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Tano Santos 3022 Broadway, Uris Hall Room 815 Graduate School of Business Columbia University New York, NY 10027-6902 Tel: 212-854-0489 Email: js1786@columbia.edu Updated: October 2016 Education 1996 Ph. D. in Economics, Department of Economics, University of Chicago, Chicago, IL. 1990 BS Economic and Business Sciences, Facultad de CC. Económicas y Empresariales, Universidad Complutense de Madrid, Madrid, Spain. Academic Positions 2011 co-director (with Bruce Greenwald) Heilbrunn Center for Graham & Dodd Investing 2011 (August) Present: David L. and Elsie M. Dodd Professor of Finance, Graduate School of Business, Columbia University. 2008 (December) 2011: Franklin Pitcher Johnson, Jr. Professor of Finance and Economics, Graduate School of Business, Columbia University. 2007 (July) present: Full Professor of Finance and Economics, Graduate School of Business, Columbia University. 2006-2007 Associate Professor of Finance and Economics with tenure, Graduate School of Business, Columbia University. 2003-2006 Associate Professor of Finance and Economics, Graduate School of Business, Columbia University. o Class of 1967 Associate Professor in Business 2006-present Research Associate, National Bureau of Economic Research (NBER). 2000-2001 Visiting Associate Professor, Graduate School of Business, Columbia University. 2000-present Faculty Research Fellow, National Bureau of Economic Research (NBER). 2001-2003 Associate Professor of Finance, Graduate School of Business, University of Chicago. 1996-2001 Assistant Professor of Finance, Graduate School of Business, University of Chicago. 1995 Lecturer, Department of Economics, College of Social Sciences, University of Chicago.

Awards, Fellowships, and Distinctions Received 2005 Lang Center fellowship in the area of entrepreneurship for The Market for Ideas (with M. Rhodes-Kropf). 2004 Class of 1967 Associate Professor of Business, Graduate School of Business, Columbia University. 2000 - Fame Research Prize for Prospect Theory and Asset Prizes (with N. Barberis and M. Huang). 1997-1998 Dimensional Fund Advisors Scholar. 1995-1996 Sloan Foundation Fellow. 1993-1995 Bank of Spain Fellow. 1991-1993 La Caixa Fellow. Other activities 2011-Present Financial Advisory Rountable, Federal Reserve Bank of New York. Fundación de Estudios de Economía Aplicada: Cátedra Abertis (Fedea, Madrid, Spain.) Published Papers Prospect Theory and Asset Prices (with N. Barberis and M. Huang) Quarterly Journal of Economics, February 2001, vol. 116 (1), pp. 1-53. Winner of the 2000 FAME Research Prize. Reprinted in Advances in Behavioral Finance II, Richard Thaler ed. Russell Sage Foundation Princeton University Press: New York, 2004. Financial Intermediation without Exclusivity (with J. A. Scheinkman) American Economic Review Papers and Proc., June 2001, 91 (2), pp. 436-439. Competition among Exchanges (with J. A. Scheinkman) Quarterly Journal of Economics, August 2001, 116 (3), pp. 1027-1061. A Theory of Markets, Institutions, and Endogenous Preferences (with I. Palacios-Huerta) Journal of Public Economics, 2004, 88, pp. 601-627. Understanding Predictability (with L. Menzly and P. Veronesi) Journal of Political Economy, February 2004, 112 (1), pp. 1-47. Reprinted in Financial Markets and the Real Economy, John Cochrane ed., in the series International Library of Critical Writings in Financial Economics, Richard Roll, ed. Edward Elgar. Referrals (with L. Garicano) American Economic Review, June 2004, 94 (3), pp. 499-525. Labor Income and Predictable Stock Returns (with P. Veronesi) Review of Financial Studies, 2006, 19 (1), pp. 1-44.

Adaptive Organizations (with W. Dessein) Journal of Political Economy, October 2006, vol. 114 (5), pp. 956-995. Market and Public Liquidity (with Patrick Bolton and Jose Scheinkman) American Economic Review Papers and Proc., May 2009, 594-599. Habit Persistence and the Cross Section of Stock Returns, (with Pietro Veronesi), Journal of Financial Economics November 2010, vol. 98 (2), pp. 385-413. Outside and Inside Liquidity, (with Patrick Bolton and Jose Scheinkman), Quarterly Journal of Economics, February, 2011, 126(1): 323-371. Shadow Finance, (with Patrick Bolton and Jose Scheinkman), 2012, in Rethinking Finance: Perspectives on the Crisis, A. Blinder, A. Lo, and R. Solow, eds. Political Credit Cycles: The Case of the Eurozone, (with Jesús Fdez-Villaverde and Luis Garicano) Journal of Economic Perspectives, vol. 27, no. 3, Summer, pp. 145-166 Antes del Diluvio: The Spanish banking system in the first decade of the euro (forthcoming) in Après le Déluge: Finance and the Common Good After the Crisis. University of Chicago Press. Credit Booms: Implications for the Private and the Public Sector, BIS Working Paper, no. 481, January, 2015 13 th BIS Annual Conference. Cream Skimming in Financial markets (with P. Bolton and J. Scheinkman), Journal of Finance, April 2016, vol. 71 no. 2, pp. 709-736. o Awarded the Jaime Fernández de Araoz Corporate Finance Award in the 2011 edition. Rational Inattention and Organizational Focus, (with W. Dessein and A. Galeotti) American Economic Review, June 2016, vol. 106 no. 6. Breaking down the Sovereign-Bank Diabolic Loop: A Case for ESBies, (with M. Brunnermeier, L. Garicano, Ph. Lane, M. Pagano, R. Reis, D. Thesmar, S. van Nieuwerburgh and D. Vayanos) American Economic Review, Papers and Proceedings, May 2016, vol. 106, no. 5 Published Discussions Discussion of Credit Risk Transfer and Contagion: A Comment (by Franklin Allen and Elena Carletti.) Carnegie-Rochester Conference, Journal of Monetary Economics, vol. 53 no. 1, January. Discussion of Liquidity, Moral Hazard, and Interbank Market Collapse (by E. Kharroubi & E. Vidon), International Journal of Central Banking, December 2009, pp. 87-94.

Working Papers Managerial Style and Attention (with Wouter Dessein) January 2016; under review at the Review of Economic Studies. Savings gluts and financial fragility, (with Patrick Bolton and Jose Scheinkman). July 2016, under review at the American Economic Review. Habits and Leverage (with Pietro Veronesi), July 2016. Conditional Betas (with Pietro Veronesi), March 2004. Financial Innovations with Endogenous Risk March 2001. Contractible Signals and Security Design (with K. Ohashi), January 2000. In spanish Nada es Gratis: Cómo evitar la década perdida después de la década prodigiosa, Ediciones Destino, Barcelona, 2011, a collaborative book on the Spanish Crisis book by a group of six Spanish economists under the name Jorge Juan. Sample of articles in the press: o El Balance de la Reserva Federal, Expansión, 16 de Diciembre de 2009. o Tarde, mal y nunca: Una oportunidad perdida, El Mundo 6 de Mayo, 2010. o Recuperar la Credibilidad, (con Jesús Fdez-Villaverde y Luis Garicano,) El País, 7 de Febrero de 2010. o España, en el ojo del huracán, El País, 16 de Mayo de 2010. o España, desde fuera, El País, 27 de Mayo de 2010. o Una Postal Económica desde EE.UU., ABC, 26 de Septiembre de 2010. o Una España de dos Velocidades, La Vanguardia, 24 de Octubre de 2010. o La Bancarrota Necesaria (con Jesús Fdez-Villaverde y Luis Garicano,) El País, 28 de Noviembre de 2010. o Tras el banco Base, volver a Empezar (con Luis Garicano), El País, 3 de Abril 2011. o La Caja que no Cesa, El País, 3 de Julio de 2011. o Préstamos Conjuntos sin unión fiscal (con Luis Garicano), El País, 27 de Septiembre de 2011. o Making Europe Safer Wall Street Journal Europe, (with the Euronomics Group) 09/27/2011 o La Lenta Destrucción de la Eurozona. El País, 12/04/2011 o Balón de oxigeno (con Luis Garicano). El País, 12/31/2011 o Prisioneros del Populismo del Pasado, (con Jesús Fdez-Villaverde y Luis Garicano,) El Mundo, 4/10/2012 o Los Costes de Romper el Euro: No nos fijemos en Argentina, (con Jesús Fdez-Villaverde y Luis Garicano,) Expansión, 5/29/2012 o España en su laberinto, Expansión, 5/30/2012 o No queremos volver a la España de los 50, (con Jesús Fdez-Villaverde y Luis Garicano,) El País, 6/1/2012

o El préstamo europeo para la recapitalización de la banca española, ABC, 6/10/2012 o La Cumbre y la Madeja de la Eurozona, La Vanguardia, 7/08/2012. o España frente al BCE, El País, 7/28/2012. o La España Atrapada, El País, 10/25/2012. o Unión Bancaria: La Perspectiva Europea El País, 06/28/2013 Outside Activities Winter and Spring of 2009, consulting for Miura Global on macro and finance developments during the crisis. 2010-present member of the Federal Reserve Bank of New York Financial Advisory Rountable, a body entrusted with providing advice to the president of the FRBNY in matters related to financial regulation (unpaid). 2009-2014 member of Fundación de Estudios de Economia Aplicada (FEDEA) an independent foundation devoted to matters related to economic policy in Spain (unpaid). Holder of the Cátedra Abertis. Paid speaking engagements and courses: July 2011, Cajastur and Cursos de Verano de la UPV organized by the Federación de Cajas Vasco Navarras. Spring 2012. European Central Bank. Wealth management course, Finaccess, Mexico DF, November 2013.