Fatih GÜZELمشاهده پروفایل
دانشیار
- Investments and Portfolio Management
- Financial Forecasting and Modeling
- Financial Markets and Institutions
- +۳ مورد دیگر
Prof. Dr. Fatih GÜZEL , an Associate Professor at Kırşehir Ahi Evran Üniversitesi , Faculty of Economics and Administrative Sciences, Department of Accounting and Finance. His research focuses on investments, portfolio management, financial forecasting, and volatility analysis. Education: PhD in Business Administration, Selçuk University (2014-2020) Master’s in Business Administration (Accounting-Finance), Dumlupınar University (2012-2014) Bachelor’s in Business Administration, Afyon Kocatepe University (2008-2012) Research Interests: Empirical studies on financial markets, volatility interactions, and macroeconomic indicators Focus on Turkish capital markets, BRICS-T countries, and MINT economies Article Trends: Recent works analyze volatility dynamics in Borsa Istanbul, relationships between exchange rates and sector indices, and impacts of global crises on financial markets Utilizes econometric models like frequency domain causality and stochastic volatility Scientific Awards: Multiple TÜBİTAK Publication Incentive Awards (2016, 2017, 2021, 2022) İktisadi Araştırmalar Vakfı Doctoral Thesis Award (2021) Collaborations: Co-authored 15 publications with Melek Acar Worked with Gamze Şekeroğlu (7 papers), Yüksel İltaş (6 papers)









