Membres

Enseignants-Chercheurs

Dorra MEZZEZ HMAIED

PROFESSEUR EN SCIENCES DE GESTION – FINANCE
dorra.hmaied@ihec.ucar.tn
Client 0000-0002-9756-7462
Dorra MEZZEZ HMAIED est Professeur de Finance à l’IHEC de Carthage – Université de Carthage. Elle a occupé le poste de Directeur de Département de Finance et Responsable du Master de Recherche en Finance dans la même institution. Elle est aussi enseignante à l’IFID depuis 2011.
Elle est titulaire d’un doctorat en Finance de l’Université Paris Dauphine. Elle a publié dans plusieurs revues internationales : Review of quantitative Finance and Accounting ; Managerial Finance ; Research in International Business and Finance ; Journal of Asset Management, …  Ses travaux de recherche portent principalement sur les Fusions & Acquisitions, la Microstructure des Marchés Financiers, l’Evaluation d’actifs et récemment l’inclusion financière. 
Elle est membre du réseau de recherche international EMNES depuis 2015. 
Publications Scientifiques
Benouda O., Grar A. & Mezzez Hmaied D. (2006)

    Intraday and Interday Patterns of -Bid-Ask Spread, Trading volume and Volatility on the Tunisian Stock Exchange, Banques et marchés, n° 84, 35-44.  

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Mezzez Hmaied D., Grar A. & Benouda O., (2006)

    Dynamics of Market Liquidity of Tunisian Stocks: An Analysis of Market Resiliency, Electronic markets, Vol.16(2), 140-153.

  • [CNRS cat.3/ ABDC rank A]
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Mezzez Hmaied D. (2008)

    The volatility volume relation around takeover announcements: a French evidence, New Development in Financial Modelling, Chapter 12, Cambridge Scholars Publishing, 290-313.

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Hafsa H. & Mezzez Hmaied D. (2011)

    Are Downside Higher Order Co-Moments Priced? : Evidence From The French Market, The International Journal of Business and Finance Research, 6(1), 65-82.

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Mbarek L. & Mezzez Hmaied D. (2011)

    Deposit Insurance and Bank Risk shifting, Journal of Money, Investment and Banking, Vol. 20, 41-53.

  • [ABDC rank C]
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Mbarek L. & Mezzez Hmaied D. (2012)

    Bank informational opacity: Evidence from the Tunisian stock market, Journal of Financial Regulation and Compliance, Vol.20(3), 278-292.

  • [ABDC rank C]
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Mbarek L. & Mezzez Hmaied D. (2012)

    Stock Market Assessment of Bank Risk: Evidence from the Maghreb Region, Review of Middle East Economics and Finance, Vol. 8(1).

  • [ABDC rank C]
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Karaa R., Slim S. and Mezzez Hmaied D., (2013)

    Trading Intensity and Informed trading in the Tunisian Stock Exchange, Emerging Markets and the Global Economy: A Handbook, Chap 9, Academic Press.

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Ben Khelifa S. & Mezzez Hmaied D. (2014)

    European Hedge Funds Industry: An Overview, The Journal of Private Equity, 18 (1) 46-59.

  • [ABDC rank C]
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Ben Khelifa S. & Mezzez Hmaied D. (2016)

    Do European Hedge Fund managers time market liquidity?, Journal of Asset Management, Vol.17(6), 393–407.

  • [CNRS cat.4/ ABDC rank B]
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Karaa R., S. Slim & Hmaied Mezzez D. (2018)
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Sabkha S., De Peretti C. & Mezzez Hmaied D. (2019)

    The credit default swap market contagion during recent crises: international evidence, Review of Quantitative Finance and Accounting, Vol. 53(1), 1-46.

  • [CNRS cat.3/ ABDC rank B/Q1]
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Sabkha S., De Peretti C. & Mezzez Hmaied D. (2019)
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Sabkha S., De Peretti C. & Mezzez Hmaied D. (2019)

    On the Informational Market Efficiency of the Worldwide Sovereign Credit Default Swaps, Journal of Asset Management, Vol. 20 (7), 581-608.

  • [CNRS cat.4/ ABDC rank B/Q2]
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Sabkha S., De Peretti C. & Mezzez Hmaied D. (2019)

    Nonlinearities in the oil effects on the sovereign credit risk: A Self-Exciting Threshold Autoregression approach, Research in International Business and Finance, Vol. 50, 106-133.

  • [CNRS cat.4/ ABDC rank B/Q1]
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Zaghouani Chakroun A. & Mezzez Hmaied D. (2019)
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Zaghouani Chakroun A. & Mezzez Hmaied D. (2019)

    Detecting Profitability and Investment Risk Premiums in the French Stock Market, Essays in Financial Economics, Research in Finance, Vol. 35, 71-104.

  • [ABDC rank C/ Q4]
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Ben Khelifa, S., Hmaied, D., Ben Ouda, O., Ayadi, R. and Makni, R. (2022)
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Ben Yahia N., Chalwati A., Hmaied D., Khizer A. M., Trabelsi S.(2023) 

    "Do foreign institutions avoid investing in poorly CSR-performing firms? Journal of Banking and Finance, Vol 157, 107029.

  • [Q1, impact factor 3,7]
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Working Papers
Ayadi R. & Pieter de Groen W., Hassouba T. & Zaki C., Alshyab N. & Sandri S., Elabbassi I., Ragbi A. & Tounsi S., Ben Khelifa S., Benouda Sioud O., Makni R. & Mezzez Hmaied D.

FINANCIAL DEVELOPMENT AND INCLUSION IN EGYPT, JORDAN, MOROCCO AND TUNISIA

Ayadi R., Mezzez Hmaied D., Makni R., Benouda Sioud O. & Ben Khelifa S.

FINANCIAL INCLUSION: A NEW MULTI-DIMENSIONAL INDEX AND DETERMINANTS – EVIDENCE FROM THE UNION FOR THE MEDITERRANEAN COUNTRIES