It has been determined to introduce the Derivative Markets, which is an important market of the Capital Markets, to teach the details of the derivative products traded in these markets, their effective use, and the prices and buying and selling methods of these products in the simplest way.
Prerequisite(s)
-
Corequisite(s)
Derivative Markets And Derivative Products
Special Requisite(s)
The minimum qualifications that are expected from the students who want to attend the course.(Examples: Foreign language level, attendance, known theoretical pre-qualifications, etc.)
Instructor(s)
Lecturer Esra Erik Akyol
Course Assistant(s)
Schedule
MONDAY, 09:00-10:50, İNCİRLİ, 2A10
Office Hour(s)
THURSDAY, 09:00-10:50, İNCİRLİ, 4B01
Teaching Methods and Techniques
-Lecture, Presentation and Discussion
Principle Sources
- Prof. Dr. Nurgül CHAMBERS, Derivative Markets, 4th Edition, Istanbul: Beta Publishing, 2012.
- Dr. Lecturer Member Beyhan YASLIDAĞ, Derivative Markets and Derivative Instruments, 2nd Edition, Seçkin Publishing, July 2021.
- Robert L. McDonald, Derivates Markets, Second Edition, Amazon Publishing, 2005.
- Prof. Dr. Burak SALTOĞLU, Derivatives, Markets and Risk Management, SPL: Licensing Exams, Study Notes, 2023.
Other Sources
- Lecture Notes,
- Related Reports,
- Related Articles,
- Relevant Official Web Pages,
Course Schedules
Week
Contents
Learning Methods
1. Week
Financial Markets, Risk Types and Risk Management
Lecture - Discussion
2. Week
Basic Concepts Regarding Derivative Products
Lecture - Discussion
3. Week
Introduction to Derivatives Markets
Lecture - Discussion
4. Week
Futures Contracts-Forward Contracts-Introduction
Lecture - Discussion
5. Week
Pricing in Forward Contracts
Lecture - Discussion
6. Week
Futures Contracts-Futures Contracts-Introduction
Lecture - Discussion
7. Week
Pricing in Futures Contracts
Lecture - Discussion
8. Week
MIDTERM EXAM
MIDTERM EXAM
9. Week
Swap Contracts
Lecture - Discussion
10. Week
Option Contracts
Lecture - Discussion
11. Week
Other Derivative Products
Lecture - Discussion
12. Week
Use of Derivative Products in Risk Management
Lecture - Discussion
13. Week
Derivative Instrument Strategies
Lecture - Discussion
14. Week
Futures and Options Market-VIOP
Lecture - Discussion
15. Week
FINAL EXAM
FINAL EXAM
16. Week
17. Week
Assessments
Evaluation tools
Quantity
Weight(%)
Midterm(s)
1
40
Final Exam
1
60
Program Outcomes
PO-1
To know the responsibility about the position of their job in the field of banks and insurance companies.
PO-2
To explain the importance of research and development issues of their related field by means of individual or group studies.
PO-3
To understand the importance of follow-up the legislation in the field of profession.
PO-4
To express the importance of the banking for national economy and businesses.
PO-5
To do work of their related field by using computer. Store information and using stored information.
PO-6
To take responsibility in the management levels.
PO-7
Finding practical solutions against the problems to business activities and giving the right decision.
PO-8
Assuming responsibility in finance and banking sector and after providing legal terms opened his/her own office on behalf of, train qualified manpower.
PO-9
Analysis and interpretation balance sheet and income statement of a business.
PO-10
To make Bank and insurance accounting.
PO-11
Equipped in terms of customer relations and human resources
PO-12
To receive general information in banking and insurance and be informed about the bank and insurance law.
PO-13
To know camputer programmes well about of the profession.
PO-14
To have knowledge about professional English in banking and insurance.
Learning Outcomes
LO-1
Having knowledge about financial markets and futures markets,
LO-2
Knowing the basic types of derivative contracts,
LO-3
To monitor the functioning of derivative markets,
LO-4
To be able to analyze derivative products and derivative markets,
LO-5
To question the function of derivative products in risk management,