Learning Outcomes |
PO |
MME |
The students who succeeded in this course: |
|
|
LO-1 |
Can explain the theories about finance. |
PO-3 3. The skill to think analytic and solve problems in nationals and international matters in banking and finance field PO-5 5. Having a vision in market and the skill to be able to take and apply strategic decisions
|
Examination |
LO-2 |
Have detailed information on portfolio management and be capable of managing a portfolio. |
PO-3 3. The skill to think analytic and solve problems in nationals and international matters in banking and finance field PO-5 5. Having a vision in market and the skill to be able to take and apply strategic decisions
|
Examination |
LO-3 |
Can account the cost of capital. |
PO-3 3. The skill to think analytic and solve problems in nationals and international matters in banking and finance field PO-8 8. The skill to be able to interpret and have information about the banking and finance regulations.
|
Examination |
PO: Programme Outcomes MME:Method of measurement & Evaluation |
Course Contents |
Capital structure, cost of capital, dividend policy, financial markets, bond and stock valuation, calculation of risk and return, portfolio theory, efficient market hypothesis, technical and fundamental analysis, behavioral finance.
|
Weekly Course Content |
Week |
Subject |
Learning Activities and Teaching Methods |
1 |
Capital structure |
Lecturing, question and answer, brain storming
|
2 |
Cost of capital |
Lecturing, question and answer, brain storming
|
3 |
Dividend policy |
Lecturing, question and answer, brain storming
|
4 |
Money and capital markets |
Lecturing, question and answer, brain storming
|
5 |
Capital market activities and financial institutions in Turkey |
Lecturing, question and answer, brain storming
|
6 |
Securities exchange in Turkey and stock exchange transactions |
Lecturing, question and answer, brain storming
|
7 |
Stock valuation |
Lecturing, question and answer, brain storming
|
8 |
mid-term exam |
|
9 |
Bond valuation |
Lecturing, question and answer, brain storming
|
10 |
Risk and sources of risk |
Lecturing, question and answer, brain storming
|
11 |
Portfolio management |
Lecturing, question and answer, brain storming
|
12 |
Efficient market hypothesis |
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 |
Behavioral finance |
Lecturing, question and answer, brain storming
|
16 |
final exam |
|
Recommend Course Book / Supplementary Book/Reading |
1 |
M. Baha Karan, Yatırım Analizi ve Portföy Yönetimi, Gazi Kitabevi, Ankara, 2004. |
2 |
Öztin Akgüç, Finansal Yönetim, Avcıaol Basım Yayın, İstanbul, 1998. |
Required Course instruments and materials |
Class and projection |