K. Smimou
Dr. Kamal Smimou's consulting and research interests primarily focus on the application of theoretical models and empirical studies in portfolio theory and asset pricing, commodity markets, international finance and market microstructure; and some of his work is also framed within the cross-disciplinary of finance & ethics. He is an Associate Professor of Finance in the Faculty of Business at University of Ontario Institute of Technology (Canada). He has contributed articles to high-quality theoretical and practitioner-oriented journals as Emerging Markets Review, Journal of Alternative Investments, Managerial Finance, International Review of Financial Analysis, European Journal of Operational Research, Omega, and Applied Financial Economics etc.. Additionally, he has been a regular ad-hoc reviewer of many well-respected finance/economics and international business journals. He teaches Portfolio and Investment Strategies, International Finance, Derivatives Securities, Financial Management, and Personal Finance in undergraduate and graduate programs.
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Articles by K. Smimou
The dynamics of energy futures and equity sectors: evidence from the United States and Canada
This paper investigates a sector-rotation strategy in order to elucidate two congruent objectives.