
معرفی
Ozcan Sezer is an Associate Professor in the Department of Finance at the John B. and Lillian E. Neff College of Business and Innovation, University of Toledo. He teaches courses such as Derivatives Securities, Advanced Corporate Finance, and Student Managed Portfolio. His research focuses on financial markets, particularly in REITs, derivatives, and institutional investor behavior, utilizing quantitative methods like Monte Carlo simulations.
Sezer holds a PhD in Finance from the University of Connecticut (2002), an MS in Economics from Boston College (1990), and a BA in Economics from Ankara University (1982). His recent research includes studies on risk reduction in REIT portfolios and institutional investor dynamics in real estate markets.
No scientific awards are explicitly mentioned in the text. His research and teaching contributions are highlighted through his courses and publications listed above.




