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Full Description
This guide provides an integrated, structured process for managing risks in Islamic banks. It includes risk identification, measurement and mitigation, and compares risk management in conventional and Islamic banks. Using simulated Islamic bank financial statements, it demonstrates the integrated risk management process, and investigates how risk regulatory insights have implications for banking policy.
Contents
List of figures; List of tables; 1 Introduction; 2 Integrated risk management framework, 2.1 Risk management framework, 2.2 Risk management challenges in Islamic banks, 2.3 Integrated risk management in Islamic banks; 3 Risk Identification, 3.1 Overall bank risks, 3.2 Specific risks to Islamic banks 3.3 Risks in Islamic financial contracts; 4 Risk assessment, 4.1 Widely practised models, 4.2 Current practices in Islamic banks, 4.3 Developing risk assessment in Islamic banks; 5 Risk mitigation, 5.1 Mitigating overall risks, 5.2 Mitigating risks in contracts, 5.3 Other risk mitigation methods; 6 An Application of risk management to Islamic banks, 6.1 The Islamic bank model, 6.2 Risk analysis, 6.3 Scenario analysis, 6.4 Risk mitigation; 7 Prospects for risk regulation in Islamic banks, 7.1 Risk management regulation, 7.2 Risk management regulation status quo; 8 Conclusion; Glossary of Arabic terms; List of abbreviations; References; Index



