Information Package / Course Catalogue
Capital Market Analysis and Portfolio Management
Course Code: İŞLT403
Course Type: Required
Couse Group: First Cycle (Bachelor's Degree)
Education Language: Turkish
Work Placement: N/A
Theory: 3
Prt.: 0
Credit: 3
Lab: 0
ECTS: 5
Objectives of the Course

The financial markets have gained increasing importance during the globalization process. A large number of instruments are traded in these markets. The aim of this course is to teach the students scientific techniques that they would use when they invest in these instruments and instill the mindset of a rational investor in them.

Course Content

Financial Markets, Capital Markets, Equity Capital Markets, Derivatives Markets, CMB, ISE, VOB Securities concept, portfolio definition, the traditional portfolio theory and modern portfolio theory , efficient markets hypothesis, introduction to Markowitz's portfolio theory , measurement of return and risk of a portfolio, introduction to capital asset pricing model(CAPM) ,Arbitrage Pricing Model, Portfolio performance evaluation, active - passive portfolio management, international diversification.

Name of Lecturer(s)
Learning Outcomes
1.To be able to enable to information on investment products and investment institutions.
2.To be able to analyze the risk and the return of securities.
3.To be able to account Creating a portfolio, compute the return on portfolio and portfolio risk.
4.To be able to Perform fundamental analysis and technical analysis.
5.
Recommended or Required Reading
9.Arman TEVFİK ve Gürman TEVFİK, Menkul Değer Yatırımlarına Giriş, Ekonomik Araştırmalar Merkezi Yayınları, İstanbul, 1999
Weekly Detailed Course Contents
Week 1 - Theoretical
Introduction to Securities Analysis Course
Week 2 - Theoretical
Time Value of Money: Future value and future value concepts annüitelerin, Fundamental Analysis
Week 3 - Theoretical
Fundamental Analysis
Week 4 - Theoretical
Valuation of Shares
Week 5 - Theoretical
Valuation of Bonds
Week 6 - Theoretical
Measurement of Risk and Return Analysis of Securities
Week 7 - Theoretical
Measurement of Risk and Return Analysis Calculations Securities
Week 8 - Theoretical
Modern Portfolio Approach
Week 9 - Intermediate Exam
Midterms
Week 10 - Intermediate Exam
Midterms
Week 11 - Theoretical
Traditional Approach to Portfolio
Week 12 - Theoretical
Capital Asset Pricing Model and Arbitrage Pricing Model
Week 13 - Theoretical
Technical Analysis
Week 14 - Theoretical
Valuation and Other Selected Methods of Analysis
Week 15 - Theoretical
Valuation of money market instruments
Assessment Methods and Criteria
Type of AssessmentCountPercent
Midterm Examination1%40
Final Examination1%60
Workload Calculation
ActivitiesCountPreparationTimeTotal Work Load (hours)
Lecture - Theory130339
Individual Work130226
Midterm Examination127128
Final Examination131132
TOTAL WORKLOAD (hours)125
Contribution of Learning Outcomes to Programme Outcomes