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
- Performance 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
Risk-Adjusted Performance of Portfolio Insurance and Investors’ Preferences
Auteurs : Tawil, D. Publié dans : Finance Research Letters, Vol. 24, (2018), pp. 10–18 Date : 2018
Risk adjusted performance of portfolio insurance and investors’ preferences
Auteurs : Dima TAWIL Publié dans : Finance research letters Date : 2017
Refereed Proceedings - Discipline-Based Scholarship
The impact of COVID-19 induced panicon the return and volatility of precious metals.
Auteurs : Z. Umar, S. Aziz and D. Tawil Publié dans : Journal of Behavioral and Experimental Finance. Volume 31, September 2021, 100525 Date : 2021
Structuring energy economics research for impact
Auteurs : Dowling, M., Hammami, H., Tawil, D., Zreik, O. Publié dans : Energy Journal, The , Vol. 42, May 2021, No. 3., pp 29-52 Date : 2021
Price transmission in European fish markets
Auteurs : Gao, S., Bagnarosa, G., Dowling, M. Matkovskyy, R. & Tawil, D. Publié dans : Applied Economics, https://doi.org/10.1080/00036846.2021.1985075 Date : 2021
Are prospect portfolio insurance investors being oversold risk?
Auteurs : Tawil, D. Publié dans : ICAF 2020: 22nd International Conference on Accounting and Finance, London, United Kingdom, March, 12-13, 2020 Date : 2020
Are prospect portfolio insurance investors being oversold risk?
Auteurs : Tawil, D. Publié dans : 13th RSEP International Conference on Business, Economics & Finance, Istanbul, Turkey, June 2019 Date : 2019
Risk adjusted performance of portfolio insurance and investors’ preferences
Auteurs : Dima TAWIL Publié dans : The 34th Spring International Conference of the French Finance Association. Valence. France Date : 2017
Risk-return analysis of portfolio insurance strategies
Auteurs : Tawil, D. Publié dans : 31st international conference of the French finance association (AFFI). Aix en Provence, France Date : 2014
Comprehensive comparison of portfolio insurance strategies under different market conditions.
Auteurs : Tawil, D. Publié dans : 9th International conference of the French finance association (AFFI). Strasbourg, France Date : 2012