Publication:

Managing risk in the Islamic finance sector

Thumbnail Image

Abstracts views

83

Views & Download

68

Date
SDG:
Abstract
The nascent Islamic banking and finance sector is confronted with almost identical risks as the traditional interest-based industry. However, the Shari'ah (Islamic law) parameters for the interest-free industry introduces additional risk elements of compliance [and therefore reputational] risk and limits the use of conventional tools of risk mitigation. This section discussess the suitability of conventional risk management techniques in the Islamic banking and finance sector. The emerging risk management solutions for the sector are highlighted with some derivative options currently practiced in the Islamic finance markets.
Keywords
Islamic banking , Islamic finance , Risk
Citation
Mahomed, Z. & Ramadili Mohd, S. M. (n.d.). Managing risk in the Islamic finance sector. Malaysia as a Global Hub for Fund Administration, pp. 1 -16.
Publisher
CIAWM
DOI
Files

managing_risk_islamic_finance_sector_ziyaad_shamsher.pdf

Size: 1.86 MBFormat: pdf

Views: 10 Downloads: 58

Link Entity

Person Search Results

Now showing 1 - 2 of 2