Teaching

University of Oklahoma

"Risk Management", MSF, 2020 - present

Evaluation (out of 5): 4.81 (2020), 4.48 (2021)

"Risk Management", Undergraduate, 2020 - present

Evaluation (out of 5): 4.64 (2020), 4.46 (2021)

"Financial Risk Management", MBA, 2019 -2021

Evaluation (out of 5): 4.36 (2019), 4.64 (2020), 4.83 (2021)

"Financial Econometrics", PhD, 2021 (Guest Lecturer)

"Energy and Commodity Assets", MBA, 2019 -2020

Evaluation (out of 5): 4.90 (2019), 4.56 (2020)


Tulane University

Teaching Awards

Dean’s Excellence in Teaching Award, 2017

Nominated for Dean’s Excellence in Teaching Award by the Finance Area Coordinator, 2014

Courses

“Risk Management and Applications to Energy Firms”, MFIN, 2014 – 2019

Mean evaluation (out of 7): 6.70

“Risk Management”, Undergraduate, 2017 - 2019

Mean evaluation (out of 7): 6.80

“Options and Other Derivatives”, MBA, 2013 – 2016

Mean evaluation (out of 7): 6.25

“Options and Other Derivatives”, MFIN, 2013


McGill University

Courses

“Derivatives and Risk Management”, Undergraduate, 2010