
معرفی
Erkan Alsou is an Associate Professor at Gaziantep University, Faculty of Economics and Administrative Sciences, Department of Business Administration. His academic career spans over 15 years, with progressive appointments from Lecturer (2008-2016) to Doctor Lecturer (2016-2020) and currently Associate Professor (2020-present).
His educational background includes a Doctorate in Business Administration from Hasan Kalyoncu University (2013-2016), a Master's degree in Economics from Gaziantep University (2004-2007), and a Bachelor's degree in Economics from Gaziantep University (2000-2004). He also holds associate degrees in Law Justice and Sociology from Atatürk University.
Alsou's research focuses primarily on financial markets, risk management, and investment analysis. His work examines stock market efficiency, volatility spillovers, financial derivatives, and the relationship between financial development and economic growth. He has published extensively on Turkish financial markets, particularly Borsa Istanbul, and has explored topics ranging from cryptocurrency environmental impacts to pandemic effects on financial performance.
His publication portfolio shows a clear trend toward increasingly sophisticated financial econometric analyses, with recent work focusing on volatility spillovers, market integration, and the impact of global events on financial markets. His research bridges theoretical finance with practical applications in emerging markets.
Alsou has supervised numerous doctoral and master's theses, mentoring students in areas including financial risk management, stock market analysis, and financial technology applications. His academic leadership extends to editorial roles for several publications.
He has taught a wide range of courses across all academic levels, from undergraduate principles of economics to doctoral-level international finance, demonstrating comprehensive expertise in financial theory and practice.





