Sabri Öncü, Dr.
Who is Dr. T. Sabri Öncü?
Dr. T. Sabri Öncü has a bachelor’s degree (1984) and master’s degree (1986) from the Mechanical Engineering Department as well as a bachelor’s degree (1986) from the Mathematics Department of Boğaziçi University, where he served as a researcher from 1984 to 1986. Öncü also has a master’s degree in 1989 and a PhD in 1992 in applied mathematics from the Applied Mathematics Department of Alberta University. Öncü was granted with a “Killam Award”, a respectable award in Canada, in 1990 by Alberta University and has a bachelor’s degree in business administration from Stanford University in 2006.
Dr. T. Sabri Öncü is a financial economist who worked in US finance markets for many years. Öncü is the founder of SoS Economics and an expert in credit risk management.
Öncü served as the Director of Fixed Income Research Department at Drezdner-RCM Global Investors, Chief Economist of the Centre for Advanced Financial Research and Learning at the Reserve Bank of India, Senior Economist for the United Nations Conference on Trade and Development (UNCTAD). He also lectured at bachelor’s, MBA and PhD levels at New York, Donau, Bilkent, Sabancı and Kadir Has University.
Öncü has written intriguing articles on global economics, finance and politics, banking, shadow banking, cash and loans and financial risk management. He has contributed to respectable international periodicals, daily newspapers and digital media.
Sabri Öncü has also contributed to two books issued by the New York University’s Stern Business School regarding the global crisis ongoing since 2007. Dr. Öncü currently writes articles for the Indian Economic and Political Weekly, H. T. Parekh Finance Column and his articles are issued by influential web sites including Naked Capitalism, Prime Economics and Counterpunch.
Öncü shares his knowledge and expertise with special communities and groups on a number of niche topics including economics, finance, derivative markets, global economics and politics and contemporary monetary theory.
– World Economi and Politics
– Global Financial Markets
– Financial Risk Management