Wir verwenden Cookies und Analyse-Tools, um die Nutzerfreundlichkeit der Internet-Seite zu verbessern und für Marketingzwecke. Wenn Sie fortfahren, diese Seite zu verwenden, nehmen wir an, dass Sie damit einverstanden sind. Zur Datenschutzerklärung.
Financial Risk Management for Islamic Banking and Finance
Details
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 becoming very hot issues for financial institutions. This book presents a common framework on how to efficiently manage the risks faced.
'Due to its religious foundation, Islamic Banking has reached a successful and unprecedented expansion among Muslims all over the world during the last few years. Not only is the high growth rate astonishing, but also many conventional banks just converted or are about to convert. Islamic banks are facing similar but not identical risks as conventional banks. This book is the first one on the market that explains in a detailed and comprehensive way the peculiarities of risk analysis for Islamic banks. Therefore, it is an indispensable source for every risk manager of Islamic banking and finance.' - Andreas Jäk, Vice President Business Development, IRIS integrated risk management ag, Zürich, Switzerland
'This book is a welcome attempt to help Islamic Banking and Finance readers to broaden their horizons and enlighten their understanding towards Risk Management with a new perspective. The objective remains simple; 'Risk Management remains to be of crucial importance in today's modern conglomerates'. I strongly believe that this book will become an invaluable reference point, to all those senior executives, risk managers and practitioners, researchers and students. ' - Amgad S. Younes, Senior Vice President, Head of Financial Control, St. Planning and Total Risk Management, Abu Dhabi Islamic Bank, United Arab Emirates
'The publication of this book will be greatly welcomed by industry players and students. Both authors are well versed in this subject andhave done extensive research to write this book which covers all practical and theoretical concepts of financial risk management pertinent to the Islamic financial services industry. I congratulate the authors for their work. ' - Agil Natt, President and Chief Executive, INCEIF The Global University in Islamic Finance, Kuala Lumpur, Malaysia
'This book must be read by all bankers, nobody can claim to be an expert in the rapidly developing and growing field of Islamic Banking. This book does not only open up Risk Management concepts for Islamic Financiers, it gives deep insight and understanding of products, principles and methodologies to the reader.' - Simon Horst, Emirates NBD Group
Autorentext
IOANNIS AKKIZIDIS is Risk Management Consultant& Analyst at IRIS integrated risk management ag, Zürich, Switzerland.
SUNIL KUMAR KHANDELWAL is Head of Risk Management - Middle East at IRIS integrated risk management ag, Dubai, United Arab Emirates.
Inhalt
Principles of Islamic Finance Risk Management Issues in Islamic Financial Contracts Basel II& IFSB for Islamic Financial Risk Market Risk in Islamic Finance Credit Risk in Islamic Finance Operational Risk in Islamic Finance Concluding Remarks
Weitere Informationen
- Allgemeine Informationen
- GTIN 09781349363667
- Genre Business Administration
- Auflage 1st edition 2008
- Sprache Englisch
- Lesemotiv Verstehen
- Anzahl Seiten 252
- Herausgeber Palgrave Macmillan UK
- Größe H229mm x B152mm x T14mm
- Jahr 2007
- EAN 9781349363667
- Format Kartonierter Einband
- ISBN 1349363669
- Veröffentlichung 04.12.2007
- Titel Financial Risk Management for Islamic Banking and Finance
- Autor S. Khandelwal , I. Akkizidis
- Untertitel Finance and Capital Markets Series
- Gewicht 371g