Early Warning System and Forecast on Market Risk: A Case of Turkey
9.03.2018 15:00
YER : AB1-1001
Dağhan Gökçe
Dr. K. Dağhan Gökçe received his B.A. in political science and international relations from the Boğaziçi University in 2002, his M.B.A from California State University in 2004, his M.A. in economics and finance from the Boğaziçi University in 2010 and his Ph.D. (2018) in finance from İstanbul University. He served as a macro-consultant to a member of the Turkish Assembly and held macro-trader, research manager and cross-asset strategist posts in the Turkish brokerage houses. Dr. Gökçe has been a market technician in commodity and fx markets and have a Capital Markets Board (CMB) of Turkey Advance Licence. He has been lecturing on computational finance, international markets and derivatives, macro-economics for finance, managerial economics, money&banking at Bilgi University since 2015. His main interest areas are macro-finance, quantitative finance, big data and artificial intelligence forecast, international finance and Islamic finance.