Inicio > Economía, finanzas, empresa y gestión > Finanzas y contabilidad > Finanzas > Financial Risk Management for Islamic Banking and Finance
Financial Risk Management for Islamic Banking and Finance

Financial Risk Management for Islamic Banking and Finance

I. Akkizidis / S. Khandelwal

366,54 €
IVA incluido
Consulta disponibilidad
Editorial:
Springer Nature B.V.
Año de edición:
2007
Materia
Finanzas
ISBN:
9780230553811

Selecciona una librería:

  • Librería Samer Atenea
  • Librería Aciertas (Toledo)
  • Kálamo Books
  • Librería Perelló (Valencia)
  • Librería Elías (Asturias)
  • Donde los libros
  • Librería Kolima (Madrid)
  • Librería Proteo (Málaga)

Nowadays in European, American and most westernized markets, financial institutions such as Credit Swiss, Deutsche Bank, HSBC, the Islamic Bank of Britain etc, are offering more products and services of Islamic finance. Moreover, a great number of financial institutions in GCC (Gulf Cooperation Council) countries and Asia are managing funds of over US$300 billion, and are encouraged from their markets to provide Islamic financial products. As a result of the growth market of Islamic finance, the demand for risk management for Islamic financial products and services is becoming a very hot issue for both westernized and Islamic financial markets.This book presents a common framework on how to efficiently manage the risks faced, by identifying where the Islamic financial products and services are risk exposed, to effectively minimise the overall degree of Islamic financial risks. Case studies and examples provide good understanding of the abovementioned issues, and many others, as well as on how to practically implement the steps of risk management framework for the Islamic financial institutes. Risk management for Islamic banking financial products and services is one of the greatest challenges that many westernized as well as Islamic Banks are phasing nowadays. Therefore, this book will be a valuable guide for those that are working on both non-Islamic and Islamic finance.

Artículos relacionados

  • Global Perspectives on Risk Management and Accounting in the Public Sector
    The effects of recent economic and financial crises have reached an international scale; a number of different nations have experienced the fallout of these events, calling into question issues of accountability and reform in public management. Global Perspectives on Risk Management and Accounting in the Public Sector is a pivotal reference source for the latest research on cur...
  • Alternative Decision-Making Models for Financial Portfolio Management
    Narela Spaseski
    Economics is an integral aspect to every successful society, yet basic financial practices have gone unchanged for decades. Analyzing unconventional finance methods can provide new ways to ensure personal financial futures on an individual level, as well as boosting international economies. Alternative Decision-Making Models for Financial Portfolio Management: Emerging Research...
  • Multi-Sided Platforms (MSPs) and Sharing Strategies in the Digital Economy
    Sergey Yablonsky
    Rapid technological advancements have the ability to positively or negatively impact corporate growth and success. Professional leaders and decision makers must consider such advancements when designing and implementing new policies in preparation for the sustainable future of the business environment. Multi-Sided Platforms (MSPs) and Sharing Strategies in the Digital Economy: ...
  • The Complete Penny Stock Course
    Jamil Ben Alluch
    You can learn trading penny stocks from the masses and become part of the 90% of traders who lose money in the stock market, or you can learn from the Best. The Complete Penny Stock Course is based on Timothy Sykes’, various training programs. His strategies have helped individuals like Tim Grittani, Michael Goode and Stephen Dux become millionaires within a couple of years.Thi...
    Disponible

    37,63 €

  • ADVANCED FINANCE THEORIES
    POON SER-HUANG / Ser-Huang Poon
    For PhD finance courses in business schools, there is equal emphasis placed on mathematical rigour as well as economic reasoning. Advanced Finance Theories provides modern treatments to five key areas of finance theories in Merton's collection of continuous time work, viz. portfolio selection and capital market theory, optimum consumption and intertemporal portfolio selecti...
  • Jefferson's Nightmare
    William O. Joseph
    Common working people have been getting screwed by the banking industry for hundreds of years. In the United States over 21 million family members have lost their homes since 2007. Millions more have watched their careers go up in smoke. If you think there is nothing wrong with such a system then don't bother to read this book.   Two hundred years ago, Thomas Jefferson ha...
    Disponible

    12,42 €

Otros libros del autor

  • Financial Risk Management for Islamic Banking and Finance
    I. Akkizidis / S. Khandelwal
    Financial institutions are increasingly providing Islamic financial contracts in global markets. As a result of this market growth there is a high demand to understand how to assess and manage the risks arising from applying Islamic financial products and services. Credit, operational, market and liquidity risks together with the risk of non compliance with the Shariah law are ...
    Disponible

    269,36 €