Week
|
Topics
|
Study Metarials
|
1
|
Financial System
|
R1. Chapter 1
|
2
|
Time Value of Money
|
R1. Chapter 2
|
3
|
Company Types
|
R1. Chapter 3
|
4
|
Financial Intermediaries-I
|
R1. Chapter 6
|
5
|
Financial Intermediaries-II
|
R1. Chapter 7
|
6
|
Money and Capital Market Instruments
|
R2. Chapter 6; SR1. Chapter 1 and 2
|
7
|
Shares
|
R2. Chapter 6
|
8
|
Bonds
|
R2. Chapter 6
|
9
|
Borsa İstanbul Markets-I
|
R3. Chapter 1
|
10
|
Borsa İstanbul Markets-II
|
R3. Chapter 1
|
11
|
Regulatory and Supervisory Institutions
|
R2. Chapter 4
|
12
|
Clearing, Operation and Public Disclosure
|
R1. Chapter 9 and 10
|
13
|
Investment, Risk, Return and Portfolio
|
R2. Chapter 7
|
14
|
Analyzes Used in the Selection of Securities
|
R2. Chapter 7
|
Prerequisites
|
-
|
Language of Instruction
|
Turkish
|
Responsible
|
Assoc. Prof. Rıfat Karakuş
|
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.
R3. Borsa İstanbul (2014). Yatırımcılar için Borsa İstanbul. https://www.borsaistanbul.com/data/kilavuzlar/Yatirimcilar_icin_BORSA.pdf
|
Supplementary Book
|
SR1. Ceylan, A. & Korkmaz, T. (2012). Sermaye Piyasası ve Menkul Değer Analizi. Ekin Kitabevi, Bursa.
|
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 System, Time Value of Money, Company Types, Financial Intermediaries, Money and Capital Market Instruments, Shares, Bonds, Borsa İstanbul Markets, Regulatory and Supervisory Institutions, Clearing, Operation and Public Disclosure, Investment, Risk, Return and Portfolio, Analyzes Used in the Selection of Securities
|
|
Program Learning Outcomes |
Level of Contribution |
1
|
To gain competence in analyzing and following banking practices and financial markets.
|
5
|
2
|
To gain competence in practicing financial markets and the techniques through team work.
|
3
|
3
|
To analyse the validity of the theories on banking and finance with regard to current financial conditions.
|
-
|
4
|
To gain knowledge on the legal aspects of the financial markets and establishments.
|
3
|
5
|
To gain competence in evaluating the financial administration of the related institution in detail and in assuming responsibility of every kind on this.
|
-
|
6
|
To gain detailed knowledge with regard to the numerical methods used extensively in banking and finance.
|
-
|
7
|
To gain competence on data gathering, analysing and evaluating through the theoretical and practical information gained in the field.
|
3
|
8
|
To gain competence in establishing, analysing and evaluating financial and economic models.
|
-
|
9
|
To analyse the problems in banking and finance, find solutions to these problems and openly express and discuss the ideas and proposals.
|
3
|
10
|
To act in accordance with scientific, social and ethic values during the process of gaining, analyzing, publishing financial information and process of practicing the financial ideas.
|
-
|