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COURSE INFORMATION
Course CodeCourse TitleL+P HourSemesterECTS
BANS 224ASSET MANAGEMENT2 + 04th Semester2

COURSE DESCRIPTION
Course Level Associate's Degree
Course Type Elective
Course Objective An important role in banking and management of the portfolio of the students to be knowledgeable about
Course Content The definition of the portfolio, the portfolio management concept, the risks involved in portfolio management, risk minimization, asset management theories
Prerequisites No the prerequisite of lesson.
Corequisite No the corequisite of lesson.
Mode of Delivery Face to Face

COURSE LEARNING OUTCOMES
1Create a Portfolio will have knowledge of
2Understands the relationship between risk and return and portfolio

COURSE'S CONTRIBUTION TO PROGRAM
PO 01PO 02PO 03PO 04PO 05PO 06PO 07PO 08PO 09PO 10PO 11PO 12PO 13PO 14
LO 0013 2           
LO 0023 2           
Sub Total6 4           
Contribution30200000000000

ECTS ALLOCATED BASED ON STUDENT WORKLOAD BY THE COURSE DESCRIPTION
ActivitiesQuantityDuration (Hour)Total Work Load (Hour)
Course Duration (14 weeks/theoric+practical)14228
Assignments212
Mid-terms11010
Final examination11212
Total Work Load

ECTS Credit of the Course






52

2
COURSE DETAILS
 Select Year   


 Course TermNoInstructors
Details 2020-2021 Spring1SAYNUR ÇİÇEK
Details 2019-2020 Spring1SAYNUR ÇİÇEK
Details 2018-2019 Spring1SAYNUR ÇİÇEK
Details 2017-2018 Spring2SAYNUR ÇİÇEK
Details 2016-2017 Spring2SAYNUR ÇİÇEK
Details 2015-2016 Spring2SAYNUR ÇİÇEK
Details 2014-2015 Spring2SAYNUR ÇİÇEK
Details 2013-2014 Spring2SAYNUR ÇİÇEK


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Course Details
Course Code Course Title L+P Hour Course Code Language Of Instruction Course Semester
BANS 224 ASSET MANAGEMENT 2 + 0 1 Turkish 2020-2021 Spring
Course Coordinator  E-Mail  Phone Number  Course Location Attendance
Lecturer SAYNUR ÇİÇEK scicek@pau.edu.tr BUMYO B0001 %
Goals An important role in banking and management of the portfolio of the students to be knowledgeable about
Content The definition of the portfolio, the portfolio management concept, the risks involved in portfolio management, risk minimization, asset management theories
Topics
WeeksTopics
1 General concepts related to portfolio
2 Portfolio Management
3 Portfolio management of the risks involved
4 Portfolio management of the risks involved
5 Portfolio management of the risks involved
6 Investment Tools, Risk and Return Calculations
7 Investment Tools, Risk and Return Calculations
8 portfolio management theories
9 Traditional Portfolio Management
10 Modern Portfolio Management
11 Index (Factor) Models
12 Using Fundamental and Technical Analysis in Portfolio Construction
13 Portfolio Management Strategies
14 Overall Rating
Materials
Materials are not specified.
Resources
Course Assessment
Assesment MethodsPercentage (%)Assesment Methods Title
Final Exam60Final Exam
Midterm Exam40Midterm Exam
L+P: Lecture and Practice
PQ: Program Learning Outcomes
LO: Course Learning Outcomes