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About the Programme Academic Staff Program Qualifications Lessons Matrix of Course & Program Qualifications Turkish Qualifications Framework (TQF) TQF & Program Qualifications
  1. Faculty of Economics and Administrative Sciences
  2. Department of Business Administration
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  4. International Finance
  5. Description
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Last Updated: 02/03/2026

Code - Course Title Compulsory/Elective Laboratory + Practice ECTS
FİN407 - International Finance VII. SEMESTER 2 +0 5.0
Language of Instruction Türkçe
Course Type Area Elective Courses
Course Instructor(s) PROF. DR. BENGÜL GÜLÜMSER KAYTANCI
Mode of Delivery The mode of delivery of this course is Face to face
Place of Delivery
Used Educational Platforms
Prerequisites There is no prerequisite or co-requisite for this course.
Courses Recomended There is no recommended optional programme component for this course.
Recommended Resources Aren, Sadun. (1998). İstihdam Para ve İktisadi Politika, Ankara: Savaş Yayınları. 11. Baskı.Eğilmez, Mahfi (2002). IMF ve Türkiye,Mishkin, Frederic S. . (2006). Para, Bankacılık, ve Finansal Piyasalar iktisadı, 8. baskıdan Çeviri, Akademi Yayıncılık-2011, Çev. Şahin, Serçin ve diğerleri.Seyidoğlu, Halil (2003). Uluslararası İktisat Teori Politika ve Uygulama, İstanbul: Güzem Yayınları No: 20, 15. Baskı.Uzunoğlu, Sadi (2000). Para ve Döviz Piyasaları, İstanbul, 1. Basım.Eğilmez, Mahfi (2013). Makroekonomi, Remzi Kitabevi, 5. basım Çörtük, Orcan (2006). TÜRKYE-IMF İLİŞKİLERİ VE İLİŞKİLERİN HESAP BAZINDA İŞLEYİŞİ, TCMB Uzmanlık Yeterlik Tezi.Mahlebiciler, Özge (2006). TÜRKYE CUMHURYET MERKEZ BANKASI’NIN REZERV YÖNETİM POLTKALARI VE KRED MEKTUPLU DÖVZ TEVDAT HESAPLARININ ANALZi, TCMB Uzmanlık Yeterlilik TeziÖzdemir, K. Azim ve Şahinbeyoğlu, Gülbin (2000). ALTERNATİF DÖVİZ KURU SİSTEMLERİ, TCMB Araştırma Genel Müdürlüğü Tartışma TebliğiKILAVUZ, Emine vd. YÜKSELEN EKONOMİLERDE DÖVİZ KURU REJİMİ SEÇİMİ: AMPİRİK BİR ANALİZ, Sosyal Bilimler Enstitüsü Dergisi Sayı: 30 Yıl: 2011/1 (47-109 s.)YANAR, Rüstem (2008). GELİŞMEKTE OLAN ÜLKELERDE DÖVİZ KURU REJİMİ TERCİHİ VE MAKRO EKONOMİK PERFORMANS, ÇUKUROVA ÜNİVERSİTESİ SOSYAL BİLİMLER ENSTİTÜSÜ İKTİSAT ANA BİLİM DALI, DOKTORA TEZİTCMB “Ödemeler Dengesi İstatistikleri”ne İlişkin Yöntemsel Açıklama» İstatistik Genel Müdürlüğü BAŞCI, E. Savaş (2003). VADELİ İŞLEM PİYASASI ARACI OLARAK SWAP’IN İŞLEYİŞİ VE FİNANSAL PİYASALARDAKİ KULLANIMLARI, Gazi Üniversitesi Endüstriyel Sanatlar Eğitim Fakültesi Dergisi Y. 11, No. 12,S. 18-33 ,
Work Placement N/A
Aims of the Course

Weeks Learning Outcomes Topics Teaching Methods
Week - 1 International Monetary System
Week - 2 International Monetary System
Week - 3 International Monetary Fund
Week - 4 Balance of Payment
Week - 5 Understanding Interest Rates
Week - 6 Exchange Rate Markets and Determination of Exchange Rate
Week - 7 Risk Management a) Interest Rate Risk and Management a) Exchange Rate Risk and Management
Week - 8 The role of financial derivatives to portfolio management.
Week - 9 The role of financial derivatives to portfolio management.
Week - 10 The role of financial derivatives to portfolio management.
Week - 11 Financial Derivatives and Risk Management
Week - 12 International financial Markets a) Euromoney markets b) Eurobond Markets
Week - 13 International Portfolio Investments
Week - 14 Direct Foreign Capital Investments International Banking

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Assessment Method and Passing Requirements
Quamtity Percentage (%)
1.Midterm Exam 1 40
Final Exam 1 60
Toplam (%) 100

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