"Unexploited Gains from International Diversification."

Didier, Tatiana, Roberto Rigobon and Sergio Schmukler. Review of Economics and Statistics Vol. 95, No. 5 (2013): 1562-1583.

"International Macro-Finance."

Pavlova, Anna and Roberto Rigobon. In Handbook of Safeguarding Global Financial Stability, edited by Gerard Caprio, 169-176. New York, NY: Academic Press, 2012.

"Do Credit Rating Agencies Add Value? Evidence from the Sovereign Rating Business Institutions."

Cavallo, Eduardo Alfredo, Andrew Powell and Roberto Rigobon. International Journal of Finance and Economics Vol. 18, No. 3 (2012): 240-265.

"In Search of the Black Swan: Analysis of the Statistical Evidence of Electoral Fraud in Venezuela."

Hausmann, Ricardo and Roberto Rigobon. Statistical Science Vol. 26, No. 4 (2011): 543–563.

"Stocks, Bonds, Money Markets and Exchange Rates: Measuring International Financial Transmission."

Ehrmann, Michael, Marcel Fratzscher and Roberto Rigobon. Journal of Applied Econometrics Vol. 26, No. 6 (2011): 948-974.

"Principal Components as a Measure of Systemic Risk."

Kritzman, Mark, Yuanzhen Li, Sebastien Page and Roberto Rigobon. The Journal of Portfolio Management Vol. 37, No. 4 (2011): 112-126.

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