devoted to following large and mid-capitalization companies and building detailed financial models to forecast those companies’ near, intermediate, and long-term results.
As an analyst, I was also trained to understand probabilities and statistics, as they relate to financial
and risk management, and I even utilized event trees when grappling with an uncertain economic outlook. This allowed me to extrovert precisely how certain I felt about a company’s ability to manage through a difficult economic environment, as the case might have been.
I had to understand a wide variety of models used in economics and financial management for understanding risk, forecasting volatility, and interpreting stock market performance.
Why am I writing about this? It occurred to me that I have marketed REL Translations very effectively as a translations company, but there could be many potential clients in the academic arena – specifically, in financial management and economics – who do not realize the valuable synergy that my background and expertise bring to a project. A Google Scholar search for “VaR GARCH EGARCH” – three types of risk models – brings up over 5,300 academic articles and references in English, alone. How many Turkish scholars are out there, trying to get their papers published in English, who are unable to find translators with matching expertise?
So if you are looking for not only translation from Turkish into English, but also for a translator who understands a highly specialized academic area, such as economics or financial management, you need not look any further. Just use the following link to send me some information about your project, and I will provide a free price quote: http://www.reltranslations.com/rates.html