Faten BEN BOUHENI
Transcription
Faten BEN BOUHENI
Faten BEN BOUHENI Researcher EDUCATION • Ph.D, Finance: TELECOM Business School – France (2013) Dissertation: “The effects of regulation and supervision on the performance of European banks” • MA, Economics: IHEC - Tunisia (2011) • MA, Risk Management in Finance and Insurance: University of Cergy-Pontoise - France (2010) • BA, Finance and Accounting: ISCAE - Tunisia (2008) ACADEMIC EXPERIENCE • Since 2014: Professor, ISC Paris – France • Since 2014: Lecturer, European Business School EBS Paris France • Since 2013: Lecturer, University of Evry-Val-d’Essonne - France • Since 2013: Lecturer, TELECOM Business School Evry- France • 2014-2015: Lecturer, EDC Paris – France • 2014-2015: Lecturer, Novancia Paris – France • 2012- 2013: Assistant Professor, Ipag Business School Paris France • 2009 -2011: Assistant Professor, Mediterranean University of Tunis – Tunisia RESEARCH AREAS Financial Regulation and Supervision - Banking Governance Corporate Performance- Financial Markets PUBLICATIONS Published Articles • Ben Bouheni. F, Ben Ameur. H, Jawadi. F, Idi Cheffou. A, “Do Regulatory and Supervisory Reforms Affect European Bank Stability: Further Evidence from Panel Data”, Forthcoming, Bankers, Markets & Investors • Ben Bouheni. F, Margarint. E, “Evaluation de la performance du secteur bancaire moldave de 2000 à 2012 via l'approche CAMELS”, Forthcoming, La Revue des Sciences de Gestion • Ben Bouheni. F, Ammi. C., 2015, “Banking governance: what’s special about Islamic banks?”, Journal of Applied Business Research, Vol. 31, N° 4, July/August 2015 • Ben Bouheni. F., 2015, “Les effets des mécanismes de la gouvernance sur la performance des groupes bancaires français”, La Revue du FINANCIER, Vol. 37, N° 213, May/June 2015 • Ben Bouheni. F, Maraghni, H., 2015, “Bank Capital Ratio, Prudential Regulation and Liquidity Risk Taking: Behavior of Tunisian Banks in a Simultaneous Approach”, International Journal of Economics and Finance; Vol. 7, N°6 • Ben Bouheni. F, Rachdi. H., 2015, “Bank Capital Adequacy Requirements and Risk-Taking Behavior in Tunisia: A Simultaneous Equations Framework”, Journal of Applied Business Research, Vol.31, N°1 January/February 2015 • Ben Bouheni. F, Ben Ameur. H, Idi Cheffou. A, Jawadi. F., 2014, “The Effects of Regulation and Supervision on European Banking Profitability and Risk: A Panel Data Investigation”, Journal of Applied Business Research, Vol. 30, N° 6, November/December 2014 • Ben Bouheni. F., 2014, “Banking regulation and supervision: can it enhance stability of banks in Europe”, Journal of Financial Economic Policy, Vol. 6 Issue 3 - 2014 • Ben Bouheni. F., 2013, “L’impact de la régulation et de la supervision sur la rentabilité bancaire”, La Revue du FINANCIER, Vol. 35, N° 203, p. 52-66, September/October 2013 • Ben Bouheni. F, Bellalah. F., 2011,“The impact of subprime crisis on the French financial market”, Euro‐Mediterranean Economics and Finance Review, Vol. 6, N°2, Second Quarter, pp. 4‐12, 2011 Book chapter • Ben Bouheni. F, Masood. O, Rehman. A, 2012, “The Performance of Islamic Capital Market and Maximisation of the Wealth of shareholders and Value company”, in O.Masood (ed.), Financial crisis and governance, London, Cambridge Scholars Publishing, pp. 732‐744, 2012 Books • Ben Bouheni. F, Bellalah. M., 2012, Islamic Banking & Risk Management: Problems of Islamic Banks and Recommendations, Lambert Academic Publishing, 2012 • Ben Bouheni. F., 2012, L’impact de la psychologie des investisseurs sur le marché financier. Investigation empirique sur le marché français, Editions universitaires européennes, 2012 • Ben Bouheni, F., 2012, Le tourisme culturel en France et le tourisme balnéaire en Tunisie, Editions universitaires européennes, 2012 RECENT CONFERENCE - PAPER PRESENTATIONS • Ben Bouheni, F, “Stratégies d’interprétation de données quantitatives: exemples”, Séminaire des doctorants: Fondamentaux 4, Telecom Ecole de Management Evry, September 24, 2015 • Ben Bouheni, F, Ammi, C., « La régulation financière en Europe, ultime barrière contre les crises? », Prepasup International Conference Paris, February13, 2015 • Ben Bouheni, F, “The agents’ behaviors: How people can behave irrationally?”, Zurich University, Switzerland November 3, 2014 • Ben Bouheni. F, 41st Annual Meeting, European Finance Association, Lugano, August 27-30, 2014 • Ben Bouheni. F, Systemic Risk and Financial Regulation, Banque de France and ACPR, Paris, July 3-4, 2014 • Ben Bouheni. F, "Banking Governance: Islamic banks vs. Conventional banks", HANKEN CENTRE FOR CORPORATE GOVERNANCE, Finland, 26th February 2014. • Ben Bouheni. F, " La structure de la gouvernance des groupes bancaires français de 2005 à 2011", Workshop Financial Information and Corporate Governance, University of Valenciennes and I.D.P, France 06th December 2013. • Ben Bouheni. F, “Gouvernance bancaire, réglementation financière et performance des grands groupes bancaires français”, Le séminaire de finance et comptabilité, University of Evry-Val d’Essonne and TELECOM Business School, France 14th May 2013. • Ben Bouheni. F, “The effects of banking supervision on performance: European evidence”, International conference « Governance and control in finance and banking: a new paradigm for risk and performance », ISTEC Paris, 18-19 April 2013. • Ben Bouheni. F, “The effects of banking supervision on the performance: European evidence”, Le séminaire de finance et comptabilité, University of Evry-Val d’Essonne and TELECOM Business School, France, 15th January 2013. • Ben Bouheni. F, Masood. O, “Critical analysis of current practices of Islamic Banking In Pakistan”, Islamic Banking and Finance Workshop, ISC Paris School of Management, Paris, 19th October 2012. • Ben Bouheni. F, Masood. O, Rehman. A, “The Performance of Islamic Capital Market and Maximisation of the Wealth of shareholders and Value company”, Colloque ‘Governance & Ethical finance’, Ipag / HEG / ESC Amiens, Paris, 16 December 2011. • Ben Bouheni. F, Bellalah. M, « L’impact de la crise subprime de 2007 sur le marché financier français » International Finance Conference IFC 6 Tunisia, Université de Cergy-Pontoise/ ISC Paris, Hammamet, 10-12 March 2011. TEACHING Corporate Finance, Capital Markets, Treasury Management, General Accounting, Portfolio Management, Management Accounting, Economic Financial Management of local authorities, Principles of Economics, Islamic Banking, Banking Governance, Behavioral Finance, International finance, Business statistics, Financial analysis, Taxation of organizations, Labour economics and employment, Financial engineering RESEARCH ACTIVITIES • Chair of the International Conference of Prepasup and LITEM research laboratory “Will more banking regulation reduce the risk of future crises? ” on the 13th of February 2015 website: http://prepasupinternationalconference.jimdo.com/ • Since 2014: Visiting Researcher, HANKEN School of Economics, Finland • Since 2014: Member of Virtus Global Center for Corporate Governance, Ukraine • Since 2014: Guest lecture, Zurich University, Switzerland • Since 2013: Member of LITEM research laboratory, France • Since 2013: Reviewer for different International Journals • September 2014: Member of the Committee of the International Conference “Global Financial Market and Corporate Governance: Issues of Efficiency and Performance”, Nuremberg (Germany), September 25, 2014 • June 24, 2014: Co-animator of the doctoral trainingworkshop - Findings and Perspectives, Ph.D student day of LITEM research laboratory – TELECOM Business School, Evry • 2009 and 2011: Member of the Organization Committee of The International Finance Conference IFC6 (2011) and IFC5 (2009)", University of Cergy-Pontoise • Member of EFA (European Finance Association), AFA (American Finance Association), AFFI (French Finance Association) SKILLS • Software: Stata, Eviews, Rats, Latex, Prezi, Smartdraw, Office, OSX • Financial database: Bankscope, Bloomberg, Datastream, Heritage foundation, InFinancials, Factiva • Language: French (fluent), English (fluent)- computer based TOEFL test NYC, Arabic (native)