Risk Management in Islamic Financial Institutions

Publikasi Unusia

Risk Management in Islamic Financial Institutions

Tampilkan catatan item lengkap

Judul: Risk Management in Islamic Financial Institutions
Penulis: Mohamed Ebrahim
Abstrak: Islamic finance (Capital Markets, Banking and Insurance) has emerged from a niche financial market to the mainstream of finance. The geographic market, clientele served, products base and volume of funds have grown significantly. Furthermore, the players have increased and now include not only pure Islamic institutions but also hybrid players (conventional bank with Islamic Finance windows). Therefore, not understanding the unique risks of the Islamic Finance model (risk sharing and risk pooling) can cause a failure of the model igniting a financial crises with a ripple effect on the Islamic faith. Hence, managing these unique risks is extremely important.
URI: http://books.google.co.id/books?id=9fObzAEACAAJ&dq=intitle:Islamic+Financial+Management&hl=&source=gbs_api
https://repository.bungabangsacirebon.ac.id/repo/handle/123456789/2656
Tanggal: 2022-09-27


File dalam item ini

File Ukuran Format Lihat

Tidak ada file yang diasosiasikan dengan item ini.

Item ini muncul di Koleksi berikut

Tampilkan catatan item lengkap

Telusuri Repositori


Pencarian Lanjutan

Jelajahi

Akun Saya