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Course Detail

Course Description

CourseCodeSemesterT+P (Hour)CreditECTS
TECHNICAL ANALYSIS-Fall Semester3+035
Course Program
Prerequisites Courses
Recommended Elective Courses
Language of CourseTurkish
Course LevelFirst Cycle (Bachelor's Degree)
Course TypeElective
Course CoordinatorProf.Dr. Serhat YÜKSEL
Name of Lecturer(s)Prof.Dr. Serhat YÜKSEL
Assistant(s)
AimThe main objective of this course is to have the necessary qualifications for technical analysis.
Course ContentThis 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 KazanımlarıTeaching MethodsAssessment Methods
1. Will be able to analyze the developments in financial markets10, 6, 9A
1.1 Analyze the developments in stock market10, 9A
1.2 Analyze the developments in bond market10, 9A
1.3 Analyze the developments in forex markets10, 9A
2. Will be able to develop strategies in financial markets10, 6, 9A
2.1 Develop strategies in stock market10, 9A
2.2 Develop strategies in bond market10, 9A
2.3 Develop strategies in forex markets10, 9A
3. Will be able to make the technical analysis in financial markets.10, 6, 9A
3.1 Make the technical analysis in stock market10, 9A
3.2 Make the technical analysis in bond market10, 9A
3.3 Make the technical analysis in forex market10, 9A
4. Will be able to define the risks in financial markets10, 6, 9A
4.1 Define the risks in stock market10, 9A
4.2 Define the risks in bond market 10, 9A
4.3 Define the risks in forex market10A
5. Will be able to risk management in finansal makets10, 6, 9A
5.1 Manage the risks in stock market10, 9A
5.2 Manage the risks in bond market10, 9A
5.3 Manage the risks in forex market10, 9A
Teaching Methods:10: Discussion Method, 6: Experiential Learning, 9: Lecture Method
Assessment Methods:A: Traditional Written Exam

Course Outline

OrderSubjectsPreliminary Work
1Elliot Wave Theory Advance LevelReading relevant sources
2Cycle Analysis in the Financial MarketsReading relevant sources
3Harmonic Patterns & Fibonacci Trading Strategies Advance LevelReading relevant sources
4Timing Strategies by Correlative ChartsReading relevant sources
5Futures and Option Markets Trading Strategies (Viop)Reading relevant sources
6Fundamental Analysis of Stocks -BIST100Reading relevant sources
7Global Financial MarketsReading relevant sources
8Forex Basic Concepts and Trading StrategiesReading relevant sources
9Short Sell-Pair Trade StrategiesReading relevant sources
10Derivatives and Structured Financial Products Trading StrategiesReading relevant sources
11WarrantsReading relevant sources
12Trading PsychologyReading relevant sources
13Major Technical İndicators-AdvanceReading relevant sources
14Position and risk managementReading 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
NoProgram QualificationContribution Level
12345
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 LevelAbsolute Evaluation
Rate of Midterm Exam to Success 50
Rate of Final Exam to Success 50
Total 100
ECTS / Workload Table
ActivitiesNumber ofDuration(Hour)Total Workload(Hour)
Course Hours14342
Guided Problem Solving5420
Resolution of Homework Problems and Submission as a Report7214
Term Project7321
Presentation of Project / Seminar122
Quiz166
Midterm Exam11515
General Exam13030
Performance Task, Maintenance Plan000
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

CourseCodeSemesterT+P (Hour)CreditECTS
TECHNICAL ANALYSIS-Fall Semester3+035
Course Program
Prerequisites Courses
Recommended Elective Courses
Language of CourseTurkish
Course LevelFirst Cycle (Bachelor's Degree)
Course TypeElective
Course CoordinatorProf.Dr. Serhat YÜKSEL
Name of Lecturer(s)Prof.Dr. Serhat YÜKSEL
Assistant(s)
AimThe main objective of this course is to have the necessary qualifications for technical analysis.
Course ContentThis 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 KazanımlarıTeaching MethodsAssessment Methods
1. Will be able to analyze the developments in financial markets10, 6, 9A
1.1 Analyze the developments in stock market10, 9A
1.2 Analyze the developments in bond market10, 9A
1.3 Analyze the developments in forex markets10, 9A
2. Will be able to develop strategies in financial markets10, 6, 9A
2.1 Develop strategies in stock market10, 9A
2.2 Develop strategies in bond market10, 9A
2.3 Develop strategies in forex markets10, 9A
3. Will be able to make the technical analysis in financial markets.10, 6, 9A
3.1 Make the technical analysis in stock market10, 9A
3.2 Make the technical analysis in bond market10, 9A
3.3 Make the technical analysis in forex market10, 9A
4. Will be able to define the risks in financial markets10, 6, 9A
4.1 Define the risks in stock market10, 9A
4.2 Define the risks in bond market 10, 9A
4.3 Define the risks in forex market10A
5. Will be able to risk management in finansal makets10, 6, 9A
5.1 Manage the risks in stock market10, 9A
5.2 Manage the risks in bond market10, 9A
5.3 Manage the risks in forex market10, 9A
Teaching Methods:10: Discussion Method, 6: Experiential Learning, 9: Lecture Method
Assessment Methods:A: Traditional Written Exam

Course Outline

OrderSubjectsPreliminary Work
1Elliot Wave Theory Advance LevelReading relevant sources
2Cycle Analysis in the Financial MarketsReading relevant sources
3Harmonic Patterns & Fibonacci Trading Strategies Advance LevelReading relevant sources
4Timing Strategies by Correlative ChartsReading relevant sources
5Futures and Option Markets Trading Strategies (Viop)Reading relevant sources
6Fundamental Analysis of Stocks -BIST100Reading relevant sources
7Global Financial MarketsReading relevant sources
8Forex Basic Concepts and Trading StrategiesReading relevant sources
9Short Sell-Pair Trade StrategiesReading relevant sources
10Derivatives and Structured Financial Products Trading StrategiesReading relevant sources
11WarrantsReading relevant sources
12Trading PsychologyReading relevant sources
13Major Technical İndicators-AdvanceReading relevant sources
14Position and risk managementReading 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
NoProgram QualificationContribution Level
12345
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 LevelAbsolute Evaluation
Rate of Midterm Exam to Success 50
Rate of Final Exam to Success 50
Total 100

Numerical Data

Student Success

Ekleme Tarihi: 09/10/2023 - 08:31Son Güncelleme Tarihi: 09/10/2023 - 08:38