Staff Economist
Finanical Analysis Division
Macro-financial Analysis and Monetary Policy Department
DG Economics, Statistics and Research
Información de contacto
- Calle Alcalá, 48, 28014 Madrid
- https://www.rbarahona.com/
- Curriculum Vitae (119 KB)
Campos de interés
Asset Pricing, Mutual Funds, Behavioral Finance
Códigos JEL
G11, G12, G23, G41
Publicaciones
Do Teams Alleviate or Exacerbate Behavioral Biases? Evidence from Extrapolation Bias in Mutual Funds
Ricardo Barahona with S. Cassella and K. Jansen
Can unpredictable risk exposure be priced?
Ricardo Barahona with J. Driessen and R. Frehen Journal of Financial Economics, 139(2), pgs. 522-544, 2021
Why Can’t Investors Pick the Right Index Fund?
Ricardo Barahona