Nevşehir Hacı Bektaş Veli University Course Catalogue

Information Of Programmes

INSTITUTE OF SOCIAL SCIENCES / İŞLTZİÖ545 - BUSINESS ADMINISTRATION (MASTER'S DEGREE PROGRAMME WITHOUT THESIS)

Code: İŞLTZİÖ545 Course Title: ANALYSIS OF THE VALUE OF SECURITIES Theoretical+Practice: 3+0 ECTS: 6
Year/Semester of Study 1 / Fall Semester
Level of Course 2nd Cycle Degree Programme
Type of Course Optional
Department BUSINESS ADMINISTRATION (MASTER'S DEGREE PROGRAMME WITHOUT THESIS)
Pre-requisities and Co-requisites None
Mode of Delivery Face to Face
Teaching Period 14 Weeks
Name of Lecturer AHMET TANÇ (atanc@nevsehir.edu.tr)
Name of Lecturer(s) ŞÜKRAN GÜNGÖR TANÇ,
Language of Instruction Turkish
Work Placement(s) None
Objectives of the Course
Teaching of the instruments, institutions and operating of financial market, types of risk in financial markets, valuation of securities and technical and fundamental analysis.

Learning Outcomes PO MME
The students who succeeded in this course:
LO-1 Can explain the investment tools in monetary and capital market. PO-9 Have knowledge of basic information, usage, evaluation and making comment about business finance, of analyzing the economic, social and financial developments, of understanding of financial systems, of financial planning and of interpretation of financial statements belonging to firms.
PO-10 Comprehend the market developments, follow and comment on them, while having the knowledge of capital market and new financial techniques.
Examination
LO-2 Can explain the risk and sources of risk. PO-9 Have knowledge of basic information, usage, evaluation and making comment about business finance, of analyzing the economic, social and financial developments, of understanding of financial systems, of financial planning and of interpretation of financial statements belonging to firms.
PO-10 Comprehend the market developments, follow and comment on them, while having the knowledge of capital market and new financial techniques.
Examination
LO-3 Can make technical and fundamental analysis. PO-9 Have knowledge of basic information, usage, evaluation and making comment about business finance, of analyzing the economic, social and financial developments, of understanding of financial systems, of financial planning and of interpretation of financial statements belonging to firms.
PO-10 Comprehend the market developments, follow and comment on them, while having the knowledge of capital market and new financial techniques.
Examination
LO-4 Can make stock and bond valuation. PO-9 Have knowledge of basic information, usage, evaluation and making comment about business finance, of analyzing the economic, social and financial developments, of understanding of financial systems, of financial planning and of interpretation of financial statements belonging to firms.
PO-10 Comprehend the market developments, follow and comment on them, while having the knowledge of capital market and new financial techniques.
Examination
PO: Programme Outcomes
MME:Method of measurement & Evaluation

Course Contents
Elements of the financial system, investment tools, risk and sources of risk, bond and stock valuation, fundamental and technical analysis, derivatives market.
Weekly Course Content
Week Subject Learning Activities and Teaching Methods
1 Investment and market participants Lecturing, question and answer, brain storming.
2 Monetary and capital markets and instruments traded on these markets Lecturing, question and answer, brain storming.
3 Capital market activities and financial institutions in Turkey Lecturing, question and answer, brain storming.
4 Securities exchange in Turkey Lecturing, question and answer, brain storming.
5 Stock exchange transactions in the ISE stock market Lecturing, question and answer, brain storming.
6 Types of stocks Lecturing, question and answer, brain storming.
7 Types of bonds Lecturing, question and answer, brain storming.
8 mid-term exam
9 Other securities Lecturing, question and answer, brain storming.
10 Sources of risk and risk of investment in securities Lecturing, question and answer, brain storming.
11 Stock valuation Lecturing, question and answer, brain storming.
12 Bond valuation Lecturing, question and answer, brain storming.
13 Fundamental analysis Lecturing, question and answer, brain storming.
14 Technical analysis Lecturing, question and answer, brain storming.
15 Derivatives market Lecturing, question and answer, brain storming.
16 final exam
Recommend Course Book / Supplementary Book/Reading
1 Turhan Korkmaz ve Ali Ceylan, Sermaye Piyasası ve Menkul Değer Analizi, Ekin Basım, Yayın Dağıtım, Bursa, 2007.
2 M. Baha Karan, Yatırım Analizi ve Portföy Yönetimi, Gazi Kitabevi, Ankara, 2004.
3 Berna Taner ve G. Cenk Akkaya, Sermaye Piyasası Faaliyet Alanı ve Menkul Kıymetler, Detay Yayıncılık, Ankara, 2009.
4 Metin Coşkun, Para ve Sermaye Piyasaları, Kurumlar, Araçlar, Analiz, Detay Yayıncılık, Ankara, 2010.
Required Course instruments and materials

Assessment Methods
Type of Assessment Week Hours Weight(%)
mid-term exam 8 1 40
Other assessment methods
1.Oral Examination
2.Quiz
3.Laboratory exam
4.Presentation
5.Report
6.Workshop
7.Performance Project
8.Term Paper
9.Project
final exam 16 1 60

Student Work Load
Type of Work Weekly Hours Number of Weeks Work Load
Weekly Course Hours (Theoretical+Practice) 3 14 42
Outside Class
       a) Reading 8 10 80
       b) Search in internet/Library 5 6 30
       c) Performance Project 0
       d) Prepare a workshop/Presentation/Report 0
       e) Term paper/Project 0
Oral Examination 0
Quiz 0
Laboratory exam 0
Own study for mid-term exam 4 3 12
mid-term exam 1 1 1
Own study for final exam 5 3 15
final exam 1 1 1
0
0
Total work load; 181