ENS443 Financial Markets

4 ECTS - 3-0 Duration (T+A)- 7. Semester- 3 National Credit

Information

Unit FACULTY OF ENGINEERING
INDUSTRIAL ENGINEERING PR.
Code ENS443
Name Financial Markets
Term 2017-2018 Academic Year
Semester 7. Semester
Duration (T+A) 3-0 (T-A) (17 Week)
ECTS 4 ECTS
National Credit 3 National Credit
Teaching Language Türkçe
Level Üniversite Dersi
Type Normal
Label E Elective
Mode of study Yüz Yüze Öğretim
Catalog Information Coordinator Prof. Dr. RIZVAN EROL
Course Instructor
The current term course schedule has not been prepared yet. Previous term groups and teaching staff are shown.
SERKAN NAS (Güz) (A Group) (Ins. in Charge)


Course Goal / Objective

This course aims to teach students functions of financial markets, its instruments and institutions

Course Content

Principles and concepts of a financial system, financial markets, financial instutions, financial instruments, bonds, stock market and its functons, financial risk, portfolio management, financial analysis of firms in a stock market.

Course Precondition

Resources

Notes



Course Learning Outcomes

Order Course Learning Outcomes
LO01 Uses principles regulating financial systems for financial decisions.
LO02 Investigates contributions and risks of financial institutions to financial systems.
LO03 Compares financial instruments and their pricing mechanism.
LO04 Uses basic principles of financial systems in financial operations.
LO05 Performs a financial analysis of a firm in a stock market.


Relation with Program Learning Outcome

Order Type Program Learning Outcomes Level
PLO01 - Has sufficient background on topics related to mathematics, physical sciences and industrial engineering.
PLO02 - Gains ability to use the acquired theoretical knowledge on basic sciences and industrial engineering for describing, formulating and solving an industrial engineering problem, and to choose appropriate analytical and modeling methods.
PLO03 - Gains ability to analyze a service and/or manufacturing system or a process and describes, formulates and solves its problems .
PLO04 - Gains ability to choose and apply methods and tools for industrial engineering applications.
PLO05 - Can collect and analyze data required for industrial engineering problems ,develops and evaluates alternative solutions.
PLO06 - Works efficiently and takes responsibility both individually and as a member of a multi-disciplinary team.
PLO07 - Can access information and to search/use databases and other sources for information gathering.
PLO08 - Appreciates life time learning; follows scientific and technological developments and renews himself/herself continuously.
PLO09 - Can use computer software in industrial engineering along with information and communication technologies.
PLO10 - Can use oral and written communication efficiently.
PLO11 - Uses English skills to follow developments in industrial engineering and to communicate with people in his/her profession.
PLO12 - Has a conscious understanding of professional and ethical responsibilities.
PLO13 - Has a necessary consciousness on issues related to job safety and health, legal aspects of environment and engineering practice.
PLO14 - Becomes competent on matters related to project management, entrepreneurship, innovation and has knowledge about current matters in industrial engineering.


Week Plan

Week Topic Preparation Methods
1 Basic principles and concepts of financial system Reading lecture notes and references about the subject
2 Financial markets, institutions and instruments Reading lecture notes and references about the subject
3 Theory of financial structure Reading lecture notes and references about the subject
4 Functions of currency markets, types and its instruments. Reading lecture notes and references about the subject
5 Bond markets, its functions and types Reading lecture notes and references about the subject
6 Stock markets, its functions and types Reading lecture notes and references about the subject
7 Stock markets Reading lecture notes and references about the subject
8 Midterm Exam Study for the exam
9 Public offerings to stock market Reading lecture notes and references about the subject
10 Contributions of financial institutions and their risks Reading lecture notes and references about the subject
11 Regulation of financial markets Reading lecture notes and references about the subject
12 Financial analysis of firms - methods Reading lecture notes and references about the subject
13 Financial analysis of firms - case studies I Reading lecture notes and references about the subject
14 Financial analysis of firms - case studies II Reading lecture notes and references about the subject
15 Concepts of portfolio and risk management Reading lecture notes and references about the subject
16 Final Exam and term paper study for the exam and prepare the term paper
17 Final Exam and term paper study for the exam and prepare the term paper


Assessment (Exam) Methods and Criteria

Current term shares have not yet been determined. Shares of the previous term are shown.
Assessment Type Midterm / Year Impact End of Term / End of Year Impact
1. Midterm Exam 40 16
1. Homework 60 24
General Assessment
Midterm / Year Total 100 40
1. Final Exam - 60
Grand Total - 100

Update Time: 10.10.2017 03:25