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ASSOC. PROF. DR. SELCUK ERDEM ONEM ECONOMICS & GLOBAL FINANCE EXPERT
ASSOC. PROF. DR. SELCUK ERDEM ONEM ECONOMICS & GLOBAL FINANCE EXPERT
Book Consultation

[email protected]

Financial Architecture & Market Perspectives

Macroeconomic appraisals, corporate risk modeling, and investment perspectives authored by Assoc. Prof. Dr. Selcuk Erdem Onem based on 25+ years of international investment banking experience.

Bloomberg HT Canlı Yayın - Coca Cola Opsiyon Tasarımı | Doç. Dr. Selçuk Erdem Önem
BLOOMBERG HT LIVE BROADCAST
Bank of America Analysis Desk | Coca-Cola (KO) Option Structuring
DERIVATIVE MARKETS & CASE STUDY

Equity Option Structuring & Balance Sheet Protection

Optimization of Call/Put strike boundaries, Delta (6.6 Δ), Vega (-0.2 V), and Theta (1.5 θ) Greek sensitivities based on Coca-Cola (KO) complex option structuring.

CNBC-e Canlı Yayın - Borsa İstanbul BIST 100 Analizi | Doç. Dr. Selçuk Erdem Önem
CNBC-e LIVE BROADCAST
e-CAFE | Steep Sell-off in Borsa Istanbul & BIST 100 Analysis
BORSA ISTANBUL & VOLATILITY

Steep Sell-off in Borsa Istanbul & Risk Control

Institutional position protection frameworks, behavioral panic control, and macroeconomic transmissions during shock days when the BIST 100 drops by >5%.

Enflasyonist Dönemde Kurumsal Risk Yönetimi Risk Management
OCTOBER 2025 • BALANCE SHEET DYNAMICS

Corporate Risk Management & Hedging in Inflationary Environments

Closing foreign currency short exposures on corporate balance sheets, balancing interest burdens, and deploying derivative strategies to shield free cash flows.

NASDAQ Endeksi ve Büyüme Şirketlerinde Volatilite Capital Markets
SEPTEMBER 2025 • WALL STREET

NASDAQ Index Volatility & Growth Equity Valuation

Valuation multiple dynamics and quantitative multiple analytics across global tech leaders across monetary tightening and easing cycles.

Küresel Bankacılıkta Likidite ve Stres Testleri International Banking
AUGUST 2025 • BANKING ARCHITECTURE

Liquidity Governance & Stress Testing in Global Banking

Systemic risks, liquidity coverage ratios (LCR), and Basel III/IV frameworks analyzed through executive tenures at UBS and Bank of America.

FED ve ECB Faiz Politikaları ve Fon Akımları Macroeconomics
JULY 2025 • GLOBAL MARKETS

Central Bank Rate Cycles & Emerging Market Capital Dynamics

Transmission of FED policy decisions onto emerging market currencies, sovereign Eurobond yields, and carry trade momentum.

Holdingler İçin Finansal Yeniden Yapılanma Corporate Strategy
JUNE 2025 • BOARDROOM STRATEGY

Balance Sheet & Capital Restructuring for Conglomerates

Extending corporate debt maturity horizons, syndication facilities, and reducing cost of capital via alternative capital market instruments.

Nitelikli Yatırımcılar İçin Portföy Mimarisi Investor Advisory
MAY 2025 • META QUEES

Strategic Decision & Risk Framework for Investors

Macroeconomic insights, portfolio diversification models, and transparent risk scoring provided to investors across Meta Quees.