Risk Management Implementation and Solutions for Islamic Banking and Finance:
Islamic finance is a growing part of the global financial sector. The risks faced by Islamic banks are real, and how well they mitigate them will determine their future. This book answers questions regarding how Islamic Financial Institutions should focus on their risk management practices and the n...
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Format: | Elektronisch E-Book |
Sprache: | English |
Veröffentlicht: |
Newcastle-upon-Tyne
Cambridge Scholars Publisher
2018
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Schlagworte: | |
Online-Zugang: | HWR01 |
Zusammenfassung: | Islamic finance is a growing part of the global financial sector. The risks faced by Islamic banks are real, and how well they mitigate them will determine their future. This book answers questions regarding how Islamic Financial Institutions should focus on their risk management practices and the necessary solutions and policy implementation tactics. It also analyses the risk mitigation techniques Islamic institutions are putting to use, looking at different Islamic banks from across the world to investigate their strategies and solutions. Among the topics discussed here are the implementation and outcomes of Basel III, practical enterprise risk management practices, liquidity risk management, and the success story of the global takaful industry |
Beschreibung: | Description based on publisher supplied metadata and other sources |
Beschreibung: | 1 Online-Ressource (104 Seiten) |
ISBN: | 9781527526358 |
Internformat
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505 | 8 | |a Intro -- Contents -- Preface -- Introduction -- Chapter One -- Summary of Chapter One -- Section 1: Introduction to Risk Management -- Section 2: Liquidity Risk Measurement Critical Analysis -- Section 3: Methods used for Risk Assessment -- Section 4: Empirical Analysis of Risk Management -- Section 5: Chapter Conclusion -- Chapter Two -- Summary of Chapter Two -- Section 1: Chapter Introduction -- Section 2: Critique Review on Basel III Implementation -- Section 3: Methodology -- Section 4: Empirical Analyses and Discussion -- Section 5: Chapter Conclusion -- Chapter Three -- Summary of Chapter Three -- Section 1: Introduction of ERM Practices -- Section 2: Theoretical evidence of the Takaful industry ERM -- Section 3: Methodological overview of ERM Practices -- Section 4: Empirical Evidence of the Takaful Industry -- Section 5: Chapter Conclusion -- Chapter Four -- Summary of Chapter Four -- Section 1: Introduction to Risk Measurement -- Section 2: The Theoretical Foundation of Liquidity Risk Measurement -- Section 3: Methodological impression of Risk Measurement tactics -- Section 4: Evidence and Analysis of Risk Measures -- Section 5: Chapter Conclusion -- Chapter Five -- Summary of Chapter Five -- Section 1: Chapter Introduction -- Section 2: Enterprise Risk Management Critique Review -- Section 3: ERM Methodological basis -- Section 4: Empirical Evidence of Risk Management -- Section 5: Chapter Conclusion -- Chapter Six -- Summary of Chapter Six -- Section 1: Chapter Introduction -- Section 2: Theoretical Foundations of the Liquidity Concept -- Section 3: Methodological overview of Islamic Banks -- Section 4: Quantitative Analysis of Islamic Banks' Liquidity Risk -- Section 5: Chapter Conclusion -- Chapter Seven -- Summary of Chapter Seven -- Section 1: Chapter Introduction -- Section 2: Critical Review of Family Takaful Consumption Risks | |
505 | 8 | |a Section 3: Methodological overview of the Takaful Industry -- Section 4: Analysis of an Emerging Economy (Pakistan) -- Section 5: Chapter Conclusion -- Policies and Recommendations for Islamic Institutions | |
520 | |a Islamic finance is a growing part of the global financial sector. The risks faced by Islamic banks are real, and how well they mitigate them will determine their future. This book answers questions regarding how Islamic Financial Institutions should focus on their risk management practices and the necessary solutions and policy implementation tactics. It also analyses the risk mitigation techniques Islamic institutions are putting to use, looking at different Islamic banks from across the world to investigate their strategies and solutions. Among the topics discussed here are the implementation and outcomes of Basel III, practical enterprise risk management practices, liquidity risk management, and the success story of the global takaful industry | ||
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author | Masood, Omar |
author_facet | Masood, Omar |
author_role | aut |
author_sort | Masood, Omar |
author_variant | o m om |
building | Verbundindex |
bvnumber | BV047697797 |
collection | ZDB-30-PQE |
contents | Intro -- Contents -- Preface -- Introduction -- Chapter One -- Summary of Chapter One -- Section 1: Introduction to Risk Management -- Section 2: Liquidity Risk Measurement Critical Analysis -- Section 3: Methods used for Risk Assessment -- Section 4: Empirical Analysis of Risk Management -- Section 5: Chapter Conclusion -- Chapter Two -- Summary of Chapter Two -- Section 1: Chapter Introduction -- Section 2: Critique Review on Basel III Implementation -- Section 3: Methodology -- Section 4: Empirical Analyses and Discussion -- Section 5: Chapter Conclusion -- Chapter Three -- Summary of Chapter Three -- Section 1: Introduction of ERM Practices -- Section 2: Theoretical evidence of the Takaful industry ERM -- Section 3: Methodological overview of ERM Practices -- Section 4: Empirical Evidence of the Takaful Industry -- Section 5: Chapter Conclusion -- Chapter Four -- Summary of Chapter Four -- Section 1: Introduction to Risk Measurement -- Section 2: The Theoretical Foundation of Liquidity Risk Measurement -- Section 3: Methodological impression of Risk Measurement tactics -- Section 4: Evidence and Analysis of Risk Measures -- Section 5: Chapter Conclusion -- Chapter Five -- Summary of Chapter Five -- Section 1: Chapter Introduction -- Section 2: Enterprise Risk Management Critique Review -- Section 3: ERM Methodological basis -- Section 4: Empirical Evidence of Risk Management -- Section 5: Chapter Conclusion -- Chapter Six -- Summary of Chapter Six -- Section 1: Chapter Introduction -- Section 2: Theoretical Foundations of the Liquidity Concept -- Section 3: Methodological overview of Islamic Banks -- Section 4: Quantitative Analysis of Islamic Banks' Liquidity Risk -- Section 5: Chapter Conclusion -- Chapter Seven -- Summary of Chapter Seven -- Section 1: Chapter Introduction -- Section 2: Critical Review of Family Takaful Consumption Risks Section 3: Methodological overview of the Takaful Industry -- Section 4: Analysis of an Emerging Economy (Pakistan) -- Section 5: Chapter Conclusion -- Policies and Recommendations for Islamic Institutions |
ctrlnum | (ZDB-30-PQE)EBC5651669 (ZDB-30-PAD)EBC5651669 (ZDB-89-EBL)EBL5651669 (OCoLC)1083545334 (DE-599)BVBBV047697797 |
dewey-full | 332.10681 |
dewey-hundreds | 300 - Social sciences |
dewey-ones | 332 - Financial economics |
dewey-raw | 332.10681 |
dewey-search | 332.10681 |
dewey-sort | 3332.10681 |
dewey-tens | 330 - Economics |
discipline | Wirtschaftswissenschaften |
discipline_str_mv | Wirtschaftswissenschaften |
format | Electronic eBook |
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illustrated | Not Illustrated |
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institution | BVB |
isbn | 9781527526358 |
language | English |
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physical | 1 Online-Ressource (104 Seiten) |
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spelling | Masood, Omar Verfasser aut Risk Management Implementation and Solutions for Islamic Banking and Finance Newcastle-upon-Tyne Cambridge Scholars Publisher 2018 ©2019 1 Online-Ressource (104 Seiten) txt rdacontent c rdamedia cr rdacarrier Description based on publisher supplied metadata and other sources Intro -- Contents -- Preface -- Introduction -- Chapter One -- Summary of Chapter One -- Section 1: Introduction to Risk Management -- Section 2: Liquidity Risk Measurement Critical Analysis -- Section 3: Methods used for Risk Assessment -- Section 4: Empirical Analysis of Risk Management -- Section 5: Chapter Conclusion -- Chapter Two -- Summary of Chapter Two -- Section 1: Chapter Introduction -- Section 2: Critique Review on Basel III Implementation -- Section 3: Methodology -- Section 4: Empirical Analyses and Discussion -- Section 5: Chapter Conclusion -- Chapter Three -- Summary of Chapter Three -- Section 1: Introduction of ERM Practices -- Section 2: Theoretical evidence of the Takaful industry ERM -- Section 3: Methodological overview of ERM Practices -- Section 4: Empirical Evidence of the Takaful Industry -- Section 5: Chapter Conclusion -- Chapter Four -- Summary of Chapter Four -- Section 1: Introduction to Risk Measurement -- Section 2: The Theoretical Foundation of Liquidity Risk Measurement -- Section 3: Methodological impression of Risk Measurement tactics -- Section 4: Evidence and Analysis of Risk Measures -- Section 5: Chapter Conclusion -- Chapter Five -- Summary of Chapter Five -- Section 1: Chapter Introduction -- Section 2: Enterprise Risk Management Critique Review -- Section 3: ERM Methodological basis -- Section 4: Empirical Evidence of Risk Management -- Section 5: Chapter Conclusion -- Chapter Six -- Summary of Chapter Six -- Section 1: Chapter Introduction -- Section 2: Theoretical Foundations of the Liquidity Concept -- Section 3: Methodological overview of Islamic Banks -- Section 4: Quantitative Analysis of Islamic Banks' Liquidity Risk -- Section 5: Chapter Conclusion -- Chapter Seven -- Summary of Chapter Seven -- Section 1: Chapter Introduction -- Section 2: Critical Review of Family Takaful Consumption Risks Section 3: Methodological overview of the Takaful Industry -- Section 4: Analysis of an Emerging Economy (Pakistan) -- Section 5: Chapter Conclusion -- Policies and Recommendations for Islamic Institutions Islamic finance is a growing part of the global financial sector. The risks faced by Islamic banks are real, and how well they mitigate them will determine their future. This book answers questions regarding how Islamic Financial Institutions should focus on their risk management practices and the necessary solutions and policy implementation tactics. It also analyses the risk mitigation techniques Islamic institutions are putting to use, looking at different Islamic banks from across the world to investigate their strategies and solutions. Among the topics discussed here are the implementation and outcomes of Basel III, practical enterprise risk management practices, liquidity risk management, and the success story of the global takaful industry Banks and banking-Religious aspects-Islam.. Banks and banking-Islamic countries.. Banks and banking-Risk management.. Financial risk management-Islamic countries Javaria, Kiran Sonstige oth Erscheint auch als Druck-Ausgabe Masood, Omar Risk Management Implementation and Solutions for Islamic Banking and Finance Newcastle-upon-Tyne : Cambridge Scholars Publisher,c2018 |
spellingShingle | Masood, Omar Risk Management Implementation and Solutions for Islamic Banking and Finance Intro -- Contents -- Preface -- Introduction -- Chapter One -- Summary of Chapter One -- Section 1: Introduction to Risk Management -- Section 2: Liquidity Risk Measurement Critical Analysis -- Section 3: Methods used for Risk Assessment -- Section 4: Empirical Analysis of Risk Management -- Section 5: Chapter Conclusion -- Chapter Two -- Summary of Chapter Two -- Section 1: Chapter Introduction -- Section 2: Critique Review on Basel III Implementation -- Section 3: Methodology -- Section 4: Empirical Analyses and Discussion -- Section 5: Chapter Conclusion -- Chapter Three -- Summary of Chapter Three -- Section 1: Introduction of ERM Practices -- Section 2: Theoretical evidence of the Takaful industry ERM -- Section 3: Methodological overview of ERM Practices -- Section 4: Empirical Evidence of the Takaful Industry -- Section 5: Chapter Conclusion -- Chapter Four -- Summary of Chapter Four -- Section 1: Introduction to Risk Measurement -- Section 2: The Theoretical Foundation of Liquidity Risk Measurement -- Section 3: Methodological impression of Risk Measurement tactics -- Section 4: Evidence and Analysis of Risk Measures -- Section 5: Chapter Conclusion -- Chapter Five -- Summary of Chapter Five -- Section 1: Chapter Introduction -- Section 2: Enterprise Risk Management Critique Review -- Section 3: ERM Methodological basis -- Section 4: Empirical Evidence of Risk Management -- Section 5: Chapter Conclusion -- Chapter Six -- Summary of Chapter Six -- Section 1: Chapter Introduction -- Section 2: Theoretical Foundations of the Liquidity Concept -- Section 3: Methodological overview of Islamic Banks -- Section 4: Quantitative Analysis of Islamic Banks' Liquidity Risk -- Section 5: Chapter Conclusion -- Chapter Seven -- Summary of Chapter Seven -- Section 1: Chapter Introduction -- Section 2: Critical Review of Family Takaful Consumption Risks Section 3: Methodological overview of the Takaful Industry -- Section 4: Analysis of an Emerging Economy (Pakistan) -- Section 5: Chapter Conclusion -- Policies and Recommendations for Islamic Institutions Banks and banking-Religious aspects-Islam.. Banks and banking-Islamic countries.. Banks and banking-Risk management.. Financial risk management-Islamic countries |
title | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_auth | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_exact_search | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_exact_search_txtP | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_full | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_fullStr | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_full_unstemmed | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_short | Risk Management Implementation and Solutions for Islamic Banking and Finance |
title_sort | risk management implementation and solutions for islamic banking and finance |
topic | Banks and banking-Religious aspects-Islam.. Banks and banking-Islamic countries.. Banks and banking-Risk management.. Financial risk management-Islamic countries |
topic_facet | Banks and banking-Religious aspects-Islam.. Banks and banking-Islamic countries.. Banks and banking-Risk management.. Financial risk management-Islamic countries |
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