Pamukkale University
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THIRD CYCLE - DOCTORATE DEGREE
THE GRADUATE SCHOOL OF SOCIAL SCIENCES
INTERNATIONAL TRADE AND FINANCE DEPARTMENT
2987 INTERNATIONAL TRADE AND FINANCE PhD
Course Information
Course Learning Outcomes
Course's Contribution To Program
ECTS Workload
Course Details
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COURSE INFORMATION
Course Code
Course Title
L+P Hour
Semester
ECTS
UTFB 609
INTERNATIONAL RISK MANAGEMENT
3 + 0
1st Semester
7,5
COURSE DESCRIPTION
Course Level
Doctorate Degree
Course Type
Elective
Course Objective
The aim of the course is to acquire skills that will enable the students to determine the optimal risk management strategy for the derivatives.
Course Content
The main aim of the course is to describe the risk and risk management cases. Derste risk concept and risk measurement are covered. Risk management models and practices are explained
Prerequisites
No the prerequisite of lesson.
Corequisite
No the corequisite of lesson.
Mode of Delivery
Face to Face
COURSE LEARNING OUTCOMES
1
To learn about risk and risk management
COURSE'S CONTRIBUTION TO PROGRAM
PO 01
PO 02
PO 03
PO 04
LO 001
4
3
4
4
Sub Total
4
3
4
4
Contribution
4
3
4
4
ECTS ALLOCATED BASED ON STUDENT WORKLOAD BY THE COURSE DESCRIPTION
Activities
Quantity
Duration (Hour)
Total Work Load (Hour)
Course Duration (14 weeks/theoric+practical)
14
3
42
Hours for off-the-classroom study (Pre-study, practice)
14
8
112
Mid-terms
1
11
11
Final examination
1
30
30
Total Work Load
ECTS Credit of the Course
195
7,5
COURSE DETAILS
Select Year
All Years
2023-2024 Fall
2022-2023 Fall
2021-2022 Fall
2020-2021 Fall
2019-2020 Fall
2018-2019 Fall
Course Term
No
Instructors
Details
2020-2021 Fall
1
İLHAN KÜÇÜKKAPLAN
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Course Details
Course Code
Course Title
L+P Hour
Course Code
Language Of Instruction
Course Semester
UTFB 609
INTERNATIONAL RISK MANAGEMENT
3 + 0
1
Turkish
2020-2021 Fall
Course Coordinator
E-Mail
Phone Number
Course Location
Attendance
Prof. Dr. İLHAN KÜÇÜKKAPLAN
ikkaplan@pau.edu.tr
İİBF A0114
%
Goals
The aim of the course is to acquire skills that will enable the students to determine the optimal risk management strategy for the derivatives.
Content
The main aim of the course is to describe the risk and risk management cases. Derste risk concept and risk measurement are covered. Risk management models and practices are explained
Topics
Materials
Materials are not specified.
Resources
Course Assessment
Assesment Methods
Percentage (%)
Assesment Methods Title
Final Exam
50
Final Exam
Midterm Exam
50
Midterm Exam
L+P:
Lecture and Practice
PQ:
Program Learning Outcomes
LO:
Course Learning Outcomes
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Home Page
About University
Name And Address
Acedemic Authorities
General Discription
Academic Calendar
General Admission Requirements
Recognition of Prior Learning
General Registration Procedures
ECTS Credit Allocation
Academic Guidance
Information For Students
Cost Of Living
Accommodation
Meals
Medical Facilities
Facilities for Special Needs Students
Insurance
Financial Support for Students
Student Affairs
Learning Facilities
International Programs
Language Courses
Internships
Sports Facilities and Leisure Activities
Student Associations
Practical Information for Mobile Students
Degree Programmes