Faculté
Samir SAADI
Full Professor
Résumé du parcours
Samir SAADI, Ph.D. in Finance, Smith School of Business of Queen’s University in 2012, is a Full Professor in the Finance Department of the Paris School of Business.
He is a member of the Center of Research for Energy and Climate Change.
He teaches Principles of Corporate Finance and related topics in the International Program - Bachelor in Business and Administration.
His main research interests include behavioral finance, corporate governance, corporate social responsibility, fintech, IPOs, and mergers & acquisitions.
His research has been published in journals such as Financial Management, Journal of Corporate Finance, Journal of Banking and Finance, Journal of Financial Research, Contemporary Accounting Research, Journal of Business Ethics, Journal of International Financial Markets, Institutions and Money, Journal of Business Finance and Accounting, Quarterly Review of Economics and Finance, Journal of Management and Governance, International Journal of Managerial Finance, Review of Financial Economics, International Journal of Theoretical and Applied Finance, Journal of Multinational Financial Management, and Journal of Applied Finance.
His research has also been presented at numerous national and international finance conferences and published as Conference Proceedings.
Profil
Degree
- PhD, Business Administration, Finance (graduated in 2012)
Domaine de compétence
- International business
- Culture
- Economics
- Corporate social responsibility
- Finance
Expertises
Finance
Finance
Economics
Economics
Innovation
Innovation
Publications
Titre | Auteurs | Source | Date |
---|---|---|---|
Board centrality and environmental disclosures: Evidence from the polluting Industries in China | Samir SAADI, Wenqin Li, Ramzi Benkraiem, Rong Ding, Z. Zhang | Emerging Markets Review | 06/2024 |
Sustainable Energy Practices and Cryptocurrency Market Behavior | Samir SAADI, W. BEN OMRANE | Energy Economics | 01/2024 |
The Brown Side of Firm Flexibility | Samir SAADI, Syrine Sassi, Omrane Guedhami, Sadok El Ghoul | European Financial Management Journal | 01/2024 |
The impact of geopolitical risks on foreign exchange markets: Evidence from the Russia–Ukraine war | Samir SAADI, Ashrafee T. Hossain, Abdullah-Al Masum | Finance Research Letters | 01/2024 |
Generalist CEO and carbon emissions | Samir SAADI, Ashrafee Hossain, Abdullah-Al Masum, Ramzi Benkraiem | Journal of Economic Behavior & Organization | 09/2023 |
Cryptocurrency markets, macroeconomic news announcements and energy consumption | Samir SAADI, Waid Ben Omrane, Qianru Qi | Annals of Operations Research | 07/2023 |
Firm inflexibility and the implied cost of equity | Samir SAADI, Omrane Guedhami, Zhengwei Fu, Sadok El Ghoul | Finance Research Letters | 03/2023 |
Do data breach disclosure laws matter to shareholder risk? | Samir SAADI, Syrine SASSI, Khaled Elmawazini, Khiyar Abdalla Khiyar, Mohammed Ali | Finance Research Letters | 01/2023 |
Does CEO risk-aversion affect carbon emission? | Samir SAADI, Ashrafee Hossain, Abu S Amin | Journal of Business Ethics | 01/2023 |
Regulatory uncertainty and corporate social responsibility | Samir SAADI, Lamia Chourou, Darlene Himick | Finance Research Letters | 01/2023 |
Investor heterogeneity and negative skewness in stock returns: Evidence from institutional investors? | Stephane GOUTTE, Samir SAADI, Ramzi Benkraiem, Hui Zhu, Steven Zhu | Journal of International Financial Markets, Institutions and Money | 11/2022 |
Does media coverage affect credit rating change decisions? | Samir SAADI, HK Baker, S Dutta, L Zhong | Journal of Banking & Finance | 01/2022 |