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Curriculum Vitae Saltuk Ozerturk Last Updated November 2023 ADDRESS Southern Methodist University Department of Economics
3300 Dyer Street Suite 301 Dallas Texas 75275 e-mail ozerturk@smu.edu EMPLOYMENT ·
Associate Professor, Southern Methodist University,
Department of Economics (Sep'08-present) ·
Visiting Associate Professor, Fordham University,
Department of Economics (Fall 2009) ·
Assistant Professor, Southern Methodist
University, Department of Economics (Sep'01-Aug'08) RESEARCH VISITS ·
Visiting Researcher, University of Madrid,
Department of Economics (June 22) ·
Visiting Scholar, New York University, Department
of Economics (Fall 2008) ·
Visiting Research Associate, Center for Operations
Research and Econometrics (CORE) Catholic University of Louvain, Belgium
(Fall 2005-Spring 2006) ·
Visiting Scholar, Columbia University, Department
of Economics (Fall 2004) EDUCATION Ph.D. in
Economics, New York University, 2001 M.A. in
Economics, New York University, 1998 B.Sc. in
Industrial Engineering, Bilkent University, 1993 RESEARCH INTERESTS Contract Theory, Political Economy, Financial
Economics PUBLICATIONS Media
Access, Bias and Public Opinion, European Economic Review, (August
2022), Volume 147 Credit Attribution and
Collaborative Work, Journal of Economic Theory,
(July, 2021), Volume 195. (with Huseyin Yildirim) Choosing
a Media Outlet when Seeking Public Approval, Public Choice. Volume 174: 3-21, 2018 Moral
Hazard, Skin in the Game Regulation and CRA Performance, International Review of Economics and
Finance. Volume 52: 147-164, 2017 Minority
Perception of Exclusion and Promotion Hurdles, Economics Letters. Volume 141: 55-59, 2016 Ratings
as Regulatory Stamps, Journal of Economic Behavior and Organization. Volume
105: 17-29, 2014 Upfront
versus Rating Contingent Fees: Implications for Rating Quality, Finance
Research Letters. Volume 11: 91-103, 2014 Acquisition
of Information to Diversify Contractual Risk (with Bogachan Celen)
International Economic Review. Volume 53(1): 133-156, 2012. Consumer
Information in a Market for Expert Services (with Kyle Hyndman, Journal
of Economic Behavior and Organization. Volume 80: 628-640, 2011. Risk
Sharing, Risk Shifting and the Role of Convertible Debt, Journal of
Mathematical Economics. Volume 44(11): 1257-1265, 2008. Stock Recommendation of an
Analyst who Trades on Own Account
Rand Journal of Economics. 38(3), 768-785, 2007 Implications
of Executive Hedge Markets for Firm Value Maximization (with Bogachan Celen) Journal of Economics
and Management Strategy. 16(2): 319-349,
2007. Bargaining and
Exclusivity in a Borrower-Lender Relationship (with Levent Kockesen) Review of Economic
Design. Volume 11(1), 53-68, 2007. The
Advantage of Showing Your Hand Selectively in Foreign Exchange
Interventions (with Richard
Barnett) European Journal of Political Economy. 23(1): 228-244, 2007. Managerial
Risk Reduction, Incentives and Firm Value Economic Theory. 27(3): 523-535, 2006. Financial
Innovations and Managerial Incentive Contracting Canadian Journal of
Economics. 39 (2):434-454,
2006. Board
Independence and CEO Pay Economics Letters. Volume 88:
260-265, 2005. Tariff
Discrimination versus MFN under Incomplete Information (with Kamal Saggi) Journal
of International Trade and Economic Development (14):197-208, 2005. Direct Sale of
Information When Precision is Unobservable Canadian Journal of Economics. Volume 37:269-293, 2004. Equilibrium
Incentives to Acquire Precise Information in Delegated Portfolio Management Journal of Financial
Services Research. Volume
25: 35-36, 2004. WORKING PAPERS Credit Attribution
and Team Incentives with Spillovers (with Huseyin Yildirim) Media Bias in
Financial Bailouts . |
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