MG11713 Current Issues in Banking and Capital Markets

4 ECTS - 3-0 Duration (T+A)- 2. Semester- 3 National Credit

Information

Unit INSTITUTE OF SOCIAL SCIENCES
BANKING AND STOCK MARKET (MASTER) (WITHOUT THESIS) (EVENING EDUCATION)
Code MG11713
Name Current Issues in Banking and Capital Markets
Term 2018-2019 Academic Year
Term Spring
Duration (T+A) 3-0 (T-A) (17 Week)
ECTS 4 ECTS
National Credit 3 National Credit
Teaching Language Türkçe
Level Belirsiz
Type Normal
Mode of study Yüz Yüze Öğretim
Catalog Information Coordinator Prof. Dr. YILDIRIM BEYAZIT ÖNAL
Course Instructor
The current term course schedule has not been prepared yet.


Course Goal / Objective

The objective of this course is to provide a better understanding of the current issues and the new developments in banking and capital markets by encouraging whole-class discussions.

Course Content

In this course, Turkish Banking system and its functions, Basel Criteria and general information on financial markets are discussed.

Course Precondition

Resources

Notes



Course Learning Outcomes

Order Course Learning Outcomes
LO01 Defines the characteristics Turkish Banking System
LO02 Evaluates the concepts of Basel Criteria in banking
LO03 Evaluates and analyses the insurance sector, real estate market, private pension system and the derivatives market
LO04 .Analyses the effects of global crisis on the world economy


Relation with Program Learning Outcome

Order Type Program Learning Outcomes Level
PLO01 - Defines the basic theoretical models and numerical methods of finance function and describes the intended use. Indicates each model´s weak and strong aspects.
PLO02 - Analyses strategic and operational plans for financial companies, and creates sufficient knowledge to find solutions to the problems that might arise.
PLO03 - Explains how to create theoretical models to be used in financial management and how to apply quantitative and statistical methods.
PLO04 - Teaches how to interpret the findings obtained by the application of theoretical models, quantitative and statistical methods used in financial management.
PLO05 - Determines the appropriate methods to solve the problems encountered in business.
PLO06 - Enables financial organizations to reach the most appropriate conclusion with an accurate analysis of the basic financial statements.
PLO07 - Encourages to take responsibility individually and/or in a team, to lead and to work effectively.
PLO08 - Is aware of the need for lifelong learning, keeps track of the latest developments in the field and constantly develops professional knowledge and skills .
PLO09 - Teaches to exploit different sources in a new field in accordance with academic rules, to synthesize and effectively present the information obtained.
PLO10 - Demonstrates an awareness of lifelong learning.
PLO11 - Questions the ways of traditional methods and if it´s needed develops and implements new approaches.
PLO12 - Has a good command of Turkish, as well as at least one another foreign language in accordance with the requirements of academic and work life.
PLO13 - Taking the goals and objectives of the banking sector, its size, resources and culture into account, determines the most appropriate approach to financial management .
PLO14 - Having a comprehensive knowledge about Capital Markets, it´s tools and institutions, such as BIST and the World Stock Exchanges and utilizes the best ways in the field.


Week Plan

Week Topic Preparation Methods
1 The relationship between the capital markets and banking system Presentation of theoretical approaches, powerpoint slides, giving current examples, solving problems on the board, discussion
2 Turkish banking system in the entry phase of the European Union Reading lecturers own course notes
3 Basel 2 and its effects to SME s Reading lecturers own course notes
4 Banking crisis and restructuring Reading lecturers own course notes
5 The private pension system, and its effects on the financial sector Reading lecturers own course notes
6 Turkish insurance system in the process of accession to the EU Reading lecturers own course notes
7 Current status of the Turkish insurance sector, the causes of the lack of growth and problems Reading lecturers own course notes
8 Mid-Term Exam
9 Examination of the Law on the Turkish real estate market and Mortgage system Reading lecturers own course notes
10 The importance of foreign investors and movement styles in BIST Reading lecturers own course notes
11 VOB Izmir Futures and Options Exchange and its importance Reading lecturers own course notes
12 Micro finance and evaluation of its importance for Turkey Reading lecturers own course notes
13 Examination of the recent global economic crisis for the United States Reading lecturers own course notes
14 Examination of the recent global crisis for EU and BRIC countries Reading lecturers own course notes
15 Overview of the topics Overview of the topics
16 Term Exams
17 Term Exams

Update Time: 07.01.2019 02:23