Announcements

Cancelled -Glodem Seminar -Coşkun Küçüközmen

Author: CASE
Time: 17:00
Location: CASE Z-25

CANCELLED

KOC UNIVERSITY

FACULTY OF ADMINISTRATIVE SCIENCES AND ECONOMICS

GLODEM SEMINAR

Proffessor Coşkun Küçükzözmen - Izmir University of Economics

Title: “Turkey: Recent Economic and Financial Outlook”

Date: 10 December 2018 -MONDAY

Time: 17.00

Venue: CASE Z-25

Short Bio:

Dr. Küçüközmen has started his official career at the Central Bank of the Republic of Turkey in 1986. He holds a BSc in Economics from Dokuz Eylül University, İzmir, 1984. He holds an MSc degree on European Economics and Finance from Loughborough University of Technology, UK (1995) and a PhD degree in Finance from Exeter University (2000). Upon completing his PhD research, he joined to the Banking Regulation and Supervision Agency (BRSA) the supervisory body for Turkish banking system in 2000, and worked there as a deputy head of department of risk management and research department. He then returned to Central Bank in 2005 after serving five-year at the BRSA. He left the Central Bank of Turkey at 2010 for academic life. He also taught as a part-time lecturer at the Financial Mathematics Department of the Institute of Applied Mathematics in Middle East Technical University. He has been a regular columnist in the weekly newspaper called Ekonomik Çözüm (Economic Solutions) writing on current issues in banking, finance and economics. He regularly makes weekly comments on financial markets on radio. Dr. Küçüközmen has also the producer of a television program (live broadcast, a regional TV channel, SKY TV) called Inside the Economics for more than three years. Dr. Küçüközmen has been elected as the Chairman of Aegean Finance Association on November 2015 for a 3-year term. Dr. Küçüközmen is now a full time lecturer at the International Trade and Finance Department of Izmir University of Economics. Dr. Küçüközmen has actively taken place in numerous projects as well as consultancy, mentoring and business education and training activities. His main areas of interest are banking and financial markets (in particular Basel regulations and implementation), internal controls, risk management and measurement, graphical data-mining, data visualization and private equity funds.