Francisco Barillas joined the Goizueta Business School faculty in 2010 after receiving a PhD from New York University. He holds an MSc in Economics from the University of British Columbia in Vancouver, Canada and has worked as an Economist at the Bank of Canada. His current research focuses on portfolio choice, quantifies the impact of belief heterogeneity in asset markets and investigates the impact of macroeconomic fundamentals on the term structure of interest rates.
Ph.D.New York University2010
M.A.University of British Columbia2002