İŞL427


Course Title Course Code Program Level
MONEY AND CAPITAL MARKETS İŞL427 Business Administration B.A. / B.Sc.

Course Term
(Course Semester)
Teaching and Learning Methods
Credits
Theory Practice Lab Projects/Field Work Seminars/Workshops Other Total Credits ECTS Credits
07
(Fall)
42 84 126 3 5

Teaching Staff Dr. Öğr. Üyesi Yasemin YURTOĞLU
Language of Instruction Türkçe (Turkish)
Type Of Course Compulsory
Prerequisites None
Recommended Optional Programme Component
Course Objectives To analyze international money markets and capital markets in the light of basic concepts and theories of international financial markets.
Course Content In this course, the basic concepts of international financial markets and the general outlook of the world economy are discussed. International financial institutions and policies, money and capital market instruments, derivatives and foreign exchange markets are examined. Value investing, financial risk management and regulations are discussed. Global crises and international portfolio investments are analyzed and the course concludes with predictions for the future of international financial markets.
Learning Outcomes (LO) The students who attended the course and were successful at the end of semester will acquire the followings; 1-Learn Basic Concepts of International Financial Markets, 2-Compare Exchange Rates and Policies, 3- Analyze Global Imbalances, 4- Analyze International Fund Markets, 5- Analyze and Apply Derivative Markets.
Mode of Delivery Face to face
Course Outline
Week Topics
1. Week Basic Concepts of International Financial Markets and Outlook of the World Economy
2. Week International Financial Institutions and Policies
3. Week Money Markets and Instruments
4. Week Capital Markets and Instruments
5. Week Derivative Markets and Instruments
6. Week Foreign Exchange Markets, Exchange Rate Policies and Comparison
7. Week International Parity Relations
8. Week Value Investing and Analysis
9. Week Value Investing and Analysis
10. Week Financial Risk Management
11. Week Financial Regulations
12. Week Analysis of Global Crises
13. Week International Portfolio Investments
14. Week The Future of International Financial Markets
Assessment
  Percentage(%)
Mid-term (%) 40
Quizes (%)
Homeworks/Term papers (%)
Practice (%)
Labs (%)
Projects/Field Work (%)
Seminars/Workshops (%)
Final (%) 60
Other (%)
Total(%) 100
Course Book (s) and/or References Doç. Dr. Nuray Terzi, Küresel Finansta Güncel Konular, Beta, 2017; Michael Melvin, Stefan C. Norrbin Uluslararası Para ve Finans, Nobel Akademik Yayıncılık, 2016.
Work Placement(s)
The Relationship between Program Qualifications (PQ) and Course Learning Outcomes (LO)

 

 

PQ1

PQ2

PQ3

PQ4

PQ5

PQ6

PQ7

PQ8

PQ9

PQ10

PQ11

PQ12

PQ13

PQ14

LO1

5

5

 

 

 

 

 

 

 

 

 

 

 

 

LO2

5

 

 

 

 

 

 

 

 

 

 

 

 

 

LO3

5

 

 

 

 

 

1

 

 

 

 

 

 

 

LO4

 

5

 

 

 

 

1

 

 

 

 

 

 

 

LO5

 

5

 

 

 

 

 

 

 

 

 

 

 

 

 

* Contribution Level : 1 Very low    2 Low     3 Medium     4 High      5 Very High