Week
|
Topics
|
Study Metarials
|
1
|
Financial Systems and Financial Markets
|
R1. Chapter 1
|
2
|
Regulatory Activities and Regulatory Bodies
|
R1. Chapter 5
|
3
|
Stock Exchanges
|
R1. Chapter 8; SR1
|
4
|
Regulations Relating To The Stock Market
|
R1. Chapter 8; SR1
|
5
|
ISTANBUL STOCK EXCHANGE INC
|
R1. Chapter 8; SR1
|
6
|
The Public Offering, Traded On Stock Exchanges And Public Disclosure
|
R2. Chapter 5
|
7
|
Capital Market Institutions
|
R1. Chapter 7
|
8
|
Investment Trusts And Funds
|
R1. Chapter 7
|
9
|
Basic Concepts Related To Capital Market Instruments
|
R2. Chapter 6
|
10
|
Share Market
|
R2. Chapter 6
|
11
|
Debt Market Instruments
|
R1. Chapter 11
|
12
|
Other Capital Market Instruments and Techniques
|
R1. Chapter 11
|
13
|
Derivative Products Forwards, Futures, Options
|
R2. Chapter 6
|
14
|
International Money and Capital Markets
|
R2. Chapter 6
|
Prerequisites
|
-
|
Language of Instruction
|
Turkish
|
Responsible
|
Asst. Prof. Şeyma YILMAZ KÜÇÜK
|
Instructors
|
-
|
Assistants
|
-
|
Resources
|
R1. Coşkun, M. (2010). Para ve Sermaye Piyasaları: Kurumlar, Araçlar, Analiz. Detay Yayıncılık, Ankara. R2. Aksoy, A. G., & Tanrıöven, C. (2007). Sermaye Piyasası Yatırım Araçları ve Analizi. Gazi Kitabevi, Ankara.
|
Supplementary Book
|
SR1. Borsa İstanbul (2014). Yatırımcılar için Borsa İstanbul. https://www.borsaistanbul.com/data/kilavuzlar/Yatirimcilar_icin_BORSA.pdf
|
Goals
|
The aim of this course is to provide detailed information related to features of the money and capital markets and financial institutions and financial instruments in these markets.
|
Content
|
Financial systems and financial markets, Regulatory activities and regulatory bodies, Stock Exchanges, Regulations relating to the stock market, Borsa İstanbul, The public offering, traded on stock exchanges and public disclosure, Capital market institutions, Investment trusts and funds, Basic concepts related to capital market instruments, Share market, Debt market instruments, Other capital market instruments and techniques, Derivative products forwards, futures, options, International money and capital markets
|
|
Program Learning Outcomes |
Level of Contribution |
1
|
Have the knowledge and ability about banking sector.
|
2
|
2
|
Have the knowledge and ability about insurance sector.
|
-
|
3
|
Considering the legal rules regulating the legislative framework of the banking and insurance sectors.
|
2
|
4
|
Have the ability to use the computer and the required packaged software
|
-
|
5
|
To recognize the basic concepts about finance.
|
5
|
6
|
To recover contemporary economic issues.
|
5
|
7
|
To have professional marketing knowledge about related fields.
|
-
|
8
|
To recognize the concepts related to credit and fund management.
|
3
|
9
|
To have knowledge related to classical and modern management techniques.
|
-
|
10
|
To have a sufficient level of knowledge related to insurance and insurance company types.
|
-
|
11
|
To have necessary knowledge related to mathematics and statistics.
|
-
|
12
|
To explain importance of issues related to research, development and execution as an individual or a group.
|
-
|
13
|
To have knowledge related to public relations and communication.
|
-
|
14
|
To have necessary accounting knowledge.
|
-
|
15
|
To explain the importance of business ethic.
|
-
|