Dr. Anis Samet holds a Ph.D. from HEC-Montreal-Canada and he is certified Financial Risk Manager (FRM) and certified Bloomberg Professional. He is currently an Associate Professor of Finance at the American University of Sharjah (AACSB accredited), UAE.
Read MoreBefore joining AUS, Anis Samet taught at Abu Dhabi University and worked as risk management advisor with one of the largest institutional investors in Canada. Dr. Anis Samet has published in leading financial journals, such as the Journal of Banking and Finance, Journal of Financial Stability, Emerging Markets Review, Journal of Financial Research, International Review of Financial Analysis, and Journal of Business Research. His research interests include international finance, banking, liquidity, corporate finance, corporate governance, financial risk management, financial markets, Islamic finance and financial econometrics. He offered several training in Finance and Risk Management to several institutions including the UAE Central Bank, UAE Securities and Commodities Authority (SCA), Dubai Financial Market (DFM), Abu Dhabi Securities Exchange (ADX), Nasdaq-Dubai, Sharjah Asset Management (SAM), and Sharjah Finance Ministry.
Publications
as Co-author/Contributor
- Working papers Bank Capital and the Cost of Equity - 12/10/2020
- Working papers The Impact of COVID-19 on Emerging Markets - 24/07/2020