ISC Paris ISC Paris

Présentation

Dr. Ilyes Abid est Professeur en finance à l’ISC Paris Business School, qu’il a rejoint en 2015. Il est titulaire d’un Doctorat en Sciences Économiques de l’Université Paris Ouest Nanterre La Défense (France). Il est également diplômé du DEA en Finance et Assurance de l’Université de Cergy-Pontoise, dont il a été major de promotion. Avec vingt ans d’expérience dans l’enseignement supérieur et la recherche en finance, Dr. Abid a été enseignant-chercheur à l’EM Normandie Business School, après avoir occupé les fonctions de post-doctorant, chercheur associé, ATER et moniteur à l’Université Paris Ouest Nanterre La Défense. Au cours de ces années, il a également publié plusieurs articles classés dans des revues scientifiques internationales à comité de lecture.

Dr. Ilyes Abid is a Professor of Finance at ISC Paris Business School, which he joined in 2015. He holds a Ph.D. in Economics from the University of Paris Ouest Nanterre La Défense (France) and a DEA (postgraduate diploma) in Finance and Insurance from the University of Cergy-Pontoise, where he graduated top of his class. With twenty years of experience in higher education and research in finance, Dr. Abid has served as a researcher and lecturer at EM Normandie Business School. Prior to that, he held positions as a postdoctoral fellow, associate researcher, temporary teaching and research assistant (ATER), and teaching assistant at the University of Paris Ouest Nanterre La Défense. Throughout his career, he has published several articles in international peer-reviewed scientific journals.

Diplômes

Doctorat en Sciences Économiques

Domaines d'enseignement/ Teaching

  • Financial Markets and Corporate Finance
  • Asset Valuation
  • Portfolio Management and Financial Risk Management Options and Other Derivatives
  • Financial Analysis
  • Econometrics
  • Statistics
  • Data Mining
  • Statistical Learning Applied to Finance.

Domaines de recherche/ Research

  • Quantitative Finance
  • Statistical Learning Applied to Finance
  • International Capital Markets
  • Portfolio Management and Risk Management.

Dernières publications/ Latest publications

  • Abid, I., BenMabrouk, H., Guesmi, K., & Mansour, A. (2025). The clout of happiness and uncertainty in the environmental transition: Insights from CO2 and clean energy dynamic spillovers. Research in International Business and Finance, 74, 102699. https://doi.org/10.1016/j.ribaf.2024.102699
  • Abid, I., Benkraiem, R., Mzoughi, H., & Urom, C. (2024). From black gold to financial fallout: Analyzing extreme risk spillovers in oil-exporting nations. Journal of International Financial Markets, Institutions and Money, 91, 101948. https://doi.org/10.1016/j.intfin.2024.101948
  • Bouazizi, T., Abid, I., Guesmi, K., & Makrychoriti, P. (2024). Evolving energies: Analyzing stability amidst recent challenges in the natural gas market. International Review of Financial Analysis, 95, 103346. https://doi.org/10.1016/j.irfa.2024.103346
  • BenMabrouk, H., Sassi, S., Soltane, F., & Abid, I. (2024). Connectedness and portfolio hedging between NFTs segments, American stocks and cryptocurrencies Nexus. International Review of Financial Analysis, 91, 102959. https://doi.org/10.1016/j.irfa.2023.102959
  • Mrad, F., Hamdi, H., Naoui, K., & Abid, I. (2023). The GMWB guarantee embedded in Life Insurance Contracts: Fair Value Pricing Problem. Finance Research Letters, 51, 103327. https://doi.org/10.1016/j.frl.2022.103327