1 |
Course Title: |
FINANCIAL MARKETS |
2 |
Course Code: |
ISL5320 |
3 |
Type of Course: |
Optional |
4 |
Level of Course: |
Second Cycle |
5 |
Year of Study: |
1 |
6 |
Semester: |
2 |
7 |
ECTS Credits Allocated: |
6 |
8 |
Theoretical (hour/week): |
3 |
9 |
Practice (hour/week) : |
0 |
10 |
Laboratory (hour/week) : |
0 |
11 |
Prerequisites: |
None |
12 |
Recommended optional programme components: |
None |
13 |
Language: |
Turkish |
14 |
Mode of Delivery: |
Face to face |
15 |
Course Coordinator: |
Dr. Ögr. Üyesi ESEN CİMİLLİ |
16 |
Course Lecturers: |
Yok |
17 |
Contactinformation of the Course Coordinator: |
esencimilli@uludag.edu.tr 0224-2940721 |
18 |
Website: |
|
19 |
Objective of the Course: |
To give information to students about money and capital market instruments and institutions, the risks of financial institutions, interaction of international markets, international investments and global crises; and to improve students’ ability of interpretation and analysis on these topics. |
20 |
Contribution of the Course to Professional Development |
Following and evaluating the global and national developments related to money and capital markets and making optimal financial decisions. |
Week |
Theoretical |
Practical |
1 |
Concept of financial globalization, concept and types of investment, goals of investors, classification of financial assets and markets, the role of financial markets. |
|
2 |
Definition and functions of financial institutions. |
|
3 |
Money and capital markets assests.
|
|
4 |
Public offering of securities and trading on the stock exchange. Stock Exchange, Borsa Istanbul and Capital Markets Board of Turkey.
|
|
5 |
Risks of Financial Institutions : Interest Rate Risk, Credit Risk, Market Risk, Exchange Rate Risk, Country Risk, Technology and Operational Risk, Liquidity Risk, Bancrupty Risk and Hedging Approach |
|
6 |
Fundamental and technical analysis approaches, diversification and portfolio management concept. |
|
7 |
Investment companies, its functions and its operations. |
|
8 |
Capital Market Instruments |
|
9 |
Foreign exchange market. |
|
10 |
Interaction of international markets. |
|
11 |
Concept and types of financial crises. |
|
12 |
Global crises. |
|
13 |
Measuring portfolio performance. |
|
14 |
International asset management. |
|