İŞL606


Course Title Course Code Program Level
New Directions in Financial Markets and Instruments İŞL606 İşletme Doktora M.A / M.Sc.

Course Term
(Course Semester)
Teaching and Learning Methods
Credits
Theory Practice Lab Projects/Field Work Seminars/Workshops Other Total Credits ECTS Credits
03
(Fall)
42 42 3 10

Teaching Staff Doç. Dr. Emine Ebru AKSOY
Language of Instruction Türkçe (Turkish)
Type Of Course Compulsory
Prerequisites There is no prerequisite for this course.
Recommended Optional Programme Component
Course Objectives Students' understanding of the international financial system is the aim of this course.
Course Content Financial Markets and Financial System, Financial System and Financial Instruments, Instruments providing funds to businesses, Risk Transfer Tools (Forward, Futures, Swap, Option); Credit Derivatives (CDS (Credit Default Swap), CLN (Credit Default Bond), CSO (Credit Spread Option), TRS (Total Return Swap), Sukuk, Warrants, Hybrid Securities, Balloons, Credit Risk Analysis and Basel II Reconciliation , Developments in International Markets, topics are covered.
Learning Outcomes (LO) Students who complete this course and are successful will gain the following about financial markets and their instruments; 1- To be able to understand the functioning of the financial system, 2- To be able to recognize the basic derivative instruments, 3- To be able to benefit from interest rates, 4- To be able to make medium and long-term financial planning, 5- To be able to use derivative instruments in enterprises.
Mode of Delivery Face to face
Course Outline
Week Topics
1. Week Financial Markets and Financial System
2. Week Financial System and Financial Instruments
3. Week Tools to fund businesses
4. Week Risk Transfer Instruments (Forward, Futures, Swap, Option)
5. Week Credit Derivatives (CDS (Credit Default Swap)
6. Week CLN (Loan Default Bond)
7. Week CSO (Credit Spread Option)
8. Week TRS (Total Return Swap)
9. Week Sukuk, Warrants
10. Week Hybrid Securities
11. Week Financial Asset Bubbles
12. Week Analysis of Credit Risk and Basel II Consensus
13. Week Developments in International Markets
14. Week Final Examination
Assessment
  Percentage(%)
Mid-term (%)
Quizes (%)
Homeworks/Term papers (%)
Practice (%)
Labs (%)
Projects/Field Work (%)
Seminars/Workshops (%)
Final (%) 100
Other (%)
Total(%) 100
Course Book (s) and/or References Financial Markets and Institutions Global Edition, 7E, Mishkin and Eakins
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

 

3

2

 

2

5

 

 

 

 

 

 

 

LO2

5

 

 

 

 

 

 

 

 

 

 

2

 

 

LO3

5

 

 

 

 

 

 

 

1

 

 

 

 

 

LO4

5

 

 

4

 

 

 

3

 

 

 

 

 

 

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