• English (United Kingdom)
  • French (Fr)
Damir-Tokic Damir-Tokic

 

intellectual contributions

Refereed Articles

Contribution to Practice

  • Tokic, D. (2010). Is it time to sell technology stocks? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2010). What's at stake in the EU bailout? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2009). Can Technology Stocks Lead the S&P 500 Higher. Journal of Corporate Accounting and Finance.
  • Tokic, D. (2009). Will the EU Survive an Eastern European Crisis? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2008). Global slowdown: Is the Dollar a Good Hedge? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2008). The Four Horsemen of Tech: Has Another Bubble Burst? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2008). Time Leave Foreign Stock Markets? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2007). Semiconductor Stocks: Signaling a Bear Market? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2007). Would a Rising Yen Mean Global Turmoil? Journal of Corporate Accounting and Finance.
  • Tokic, D.(2006). Indian Dot-coms: Poised to Take Off? Journal of Corporate Accounting and Finance.

 

Discipline-Based Scholarship

  • Tokic, D. (in press, 2012). Speculation and the 2008 Oil Bubble: The DCOT Report Analysis. Energy Policy, 45, 541-550.
  • Tokic, D. (2012). The Passive Investor Puzzle. Journal of Asset Management, 13 (2), 141-154.
  • Tokic, D. (2011). Rational Speculation, Positive Feedback Trading and the Oil Bubble of 2008. Energy Policy.
  • Tokic, D. (in press, 2011). When Hedging Fails: What Should Every CEO Know About Speculation. Journal of Management Development.
  • Tokic, D. & Vezilic, S. (2010). The European union bailout : what's at stake? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2010). The Oil Bubble of 2008: Causes and Consequences. Energy Policy.
  • Tokic, D. (2009). Greenspan's Conundrum: Solved. Journal of Corporate Treasury Management.
  • Tokic, D. (2008). Are Long-Term Trends Changing? Journal of Asset Management.
  • Tokic, D. (2008). Housing Price Indices Futures? Real Estate Issues.
  • Tokic, D. (2008). Labor Force Growth and Long Term Trends. Credit and Financial Management Review.
  • Tokic, D. (2007). Baby Boomers and Financial Markets: A Relationship in the Making. Journal of Investing.
  • Tokic, D. (2006). Emerging China: Opportunity or Threat for the U.S. Economy? Credit and Financial Management Review.
  • Tokic, D. (2006). Explaining U.S. Stock Market Returns from 1980 to 2005: Implications for Next 25 Years. Journal of Asset Management.
  • Tokic, D. (2006). Globalization: End of the Third Wave? Journal of Corporate Accounting and Finance.
  • Tokic, D. (2006). Noise Trading and Market Efficiency: The Role of Passive Investors. Journal of Trading.
  • Tokic, D. (2006). Valuation of Growth Stocks Using the Profitability Multipliers. Journal of Applied Business and Economics.

 

academic background

Ph.D. , 2002

 

professional certifications

Commodity Trading Advisor - Series 3 NFA, 2009-current

 

Teaching

 

  • Finance
  • Investment

 


Qualifications

 

• 2002 Ph.D. International Business/Finance University of Texas – Pan American

• 1996 MBA Sam Houston State University

• 1995 BBA International Business Sam Houston State University


 

Research Interests

 

• Corporate Finance

 


 

work Experience

 

Academic

  • Assistant Professor of Finance, ESC Rennes School of Business (2009 - Present).
  • Assistant Lecturer, University of Rennes 1 (2007 - 2009).
  • Adjunct Faculty, University of Rennes 1 (2006 - 2007).
  • Visiting Fellow, UQAM Business School (2005 - 2006).
  • Research Fellow, Center for Research in Economics and Management (2004 - 2007).

 







 

 


 

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