Özyeğin Üniversitesi, Çekmeköy Kampüsü Nişantepe Mahallesi Orman Sokak 34794 Çekmeköy İstanbul

Telefon : +90 (216) 564 90 00

Fax : +90 (216) 564 99 99

info@ozyegin.edu.tr

Han
Özsöylev

Dr.Öğretim Üyesi

Doktora

University of Minnesota, 2004

Lisans

Bilkent Üniversitesi, 1999



Araştırma Alanları
  • Finansal ekonomi (finansal varlık fiyatlandırması, piyasa mikroekonomisi)
  • Uygulamalı iktisat teorisi

Araştırma

Seçilmiş makaleler

  • “Ambiguous business cycles: a quantitative assessment,” with Sumru Altug, Fabrice Collard, Cem Cakmakli, and Sujoy Mukerji (2020), Review of Economic Dynamics 38, 220-237.
  • “Investor networks in the stock market,” with Johan Walden, M. Deniz Yavuz, and Recep Bildik (2014), Review of Financial Studies 27, 1323-1366.
  • “Asset pricing in large information networks,” with Johan Walden (2011), Journal of Economic Theory 146, 2252-2280.
  • “Liquidity and asset prices in rational expectations equilibrium with ambiguous information,” with Jan Werner (2011), Economic Theory 48, 469-491.
  • “Price, trade size, and information revelation in multi-period securities markets,” with Shino Takayama (2010), Journal of Financial Markets 13, 49-76.
  • “Amplification and asymmetry in crashes and frenzies,” (2008), Annals of Finance 4, 157-181.

Kitap bölümü

  • “The lender of last resort in a general equilibrium framework,” with Akshay Kotak and Dimitrios P. Tsomocos (2019), in Charles A.E. Goodhart and Dimitrios P. Tsomocos, eds. (2019), Financial Regulation and Stability: Lessons from the Global Financial Crisis, Edward Elgar Publishing.

Verilen Dersler

İleri Mikroekonomi (ECON201), Kurumsal Finans Yönetimi (FIN709), Stratejik Finansal Yönetim (FIN803)