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 varlık fiyatlandırması, Finansal piyasalarda belirsizlik ve asimetrik bilgi, Ekonomik ve finansal ağlar
Araştırma
Makaleler
- “Trading ambiguity: a tale of two heterogeneities,” with Sujoy Mukerji and Jean-Marc Tallon, International Economic Review, forthcoming
- “Ambiguous business cycles: a quantitative assessment,” with Sumru Altug, Fabrice Collard, Cem Cakmakli, and Sujoy Mukerji, Review of Economic Dynamics, 2020, 38: 220-237
- “Investor networks in the stock market,” with Johan Walden, M. Deniz Yavuz, and Recep Bildik, Review of Financial Studies, 2014, 27: 1323-1366
- “Asset pricing in large information networks,” with Johan Walden, Journal of Economic Theory, 2011, 146: 2252-2280
- “Liquidity and asset prices in rational expectations equilibrium with ambiguous information,” with Jan Werner, Economic Theory, 2011, 48: 469-491
- “Price, trade size, and information revelation in multi-period securities markets,” with Shino Takayama, Journal of Financial Markets, 2010, 13: 49-76
- “Amplification and asymmetry in crashes and frenzies,” Annals of Finance, 2008, 4: 157-181
Kitap bölümleri
- “Inflation and the stock market: money illusion in Borsa Istanbul,” with Cenk C. Karahan, in Ulas Akkucuk, ed., Managing Inflation and Supply Chain Disruptions in the Global Economy, IGI Global, 2023: 24-40
- “The lender of last resort in a general equilibrium framework,” with Akshay Kotak and Dimitrios P. Tsomocos, in Charles A.E. Goodhart and Dimitrios P. Tsomocos, eds., Financial Regulation and Stability: Lessons from the Global Financial Crisis, Edward Elgar Publishing, 2019: 113-157
Verilen Dersler
İleri Mikroekonomi (ECON 201), Girişimci Finans (ENTR 308), Stratejik Finansal Yönetim (FIN 803)