Financial risk management for Islamic banking and finance:
Gespeichert in:
Hauptverfasser: | , |
---|---|
Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Basingstoke [u.a.]
Palgrave Macmillan
2008
|
Ausgabe: | 1. publ. |
Schriftenreihe: | Palgrave Macmillan finance and capital markets series
|
Schlagworte: | |
Online-Zugang: | Contributor biographical information Publisher description Table of contents only Inhaltsverzeichnis |
Beschreibung: | Includes bibliographical references and index Erscheint: Februar 2008 |
Beschreibung: | XXIX, 220 S. |
ISBN: | 0230553818 9780230553811 |
Internformat
MARC
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100 | 1 | |a Akkizidis, Ioannis |e Verfasser |4 aut | |
245 | 1 | 0 | |a Financial risk management for Islamic banking and finance |c Ioannis Akkizidis and Sunil Kumar Khandelwal |
250 | |a 1. publ. | ||
264 | 1 | |a Basingstoke [u.a.] |b Palgrave Macmillan |c 2008 | |
300 | |a XXIX, 220 S. | ||
336 | |b txt |2 rdacontent | ||
337 | |b n |2 rdamedia | ||
338 | |b nc |2 rdacarrier | ||
490 | 0 | |a Palgrave Macmillan finance and capital markets series | |
500 | |a Includes bibliographical references and index | ||
500 | |a Erscheint: Februar 2008 | ||
650 | 7 | |a Banques - Pays islamiques |2 ram | |
650 | 7 | |a Finances - Pays islamiques |2 ram | |
650 | 7 | |a Gestion du risque - Pays islamiques |2 ram | |
650 | 7 | |a Risque de marché - Pays islamiques |2 ram | |
650 | 4 | |a Bank | |
650 | 4 | |a Religion | |
650 | 4 | |a Financial risk management |z Islamic countries | |
650 | 4 | |a Banks and banking |z Islamic countries | |
650 | 4 | |a Finance |z Islamic countries | |
650 | 4 | |a Banks and banking |x Religious aspects |x Islam | |
650 | 4 | |a Finance |x Religious aspects |x Islam | |
650 | 0 | 7 | |a Risikomanagement |0 (DE-588)4121590-4 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Finanzmanagement |0 (DE-588)4139075-1 |2 gnd |9 rswk-swf |
650 | 0 | 7 | |a Kreditwesen |0 (DE-588)4032950-1 |2 gnd |9 rswk-swf |
651 | 7 | |a Islamische Staaten |0 (DE-588)4073172-8 |2 gnd |9 rswk-swf | |
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689 | 0 | 2 | |a Finanzmanagement |0 (DE-588)4139075-1 |D s |
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700 | 1 | |a Khandelwal, Sunil Kumar |e Verfasser |4 aut | |
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856 | 4 | |u http://www.loc.gov/catdir/enhancements/fy0805/2007048693-d.html |3 Publisher description | |
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999 | |a oai:aleph.bib-bvb.de:BVB01-016655598 |
Datensatz im Suchindex
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---|---|
adam_text | CHAPTER
Contents
List of Tables x
List of Figures xii
Foreword by Agil Natt xiv
Foreword by Amgad S. Younes xvi
Preface xviii
About the Authors xxiv
Acknowledgements xxvi
Abbreviations xxviii
/ Principles of Islamic Finance 1
Introduction 1
2 Risk Management Issues in Islamic Financial Contracts 28
Introduction 28
An overview of financial risks 30
Identifying risks in Islamic finance 36
Risk of non-compliance with Shariah rules 41
Main elements used in financial risk analysis 41
Musharakah contracts of partnership and financial risks 42
Mudarabah contracts of partnership 49
Murabaha contract agreements and financial risk 54
Salam contract agreements and financial risk 58
Istisnd contracts and financial risks 63
Ijarah contract agreement and financial risk 68
CONTENTS
3 Basel II and IFSBfor Islamic Financial Risk 80
Introduction 80
The Basel accord 82
Risk management according to Basel II and the Islamic
financial industry 83
The three pillars of Basel II 84
Pillar 2: Supervisory review 96
Pillar 3: Market discipline 98
IFSB principles of risk management 99
4 Credit Risks in Islamic Finance 109
Introduction 109
Credit risk exposure identification 110
Credit risk assessment models 113
Credit risk valuation 118
Credit risk mitigation 133
Credit rating systems 134
Validating the credit rating systems 139
5 Market Risks in Islamic Finance 148
Introduction 148
Identification of market risk factors 149
Rate of return risk 149
Commodity risk in Islamic finance 154
FX rate risks 159
Equity price risks 160
Valuation issues on equity prices and FX rates 160
Quantification of foreign
exchange risk, equity risk, and commodity risk 161
Data referring to market risk factors 161
Sensitivity in market risk 163
Market risk valuation models 164
VaR models for Islamic financial contracts 164
Position and market data 166
Position risk and exposure risk 168
Evaluation methods of market risk 168
Variance-co-variance method 169
Monte Carlo simulation method 173
Historical simulation 174
Back-testing and stress-testing for market risk exposures 176
CONTENTS
6 Operational Risk in Islamic Finance 182
Introduction 182
Main elements in operational risk analysis 183
Identification of operational risk 185
Measuring operational risks 197
Loss events 199
Evaluating operational risk based on VaR analysis 203
Elements in the framework of the operational
risk management 206
7 Concluding Remarks 211
Index 217
List of Tables
1.1 Differences between conventional financing and
Islamic financing 3
1.2 Typical balance sheet of an Islamic bank 10
1.3 Differences between Mushdrakah and Mudarabah 17
1.4 Top 10 Sukuk until February 2007 based on size 25
2.1 Risks in Islamic financial services 39
2.2 Comparative information requirements -
conventional vs Islamic banks 40
2.3 Pattern of risks where financial institutions are
exposed by applying Islamic financial contracts 73
3.1 Alternative approaches to credit, market, and
operational risk 87
3.2 Template for the calculation of the credit risk
exposures as per Pillar 1 under Basel II 91
3.3 Detailed loss event type classification 93
3.4 Beta factors for the different business lines 94
3.5 The IFSB guidelines on risk management 100
4.1 Different cases for estimating the probability of
default based on quantitative criteria 123
4.2 Classification of the levels of credit ratings with
the indication of the creditability and the reliability
as well as the meaning in terms of exposure 137
5.1 Factors that initiate commodity risk in Islamic
financial contracts 158
5.2 Advantages and drawbacks by applying Historic,
Monte Carlo, and Variance-Co-variance Methods 175
LIST OF TABLES
5.3 The three zone traffic light for the overshooting
and the multiplier factor 177
6.1 Examples of types of operational causes, events and,
consequences 188
6.2 Sources of operational risks 190
List of Figures
1.1 Structure of Islamic financial service industry 4
2.1 Major types of risks in the financial industry 32
2.2 Information management in organisations 35
2.3 Risk profiling — conventional vs Islamic banks 38
2.4 Main elements considered in financial risk analysis 42
2.5 Structure of Musharakah partnership joint venture
contract agreements 43
2.6 Credit, operational, market, and liquidity risks during
the lifetime of Permanent Musharakah contracts 45
2.7 Credit, operational, market, and liquidity risks
during the lifetime of Diminishing Musharakah contracts 46
2.8 Ownership pattern and risk in Musharakah contracts 48
2.9 Structure of Mudarabah contract agreements 49
2.10 Risks in Mudarabah contract agreements during
the investment period 51
2.11 Risks in Mudarabah contract agreements during
the business profitability and loss period 52
2.12 Murdbaha structure and its main interrelations 55
2.13 Credit, operational, and market risks during the
lifetime of a Murdbaha contract 56
2.14 Relation structure in Salam contract agreements 59
2.15 Operational, credit, market, and liquidity risks during
the lifetime of Salam contracts 61
2.16 Relation structure in Istisna contract agreements 63
2.17 Operational, credit, market, and liquidity risks during
the lifetime of Istisna contracts 66
2.18 Ijdrah contract agreements 69
2.19 Credit, operational, and market risks during the
lifetime of Ijdrah contracts 71
LIST OF FIGURES * xiii s
3.1 The three pillars of Basel II accord 85
4.1 Relations between the Islamic financial counterparties
and contracts and the guaranties and collaterals 110
4.2 Representation of the links between a counterparty
with several contracts and risk coverage by
several guaranties and collaterals 112
4.3 Model layout of the expert system for credit
risk assessment 115
4.4 Distribution of expected and unexpected losses
in credit risk 128
4.5 Periods and samples used for the rating valuation 143
5.1 The four types of market risks that exist in the
different Islamic financial products 150
5.2 Interaction and relation between commodity
risk in Islamic finance with other commodity risk factors 155
5.3 Flow chart referring to the Value-at-Risk approach 165
5.4 Main components considered in VaR models 166
5.5 Normal distribution of the changes caused by the
value of a market analysis portfolio 169
6.1 Operational risk analysis based on operational risks
and losses 183
6.2 Main approaches in operational risk
identification analysis 184
6.3 Sources of operational risks and where they
affect Islamic financial contracts 194
6.4 Interactions among the different causes of
operational risks 197
6.5 The three approaches used to cultivate and
populate the loss event databases 202
6.6 Loss distribution for operational risk 203
|
adam_txt |
CHAPTER
Contents
List of Tables x
List of Figures xii
Foreword by Agil Natt xiv
Foreword by Amgad S. Younes xvi
Preface xviii
About the Authors xxiv
Acknowledgements xxvi
Abbreviations xxviii
/ Principles of Islamic Finance 1
Introduction 1
2 Risk Management Issues in Islamic Financial Contracts 28
Introduction 28
An overview of financial risks 30
Identifying risks in Islamic finance 36
Risk of non-compliance with Shariah rules 41
Main elements used in financial risk analysis 41
Musharakah contracts of partnership and financial risks 42
Mudarabah contracts of partnership 49
Murabaha contract agreements and financial risk 54
Salam contract agreements and financial risk 58
Istisnd contracts and financial risks 63
Ijarah contract agreement and financial risk 68
CONTENTS
3 Basel II and IFSBfor Islamic Financial Risk 80
Introduction 80
The Basel accord 82
Risk management according to Basel II and the Islamic
financial industry 83
The three pillars of Basel II 84
Pillar 2: Supervisory review 96
Pillar 3: Market discipline 98
IFSB principles of risk management 99
4 Credit Risks in Islamic Finance 109
Introduction 109
Credit risk exposure identification 110
Credit risk assessment models 113
Credit risk valuation 118
Credit risk mitigation 133
Credit rating systems 134
Validating the credit rating systems 139
5 Market Risks in Islamic Finance 148
Introduction 148
Identification of market risk factors 149
Rate of return risk 149
Commodity risk in Islamic finance 154
FX rate risks 159
Equity price risks 160
Valuation issues on equity prices and FX rates 160
Quantification of foreign
exchange risk, equity risk, and commodity risk 161
Data referring to market risk factors 161
Sensitivity in market risk 163
Market risk valuation models 164
VaR models for Islamic financial contracts 164
Position and market data 166
Position risk and exposure risk 168
Evaluation methods of market risk 168
Variance-co-variance method 169
Monte Carlo simulation method 173
Historical simulation 174
Back-testing and stress-testing for market risk exposures 176
CONTENTS
6 Operational Risk in Islamic Finance 182
Introduction 182
Main elements in operational risk analysis 183
Identification of operational risk 185
Measuring operational risks 197
Loss events 199
Evaluating operational risk based on VaR analysis 203
Elements in the framework of the operational
risk management 206
7 Concluding Remarks 211
Index 217
List of Tables
1.1 Differences between conventional financing and
Islamic financing 3
1.2 Typical balance sheet of an Islamic bank 10
1.3 Differences between Mushdrakah and Mudarabah 17
1.4 Top 10 Sukuk until February 2007 based on size 25
2.1 Risks in Islamic financial services 39
2.2 Comparative information requirements -
conventional vs Islamic banks 40
2.3 Pattern of risks where financial institutions are
exposed by applying Islamic financial contracts 73
3.1 Alternative approaches to credit, market, and
operational risk 87
3.2 Template for the calculation of the credit risk
exposures as per Pillar 1 under Basel II 91
3.3 Detailed loss event type classification 93
3.4 Beta factors for the different business lines 94
3.5 The IFSB guidelines on risk management 100
4.1 Different cases for estimating the probability of
default based on quantitative criteria 123
4.2 Classification of the levels of credit ratings with
the indication of the creditability and the reliability
as well as the meaning in terms of exposure 137
5.1 Factors that initiate commodity risk in Islamic
financial contracts 158
5.2 Advantages and drawbacks by applying Historic,
Monte Carlo, and Variance-Co-variance Methods 175
LIST OF TABLES
5.3 The three zone 'traffic light' for the overshooting
and the multiplier factor 177
6.1 Examples of types of operational causes, events and,
consequences 188
6.2 Sources of operational risks 190
List of Figures
1.1 Structure of Islamic financial service industry 4
2.1 Major types of risks in the financial industry 32
2.2 Information management in organisations 35
2.3 Risk profiling — conventional vs Islamic banks 38
2.4 Main elements considered in financial risk analysis 42
2.5 Structure of Musharakah partnership joint venture
contract agreements 43
2.6 Credit, operational, market, and liquidity risks during
the lifetime of Permanent Musharakah contracts 45
2.7 Credit, operational, market, and liquidity risks
during the lifetime of Diminishing Musharakah contracts 46
2.8 Ownership pattern and risk in Musharakah contracts 48
2.9 Structure of Mudarabah contract agreements 49
2.10 Risks in Mudarabah contract agreements during
the investment period 51
2.11 Risks in Mudarabah contract agreements during
the business profitability and loss period 52
2.12 Murdbaha structure and its main interrelations 55
2.13 Credit, operational, and market risks during the
lifetime of a Murdbaha contract 56
2.14 Relation structure in Salam contract agreements 59
2.15 Operational, credit, market, and liquidity risks during
the lifetime of Salam contracts 61
2.16 Relation structure in Istisna contract agreements 63
2.17 Operational, credit, market, and liquidity risks during
the lifetime of Istisna contracts 66
2.18 Ijdrah contract agreements 69
2.19 Credit, operational, and market risks during the
lifetime of Ijdrah contracts 71
LIST OF FIGURES * xiii s
3.1 The three pillars of Basel II accord 85
4.1 Relations between the Islamic financial counterparties
and contracts and the guaranties and collaterals 110
4.2 Representation of the links between a counterparty
with several contracts and risk coverage by
several guaranties and collaterals 112
4.3 Model layout of the expert system for credit
risk assessment 115
4.4 Distribution of expected and unexpected losses
in credit risk 128
4.5 Periods and samples used for the rating valuation 143
5.1 The four types of market risks that exist in the
different Islamic financial products 150
5.2 Interaction and relation between commodity
risk in Islamic finance with other commodity risk factors 155
5.3 Flow chart referring to the Value-at-Risk approach 165
5.4 Main components considered in VaR models 166
5.5 Normal distribution of the changes caused by the
value of a market analysis portfolio 169
6.1 Operational risk analysis based on operational risks
and losses 183
6.2 Main approaches in operational risk
identification analysis 184
6.3 Sources of operational risks and where they
affect Islamic financial contracts 194
6.4 Interactions among the different causes of
operational risks 197
6.5 The three approaches used to cultivate and
populate the loss event databases 202
6.6 Loss distribution for operational risk 203 |
any_adam_object | 1 |
any_adam_object_boolean | 1 |
author | Akkizidis, Ioannis Khandelwal, Sunil Kumar |
author_facet | Akkizidis, Ioannis Khandelwal, Sunil Kumar |
author_role | aut aut |
author_sort | Akkizidis, Ioannis |
author_variant | i a ia s k k sk skk |
building | Verbundindex |
bvnumber | BV023473305 |
callnumber-first | H - Social Science |
callnumber-label | HD61 |
callnumber-raw | HD61 |
callnumber-search | HD61 |
callnumber-sort | HD 261 |
callnumber-subject | HD - Industries, Land Use, Labor |
classification_rvk | QK 010 QK 320 |
ctrlnum | (OCoLC)470925505 (DE-599)BVBBV023473305 |
dewey-full | 332.10956 332.1068/1 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.109 56 332.1068/1 |
dewey-search | 332.109 56 332.1068/1 |
dewey-sort | 3332.109 256 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
discipline_str_mv | Wirtschaftswissenschaften |
edition | 1. publ. |
format | Book |
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geographic | Islamische Staaten (DE-588)4073172-8 gnd |
geographic_facet | Islamische Staaten |
id | DE-604.BV023473305 |
illustrated | Not Illustrated |
index_date | 2024-07-02T21:35:11Z |
indexdate | 2024-07-09T21:19:34Z |
institution | BVB |
isbn | 0230553818 9780230553811 |
language | English |
lccn | 2007048693 |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-016655598 |
oclc_num | 470925505 |
open_access_boolean | |
owner | DE-703 DE-11 |
owner_facet | DE-703 DE-11 |
physical | XXIX, 220 S. |
publishDate | 2008 |
publishDateSearch | 2008 |
publishDateSort | 2008 |
publisher | Palgrave Macmillan |
record_format | marc |
series2 | Palgrave Macmillan finance and capital markets series |
spelling | Akkizidis, Ioannis Verfasser aut Financial risk management for Islamic banking and finance Ioannis Akkizidis and Sunil Kumar Khandelwal 1. publ. Basingstoke [u.a.] Palgrave Macmillan 2008 XXIX, 220 S. txt rdacontent n rdamedia nc rdacarrier Palgrave Macmillan finance and capital markets series Includes bibliographical references and index Erscheint: Februar 2008 Banques - Pays islamiques ram Finances - Pays islamiques ram Gestion du risque - Pays islamiques ram Risque de marché - Pays islamiques ram Bank Religion Financial risk management Islamic countries Banks and banking Islamic countries Finance Islamic countries Banks and banking Religious aspects Islam Finance Religious aspects Islam Risikomanagement (DE-588)4121590-4 gnd rswk-swf Finanzmanagement (DE-588)4139075-1 gnd rswk-swf Kreditwesen (DE-588)4032950-1 gnd rswk-swf Islamische Staaten (DE-588)4073172-8 gnd rswk-swf Islamische Staaten (DE-588)4073172-8 g Kreditwesen (DE-588)4032950-1 s Finanzmanagement (DE-588)4139075-1 s Risikomanagement (DE-588)4121590-4 s DE-604 Khandelwal, Sunil Kumar Verfasser aut http://www.loc.gov/catdir/enhancements/fy0805/2007048693-b.html Contributor biographical information http://www.loc.gov/catdir/enhancements/fy0805/2007048693-d.html Publisher description http://www.loc.gov/catdir/enhancements/fy0805/2007048693-t.html Table of contents only HBZ Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=016655598&sequence=000006&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Akkizidis, Ioannis Khandelwal, Sunil Kumar Financial risk management for Islamic banking and finance Banques - Pays islamiques ram Finances - Pays islamiques ram Gestion du risque - Pays islamiques ram Risque de marché - Pays islamiques ram Bank Religion Financial risk management Islamic countries Banks and banking Islamic countries Finance Islamic countries Banks and banking Religious aspects Islam Finance Religious aspects Islam Risikomanagement (DE-588)4121590-4 gnd Finanzmanagement (DE-588)4139075-1 gnd Kreditwesen (DE-588)4032950-1 gnd |
subject_GND | (DE-588)4121590-4 (DE-588)4139075-1 (DE-588)4032950-1 (DE-588)4073172-8 |
title | Financial risk management for Islamic banking and finance |
title_auth | Financial risk management for Islamic banking and finance |
title_exact_search | Financial risk management for Islamic banking and finance |
title_exact_search_txtP | Financial risk management for Islamic banking and finance |
title_full | Financial risk management for Islamic banking and finance Ioannis Akkizidis and Sunil Kumar Khandelwal |
title_fullStr | Financial risk management for Islamic banking and finance Ioannis Akkizidis and Sunil Kumar Khandelwal |
title_full_unstemmed | Financial risk management for Islamic banking and finance Ioannis Akkizidis and Sunil Kumar Khandelwal |
title_short | Financial risk management for Islamic banking and finance |
title_sort | financial risk management for islamic banking and finance |
topic | Banques - Pays islamiques ram Finances - Pays islamiques ram Gestion du risque - Pays islamiques ram Risque de marché - Pays islamiques ram Bank Religion Financial risk management Islamic countries Banks and banking Islamic countries Finance Islamic countries Banks and banking Religious aspects Islam Finance Religious aspects Islam Risikomanagement (DE-588)4121590-4 gnd Finanzmanagement (DE-588)4139075-1 gnd Kreditwesen (DE-588)4032950-1 gnd |
topic_facet | Banques - Pays islamiques Finances - Pays islamiques Gestion du risque - Pays islamiques Risque de marché - Pays islamiques Bank Religion Financial risk management Islamic countries Banks and banking Islamic countries Finance Islamic countries Banks and banking Religious aspects Islam Finance Religious aspects Islam Risikomanagement Finanzmanagement Kreditwesen Islamische Staaten |
url | http://www.loc.gov/catdir/enhancements/fy0805/2007048693-b.html http://www.loc.gov/catdir/enhancements/fy0805/2007048693-d.html http://www.loc.gov/catdir/enhancements/fy0805/2007048693-t.html http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=016655598&sequence=000006&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
work_keys_str_mv | AT akkizidisioannis financialriskmanagementforislamicbankingandfinance AT khandelwalsunilkumar financialriskmanagementforislamicbankingandfinance |