Rafael F. Schiozer

Fundação Getulio Vargas/EAESP

Assistant Professor of Finance

Sao Paulo

Brazil

http://www.fgvsp.br

SCHOLARLY PAPERS

10

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CITATIONS
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15

Scholarly Papers (10)

1.

Derivatives Usage and Risk Management by Non Financial Firms: A Comparison between Brazilian and International Evidence

Number of pages: 20 Posted: 22 Mar 2005
Richard Saito and Rafael F. Schiozer
Getulio Vargas Foundation (FGV) - Accounting, Finance & Control and Fundação Getulio Vargas/EAESP
Downloads 915 (24,461)

Abstract:

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derivatives usage, risk management

2.

Why Do Latin American Firms Manage Currency Risks?

Emerging Markets Finance and Trade, Vol. 45, No. 1, 2009
Number of pages: 36 Posted: 19 Sep 2006 Last Revised: 07 Feb 2014
Rafael F. Schiozer and Richard Saito
Fundação Getulio Vargas/EAESP and Getulio Vargas Foundation (FGV) - Accounting, Finance & Control
Downloads 325 (91,713)
Citation 1

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risk management, derivatives, foreign exchange, Latin America

3.

The Expectations of Oil Companies on Future Oil Prices: An Empirical Analysis of Reserves Trading

Number of pages: 29 Posted: 07 Nov 2006
Rafael F. Schiozer, Gabriel A. Costa Lima and Saul B. Suslick
Fundação Getulio Vargas/EAESP, CEPETRO/UNICAMP and CEPETRO/UNICAMP
Downloads 246 (123,401)
Citation 1

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valuation, oil price forecasting, petroleum reserves

4.

Depositors' Perception of 'Too-Big-To-Fail'

Review of Finance (2014) doi: 10.1093/rof/rft057
Number of pages: 60 Posted: 22 Mar 2011 Last Revised: 28 Jan 2014
Central Bank of Brazil, Fundação Getulio Vargas/EAESP and University of Sao Paulo
Downloads 200 (150,776)
Citation 8

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financial crisis, too big to fail, deposit insurance, bank run, bailout

5.

Why do Banks Go Public? Evidence from the 2005-2007 Wave of Brazilian IPOs

Number of pages: 24 Posted: 30 Dec 2009 Last Revised: 16 Sep 2011
Rafael F. Schiozer, Raquel F. Oliveira and Richard Saito
Fundação Getulio Vargas/EAESP, Central Bank of Brazil and Getulio Vargas Foundation (FGV) - Accounting, Finance & Control
Downloads 174 (171,220)
Citation 1

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initial public offering, banks, post-IPO performance, Brazil

6.

Bank Dividends and Signaling to Information-Sensitive Depositors

Midwest Finance Association 2013 Annual Meeting Paper
Number of pages: 46 Posted: 02 Sep 2012 Last Revised: 21 Jan 2013
Cristiano A. B. Forti and Rafael F. Schiozer
Universidade Federal de Uberlândia and Fundação Getulio Vargas/EAESP
Downloads 111 (245,072)

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payout policy, dividends, banks, signaling

7.

Informed Depositors and Bank Dividends

Midwest Finance Association 2012 Annual Meetings Paper
Number of pages: 41 Posted: 17 Sep 2011
Cristiano A. B. Forti and Rafael F. Schiozer
Universidade Federal de Uberlândia and Fundação Getulio Vargas/EAESP
Downloads 100 (263,458)
Citation 1

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payout policy, dividends, Brazilian banks, signaling

8.

Trade Credit During Financial Crisis: Do Market Power and Financial Constraints Matter?

Number of pages: 26 Posted: 27 Jan 2016
Adalto Goncalves, Rafael F. Schiozer and Hsia Hua Sheng
Insper Instituto de Ensino e Pesquisa, Fundação Getulio Vargas/EAESP and Getulio Vargas Foundation (FGV)
Downloads 70 (327,316)

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trade credit, market power, financial crisis

9.

Disclosure under IFRS: Does Cross-listing Eliminate Accounting Differences Arising from National Legal Origin?

Number of pages: 31 Posted: 24 Apr 2017 Last Revised: 17 May 2017
Edilene Santana Santos, Rafael F. Schiozer and Vera Ponte
Fundacao Getulio Vargas (EAESP), Fundação Getulio Vargas/EAESP and Universidade Federal do Ceará
Downloads 60 (354,485)

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ADRs, Mandatory Disclosure, Cross-Listing, Enforcement, Legal Origin, Code Law, IFRS

10.

Bank Risk, Bank Bailouts and Sovereign Capacity During a Financial Crisis: A Cross-Country Analysis

Journal of Credit Risk, 2018
Number of pages: 28 Posted: 28 Nov 2018
Rafael F. Schiozer, Frederico Mourad and Ramon Silva Vilarins
Fundação Getulio Vargas/EAESP, Government of the Federative Republic of Brazil - Central Bank of Brazil and Government of the Federative Republic of Brazil
Downloads 0 (666,167)
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Abstract:

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bank bailout, bank risk, bank competition, financial crisis, sovereign risk.