By creating an environment where science and scientists contribute to the understanding of the everchanging global finacial climate, our institute strives to be a pioneer in the field by analyzing rapidly evolving structural financial changes at both the macro and micro levels.
The Banking PhD program aims to make the students have analytical skills and be inquisitive by covering the different aspects of banking theory, economics, finance, and accounting.
In addition to a focus on economic theory and research models for banking theory and quantitative analysis, emphasis will be given to risk and efficiency issues in banking.
One of the main purposes of the program is to train professionals with comprehensive understanding of the theory and policies in this important field of science. Applicants of the program will be able to analyze the rapidly developing structural and financial changes in the global economic environment at macro and micro level.
CORE COURSES |
Money Theory and Policy |
Banking Theory and Policy |
Assets and Liability Management |
Econometrics |
Academic Research Methods and Code of Ethics |
Seminar |
ELECTIVE COURSES |
Banking Regulation, Supervision and Monitoring |
Theory of Finance |
Risk Management |
Financial Reporting and Analysis in Banking |
Investment Banking |
Central Banking |
Financial Markets and Institutions |
Futures and Options |
Financial Econometrics |