Banking and Applied Finance Master Program

Study mode:On campus Study type:Full-time Languages: English
Local:$ 10 k / Year(s) Foreign:$ 10 k / Year(s)  
StudyQA ranking:4550 Duration:2 years

Photos of university / #izmirekonomiuni

Banking and Applied Finance Master Program is designed to educate qualified  labor for banking sector.

Banking sector is under pressure of hard competition on the one hand, the framework of work has started to change on the other hand.

Recently, development of financial markets and severity of financial tools bring about need for new management techniques, and make financial risk management more important.

Bank Asset -Liability Management, risk management in Banking, Bank Accounting,  Banking Operations and Techniques, National and international financial markets, finance Theory, Monetary theory, balance sheet management, differential tools and financial risk management are some subjects included in the program.

Program is designed as students to participate to learning process effectively. Examples from real world, verbal and written presentations, theoretical and  emprical modeling studies strength education’s both theoretical and applied dimensions.

 

1. Year Fall Semester
Code Pre. Course Name Theory Application/Laboratory Local Credits ECTS
RELEC 001   Restricted Elective Course I 0 0 0 0
RELEC 001   Restricted Elective Course I 0 0 0 0
RELEC 002   Restricted Elective Course II 0 0 0 0
RELEC 003   Restricted Elective Course III 0 0 0 0
Total : 0
1. Year Spring Semester
Code Pre. Course Name Theory Application/Laboratory Local Credits ECTS
RELEC 001   Restricted Elective Course I 0 0 0 0
RELEC 002   Restricted Elective Course II 0 0 0 0
RELEC 002   Restricted Elective Course II 0 0 0 0
RELEC 003   Restricted Elective Course III 0 0 0 0
Total : 0
2. Year Fall Semester
Code Pre. Course Name Theory Application/Laboratory Local Credits ECTS
EKON 597   Term Project 0 0 0 15
RELEC 003   Restricted Elective Course III 0 0 0 0
RELEC 004   Restricted Elective Course IV 0 0 0 0
Total : 15
Elective Courses
Code Pre. Course Name Theory Application/Laboratory Local Credits ECTS
EKON 507   Economics of Financial Markets 3 0 3 7.5
EKON 511   Fund Management in Commercial Bank 0 0 3 7.5
EKON 516   Economics of Risk and Institutional Risk Management 0 0 3 7.5
EKON 517   Financial Econometrics 0 0 3 7.5
EKON 560   Bank Asset -Liability Management 0 0 3 7.5
EKON 561   Banking Operations and Techniques 0 0 3 7.5
EKON 562   Risk Management in Banking 0 0 0 0
EKON 563   Liquidity Management in Banking 0 0 3 7.5
EKON 570   Monetary Theory and Policy 0 0 3 7.5
EKON 580   Monte Carlo Simulation 0 0 0 0
FM 506   Stochastic Processes in Finance 3 0 3 7.5
FM 551   Scientific Computation and Simulation in Finance 3 0 3 7.5
FNS 501   Financial Institutions and Markets 3 0 3 7.5
FNS 504   Quantitative Methods in Finance 3 0 3 7.5
FNS 552   Financial Modeling 3 0 3 7.5
ISL 550   Understanding Financial Statements 3 0 3 7.5
ISL 560   Bank Accounting 3 0 0 7.5
UTF 502   Portfolio Management 3 0 3 7.5

The students studying in this second cycle program without thesis are required:

to take a minimum of 10 courses with a minimum of 30 local credits and a non-credit semester project which is graded on a pass/fail basis.

to succeed in all the courses with a letter grade of at least CC/S 

to have a Cumulative Grade Point Average of at least 3.00/4.00 with a minimum of 90 ECTS credits.

 

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