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.
Risk Management
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.
Capital Markets
NASDAQ Index Volatility & Growth Equity Valuation
Valuation multiple dynamics and quantitative multiple analytics across global tech leaders across monetary tightening and easing cycles.
International Banking
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.
Macroeconomics
Central Bank Rate Cycles & Emerging Market Capital Dynamics
Transmission of FED policy decisions onto emerging market currencies, sovereign Eurobond yields, and carry trade momentum.
Corporate Strategy
Balance Sheet & Capital Restructuring for Conglomerates
Extending corporate debt maturity horizons, syndication facilities, and reducing cost of capital via alternative capital market instruments.
Investor Advisory
Strategic Decision & Risk Framework for Investors
Macroeconomic insights, portfolio diversification models, and transparent risk scoring provided to investors across Meta Quees.