Risk management: An analysis of issues in Islamic financial industry

Submitted by Anonymous (not verified) on Thu, 08/22/2019 - 16:15
Year
2001
Country
Saudi Arabia
Language
English
Abstract

This work first presents the concept of risk management as it more generally applies to the financial industry, and then applies these principles to Islamic finance. A survey on the use of risk management was conducted amongst Islamic financial institutions. The regulatory and fiqh-related issues are also covered, including market and credit risks. The conclusion summarizes the types of risk facing Islamic institutions and the policies that derive from them.

English
ISSN/ISBN
978-6033202352
No. of Pages
116 p.
City
Jeddah
Select type of work
CIS Program Old
CIS publications
No
CIS Thesis
No