About me

I am an Associate Professor in the Department of Econometrics and Statistics at the University of Barcelona and a member of the research group on Risk in Insurance and Finance (Riskcenter). I hold a Ph.D in Quantitative Finance (2007) from the University of Valencia. I was a visiting scholar at the Erasmus University of Rotterdam in 2006 and at Humboldt University in 2011. I am a Subject Editor for the Journal of Multinational Financial Management and regularly serve as reviewer for several journals. My research interests include applied econometrics, international finance and macro-finance. 

Profiles 

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Contact

Department of Econometrics and Statistics, Rikcenter-IREA

University of Barcelona

Av. Diagonal, 690

08034, Barcelona

hchulia@ub.edu