Expertise liée aux objectifs de développement durable des Nations unies :
Teaching
Advanced corporate finance
Bond portfolio management
Entrepreneurial finance
Financial markets and portfolio management
Financial diagnosis
Financial management for HR
Financial management
Financial analysis
Mathematical finance
Management accounting
Financing policies
Qualifications
PhD in management sciences “Finance”, University of Rennes 1, IGR-IAE of Rennes (2015)
Master degree “Advanced studies and research in finance”, University of Rennes 1, IGR-IAE of Rennes (2009)
Bachelor degree in economics, banking and finance department, Tichrin University, Lattakia, Syria (2006)
Research interests
Portfolio management
Portfolio insurance
Performane and risk measurement
Behavioural finance
Options
Work experience
Academic
Head of the Academic Area Finance & Accounting at Rennes School of Business (April 2022 – Present)
Assistant professor, Rennes School of Business, Finance & Accounting Academic Area (September, 2016 – Present)
Assistant lecturer and researcher (ATER), University of Rennes 1, IGR-IAE of Rennes (2014 – August, 2016)
Intellectual contributions
Refereed Articles – Basic or Discovery Scholarship
Z. Umar, S. Aziz and D. Tawil, 2021, The impact of COVID-19 induced panicon the return and volatility of precious metals., Journal of Behavioral and Experimental Finance. Volume 31, September 2021, 100525
Dowling, M., Hammami, H., Tawil, D., Zreik, O., 2021, Structuring energy economics research for impact, Energy Journal, The , Vol. 42, May 2021, No. 3., pp 29-52
Gao, S., Bagnarosa, G., Dowling, M. Matkovskyy, R. & Tawil, D., 2021, Price transmission in European fish markets, Applied Economics, https://doi.org/10.1080/00036846.2021.1985075
Tawil, D., 2018, Risk-Adjusted Performance of Portfolio Insurance and Investors’ Preferences, Finance Research Letters, Vol. 24, (2018), pp. 10–18
Dima TAWIL, 2017, Risk adjusted performance of portfolio insurance and investors’ preferences, Finance research letters
Tawil, D., 2020, Are prospect portfolio insurance investors being oversold risk?, ICAF 2020: 22nd International Conference on Accounting and Finance, London, United Kingdom, March, 12-13, 2020
Tawil, D., 2019, Are prospect portfolio insurance investors being oversold risk?, 13th RSEP International Conference on Business, Economics & Finance, Istanbul, Turkey, June 2019
Dima TAWIL, 2017, Risk adjusted performance of portfolio insurance and investors’ preferences, The 34th Spring International Conference of the French Finance Association. Valence. France
Tawil, D., 2014, Risk-return analysis of portfolio insurance strategies, 31st international conference of the French finance association (AFFI). Aix en Provence, France
Tawil, D., 2012, Comprehensive comparison of portfolio insurance strategies under different market conditions., 9th International conference of the French finance association (AFFI). Strasbourg, France