Course Detail
Course Description
Course | Code | Semester | T+P (Hour) | Credit | ECTS |
---|
TECHNICAL ANALYSIS | BAN4171270 | Fall Semester | 3+0 | 3 | 5 |
Prerequisites Courses | |
Recommended Elective Courses | |
Language of Course | Turkish |
Course Level | First Cycle (Bachelor's Degree) |
Course Type | Elective |
Course Coordinator | Prof.Dr. Serhat YÜKSEL |
Name of Lecturer(s) | Prof.Dr. Serhat YÜKSEL |
Assistant(s) | |
Aim | The main objective of this course is to have the necessary qualifications for technical analysis. |
Course Content | This course contains; Elliot Wave Theory Advance Level,Cycle Analysis in the Financial Markets,Harmonic Patterns & Fibonacci Trading Strategies Advance Level,Timing Strategies by Correlative Charts,Futures and Option Markets Trading Strategies (Viop),Fundamental Analysis of Stocks -BIST100,Global Financial Markets,Forex Basic Concepts and Trading Strategies,Short Sell-Pair Trade Strategies,Derivatives and Structured Financial Products Trading Strategies,Warrants,Trading Psychology,Major Technical İndicators-Advance,Position and risk management. |
Dersin Öğrenme Kazanımları | Teaching Methods | Assessment Methods |
1. Will be able to analyze the developments in financial markets | 10, 6, 9 | A |
1.1 Analyze the developments in stock market | 10, 9 | A |
1.2 Analyze the developments in bond market | 10, 9 | A |
1.3 Analyze the developments in forex markets | 10, 9 | A |
2. Will be able to develop strategies in financial markets | 10, 6, 9 | A |
2.1 Develop strategies in stock market | 10, 9 | A |
2.2 Develop strategies in bond market | 10, 9 | A |
2.3 Develop strategies in forex markets | 10, 9 | A |
3. Will be able to make the technical analysis in financial markets. | 10, 6, 9 | A |
3.1 Make the technical analysis in stock market | 10, 9 | A |
3.2 Make the technical analysis in bond market | 10, 9 | A |
3.3 Make the technical analysis in forex market | 10, 9 | A |
4. Will be able to define the risks in financial markets | 10, 6, 9 | A |
4.1 Define the risks in stock market | 10, 9 | A |
4.2 Define the risks in bond market
| 10, 9 | A |
4.3 Define the risks in forex market | 10 | A |
5. Will be able to risk management in finansal makets | 10, 6, 9 | A |
5.1 Manage the risks in stock market | 10, 9 | A |
5.2 Manage the risks in bond market | 10, 9 | A |
5.3 Manage the risks in forex market | 10, 9 | A |
Teaching Methods: | 10: Discussion Method, 6: Experiential Learning, 9: Lecture Method |
Assessment Methods: | A: Traditional Written Exam |
Course Outline
Order | Subjects | Preliminary Work |
---|
1 | Elliot Wave Theory Advance Level | Reading relevant sources |
2 | Cycle Analysis in the Financial Markets | Reading relevant sources |
3 | Harmonic Patterns & Fibonacci Trading Strategies Advance Level | Reading relevant sources |
4 | Timing Strategies by Correlative Charts | Reading relevant sources |
5 | Futures and Option Markets Trading Strategies (Viop) | Reading relevant sources |
6 | Fundamental Analysis of Stocks -BIST100 | Reading relevant sources |
7 | Global Financial Markets | Reading relevant sources |
8 | Forex Basic Concepts and Trading Strategies | Reading relevant sources |
9 | Short Sell-Pair Trade Strategies | Reading relevant sources |
10 | Derivatives and Structured Financial Products Trading Strategies | Reading relevant sources |
11 | Warrants | Reading relevant sources |
12 | Trading Psychology | Reading relevant sources |
13 | Major Technical İndicators-Advance | Reading relevant sources |
14 | Position and risk management | Reading relevant sources |
Resources |
1. Akçay, M.B., Kasap, M., Doğuç, T. and Kasap, G., 2021. Türev Piyasaları Ve Yapılandırılmış Ürünler. Scala Yayınıncılık
2. "Finansal Matematik ve Risk Yönetimi" (2023) - Aydın Dabak, Deniz Karaçay ve Gürhan
Additional Readings
1. İşletme Finansı" (2023) - Cengiz Erol ve Selçuk Kendirli
2. Richard A. Brealey, Stewart C. Myers, Alan J. Marcus (2023) Çev.: Ünal Bozkurt, Türkan Arıkan, Hatice Doğukanlı, İşletme Finansının Temelleri, Literatür Yayıncılık,
İstanbul
|
Course Contribution to Program Qualifications
Course Contribution to Program Qualifications |
No | Program Qualification | Contribution Level |
1 | 2 | 3 | 4 | 5 |
1 | Defines the basic concepts of banking and insurance. | | | X | | |
2 | Describes the mathematical and statistical methods of banking and insurance | | | X | | |
3 | Uses the computer programs needed in banking and insurance | | X | | | |
4 | Uses the professional foreign language proficiency required in banking and insurance | | | | | |
5 | Prepares the project and manage the teamworks | | | X | | |
6 | Uses the theoretical and practical knowledge of the banking and insurance. | | X | | | |
7 | Constantly evaluates itself by following the developments in science and technology with the importance of lifelong learning | | | X | | |
8 | Uses verbal and written communication skills using the latest technologies and at least one foreign language | | | | | |
9 | Accepts ethical values and social rights and applies them | | X | | | |
10 | Analyzes and discusses using the data of banking and insurance | | | X | | |
11 | Uses the information on the other disciplines that can provide support for theoretical studies in banking and insurance (economics, law, business, etc.) | | X | | | |
12 | Offers micro and macro suggestions on the problems in the banking and insurance sector | | | X | | |
Assessment Methods
Contribution Level | Absolute Evaluation |
Rate of Midterm Exam to Success | | 40 |
Rate of Final Exam to Success | | 60 |
Total | | 100 |
ECTS / Workload Table |
Activities | Number of | Duration(Hour) | Total Workload(Hour) |
Course Hours | 14 | 3 | 42 |
Guided Problem Solving | 5 | 4 | 20 |
Resolution of Homework Problems and Submission as a Report | 7 | 2 | 14 |
Term Project | 7 | 3 | 21 |
Presentation of Project / Seminar | 1 | 2 | 2 |
Quiz | 1 | 6 | 6 |
Midterm Exam | 1 | 15 | 15 |
General Exam | 1 | 30 | 30 |
Performance Task, Maintenance Plan | 0 | 0 | 0 |
Total Workload(Hour) | 150 |
Dersin AKTS Kredisi = Toplam İş Yükü (Saat)/30*=(150/30) | 5 |
ECTS of the course: 30 hours of work is counted as 1 ECTS credit. |
Detail Informations of the Course
Course Description
Course | Code | Semester | T+P (Hour) | Credit | ECTS |
---|
TECHNICAL ANALYSIS | BAN4171270 | Fall Semester | 3+0 | 3 | 5 |
Prerequisites Courses | |
Recommended Elective Courses | |
Language of Course | Turkish |
Course Level | First Cycle (Bachelor's Degree) |
Course Type | Elective |
Course Coordinator | Prof.Dr. Serhat YÜKSEL |
Name of Lecturer(s) | Prof.Dr. Serhat YÜKSEL |
Assistant(s) | |
Aim | The main objective of this course is to have the necessary qualifications for technical analysis. |
Course Content | This course contains; Elliot Wave Theory Advance Level,Cycle Analysis in the Financial Markets,Harmonic Patterns & Fibonacci Trading Strategies Advance Level,Timing Strategies by Correlative Charts,Futures and Option Markets Trading Strategies (Viop),Fundamental Analysis of Stocks -BIST100,Global Financial Markets,Forex Basic Concepts and Trading Strategies,Short Sell-Pair Trade Strategies,Derivatives and Structured Financial Products Trading Strategies,Warrants,Trading Psychology,Major Technical İndicators-Advance,Position and risk management. |
Dersin Öğrenme Kazanımları | Teaching Methods | Assessment Methods |
1. Will be able to analyze the developments in financial markets | 10, 6, 9 | A |
1.1 Analyze the developments in stock market | 10, 9 | A |
1.2 Analyze the developments in bond market | 10, 9 | A |
1.3 Analyze the developments in forex markets | 10, 9 | A |
2. Will be able to develop strategies in financial markets | 10, 6, 9 | A |
2.1 Develop strategies in stock market | 10, 9 | A |
2.2 Develop strategies in bond market | 10, 9 | A |
2.3 Develop strategies in forex markets | 10, 9 | A |
3. Will be able to make the technical analysis in financial markets. | 10, 6, 9 | A |
3.1 Make the technical analysis in stock market | 10, 9 | A |
3.2 Make the technical analysis in bond market | 10, 9 | A |
3.3 Make the technical analysis in forex market | 10, 9 | A |
4. Will be able to define the risks in financial markets | 10, 6, 9 | A |
4.1 Define the risks in stock market | 10, 9 | A |
4.2 Define the risks in bond market
| 10, 9 | A |
4.3 Define the risks in forex market | 10 | A |
5. Will be able to risk management in finansal makets | 10, 6, 9 | A |
5.1 Manage the risks in stock market | 10, 9 | A |
5.2 Manage the risks in bond market | 10, 9 | A |
5.3 Manage the risks in forex market | 10, 9 | A |
Teaching Methods: | 10: Discussion Method, 6: Experiential Learning, 9: Lecture Method |
Assessment Methods: | A: Traditional Written Exam |
Course Outline
Order | Subjects | Preliminary Work |
---|
1 | Elliot Wave Theory Advance Level | Reading relevant sources |
2 | Cycle Analysis in the Financial Markets | Reading relevant sources |
3 | Harmonic Patterns & Fibonacci Trading Strategies Advance Level | Reading relevant sources |
4 | Timing Strategies by Correlative Charts | Reading relevant sources |
5 | Futures and Option Markets Trading Strategies (Viop) | Reading relevant sources |
6 | Fundamental Analysis of Stocks -BIST100 | Reading relevant sources |
7 | Global Financial Markets | Reading relevant sources |
8 | Forex Basic Concepts and Trading Strategies | Reading relevant sources |
9 | Short Sell-Pair Trade Strategies | Reading relevant sources |
10 | Derivatives and Structured Financial Products Trading Strategies | Reading relevant sources |
11 | Warrants | Reading relevant sources |
12 | Trading Psychology | Reading relevant sources |
13 | Major Technical İndicators-Advance | Reading relevant sources |
14 | Position and risk management | Reading relevant sources |
Resources |
1. Akçay, M.B., Kasap, M., Doğuç, T. and Kasap, G., 2021. Türev Piyasaları Ve Yapılandırılmış Ürünler. Scala Yayınıncılık
2. "Finansal Matematik ve Risk Yönetimi" (2023) - Aydın Dabak, Deniz Karaçay ve Gürhan
Additional Readings
1. İşletme Finansı" (2023) - Cengiz Erol ve Selçuk Kendirli
2. Richard A. Brealey, Stewart C. Myers, Alan J. Marcus (2023) Çev.: Ünal Bozkurt, Türkan Arıkan, Hatice Doğukanlı, İşletme Finansının Temelleri, Literatür Yayıncılık,
İstanbul
|
Course Contribution to Program Qualifications
Course Contribution to Program Qualifications |
No | Program Qualification | Contribution Level |
1 | 2 | 3 | 4 | 5 |
1 | Defines the basic concepts of banking and insurance. | | | X | | |
2 | Describes the mathematical and statistical methods of banking and insurance | | | X | | |
3 | Uses the computer programs needed in banking and insurance | | X | | | |
4 | Uses the professional foreign language proficiency required in banking and insurance | | | | | |
5 | Prepares the project and manage the teamworks | | | X | | |
6 | Uses the theoretical and practical knowledge of the banking and insurance. | | X | | | |
7 | Constantly evaluates itself by following the developments in science and technology with the importance of lifelong learning | | | X | | |
8 | Uses verbal and written communication skills using the latest technologies and at least one foreign language | | | | | |
9 | Accepts ethical values and social rights and applies them | | X | | | |
10 | Analyzes and discusses using the data of banking and insurance | | | X | | |
11 | Uses the information on the other disciplines that can provide support for theoretical studies in banking and insurance (economics, law, business, etc.) | | X | | | |
12 | Offers micro and macro suggestions on the problems in the banking and insurance sector | | | X | | |
Assessment Methods
Contribution Level | Absolute Evaluation |
Rate of Midterm Exam to Success | | 40 |
Rate of Final Exam to Success | | 60 |
Total | | 100 |
Numerical Data
Ekleme Tarihi: 09/10/2023 - 08:31Son Güncelleme Tarihi: 09/10/2023 - 08:38
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