisfaction of the Private Health Insurers in Brazil 2008
An Empirical Analysis Of Oil Prices And Reserves Acquisition 2008
Financial Performance of the Private Health Insurers in Brazil 2008
Situação Financeira e Satisfação do Consumidor das Operadoras de Saúde Suplementar no Brasil 2007
The flaws of Capital Budgeting when Costs Correlate to Oil Prices 2007
How do Oil Companies Assess Future Oil Prices: An Empirical Investigation of Reserves Trading 2007
Currency risk management in Latin American non financial firms 2006
Derivatives usage in Latin American non-financial firms 2006
Why do Latin American Firms Manage Currency Risks 2006
How do oil company managers assess future oil prices? 2006
How do Managers Assess Future Oil Prices? 2006
The efficient frontier of oil projects portfolio as a tool for decision-making 2006
Why do Latin American Firms Manage Currency Risks? 2006
Why do Latin American Firms Manage Currency Risks 2006
Currency Risk Management in Latin American non-Financial firms 2006
Determinantes da Gestão de risco em empresas de capital aberto no Brasil 2005
Determinants of Risk Management in Brazilian non-financial firms 2005
Derivatives Usage and risk management by non-financial firms: A comparison between Brazilian and International Evidence 2004
Uso de derivativos em empresas não-financeiras: uma comparação entre evidências brasileiras e internacionais 2004
A Model of Royalty Relief for Mature Fields in Brazil In: 2003 AAPG International Conference & Exhibition in Barcelona, 2003, Barcelona. 2003
Modeling of Royalty relief for Mature fields 2001
Impactos Econômicos do Regime aduaneiro Especial (REPETRO) para a Indústria do Petróleo 2001
A Model of Royalty Relief for mature Fields in Brazil 2001
Publicações:
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