GAZI UNIVERSITY INFORMATION PACKAGE - 2019 ACADEMIC YEAR

COURSE DESCRIPTION
FINANCIAL MARKETS AND CORPORATE MANAGEMENT/BNK-302
Course Title: FINANCIAL MARKETS AND CORPORATE MANAGEMENT
Credits 3 ECTS 5
Semester 6 Compulsory/Elective Compulsory
COURSE INFO
 -- LANGUAGE OF INSTRUCTION
  Turkish
 -- NAME OF LECTURER(S)
  Asst. Prof. Abdurrahman OKUR
 -- WEB SITE(S) OF LECTURER(S)
  http://www.websitem.gazi.edu.tr/site/okur
 -- EMAIL(S) OF LECTURER(S)
  okur@gazi.edu.tr
 -- LEARNING OUTCOMES OF THE COURSE UNIT
The principles in the regulating of financial system are used in the evaluation of relevant legislation
it examines financial institutions that make money and do not make money contribute to the financial system and examine the risks they face.
Compare the instruments used in financial markets and their prices.
It uses the basic principles of the financial system in financial transactions.
It examines the functioning of financial markets and the financial system.




 -- MODE OF DELIVERY
  This course will only face-to-face training.
 -- PREREQUISITES AND CO-REQUISITES
  There is no prerequisite or co-requisite for this course.
 -- RECOMMENDED OPTIONAL PROGRAMME COMPONENTS
  There are no lessons related with the suggested lesson.
 --COURSE CONTENT
1. Week  The principles and elements of the financial system
2. Week  Financial markets, financial institutions and financial instruments
3. Week  The theory of financial structure
4. Week  The functions, types, institutions and financial instruments of the money market
5. Week  The functions and types of bond market
6. Week  Public offering, operating institutions and financial instruments in the bond market
7. Week  The functions and types of the stock market
8. Week  Mid-term exam
9. Week  Shares market and over-the-counter markets
10. Week  Public offering on the stock market
11. Week  The benefits and risks of financial institutions
12. Week  Financial institutions that make money
13. Week  Non-monetary financial institutions
14. Week  The regulation of the financial system
15. Week  The supervision of the financial system
16. Week  Final exam
 -- RECOMMENDED OR REQUIRED READING
  Money, Banking and Financial Markets, Frederic S. Mishkin, 2012.
 -- PLANNED LEARNING ACTIVITIES AND TEACHING METHODS
  Through narration
 -- WORK PLACEMENT(S)
  Absent
 -- ASSESSMENT METHODS AND CRITERIA
 
Quantity
Percentage
 Mid-terms
1
40
 Assignment
0
0
 Exercises
0
0
 Projects
0
0
 Practice
0
0
 Quiz
0
0
 Contribution of In-term Studies to Overall Grade  
40
 Contribution of Final Examination to Overall Grade  
60
 -- WORKLOAD
 Efficiency  Total Week Count  Weekly Duration (in hour)  Total Workload in Semester
 Theoretical Study Hours of Course Per Week
14
3
42
 Practising Hours of Course Per Week
0
 Reading
7
3
21
 Searching in Internet and Library
7
3
21
 Designing and Applying Materials
0
 Preparing Reports
0
 Preparing Presentation
0
 Presentation
0
 Mid-Term and Studying for Mid-Term
7
3
21
 Final and Studying for Final
7
3
21
 Other
0
 TOTAL WORKLOAD: 
126
 TOTAL WORKLOAD / 25: 
5.04
 ECTS: 
5
 -- COURSE'S CONTRIBUTION TO PROGRAM
NO
PROGRAM LEARNING OUTCOMES
1
2
3
4
5
1Use mathematical and graphical tools in the field of insuranceX
2Understand the basic concepts and assumptions related to the science of insuranceX
3Use methods, techniques and tools necessary for the analysis and modelling of economic data to ensure and evaluate the obtained resultsX
4Describe the structure and properties of the markets in economyX
5Make predictions about the relationships between economic and financial variablesX
6Analyze and comment on current economic eventsX
7Comment on Insurance SectorX
8Analyze the insurance companies and the insurance sector within the framework of economic, financial and accounting dataX
9Have the ability to develop solutions for social problemsX
10Have the ability to do inter-disciplinary research and studyX