Библиография к Главе 5:
1. Innovation and Risk Management in Islamic Finance: Shari’ah Considerations. Monzer kahf.
Seventh Harvard International Forum on Islamic Finance, April 22-23, 2006
2. The Islamic Debt MArket for Sukuk Securities. The Theory and Practice of Profit Sharing
Investment. Mohamed Ariff, Munawar Iqbal 2012 pp 86-88
3. Muslim, Jami'al-Sahih, Kitab al-Buyu', No 3614
4. Islamic Finance: Law and Practice. Edited by Craig R. Nethercott, David M. Eisenberg. Oxford
University Press, 2012 pp. 105-107
5. An Economic Explication of the Prohibition of Gharar in Classical Islamic Jurisprudence.
Mahmoud A. El-Gamal. 2001. Page 1.
139
6. Risk Management in Islamic Finance. Assoc Prof. Dr. Mohamad Akram Laldin
7. A Simple Fiqh-and-Economics Rationale for Mutualization in Islamic Financial Intermediation.
Mahmoud A. El-Gamal. Rice University 2006.
8. Islamic Finance Law, Economics, and Practice. Mahmoud A. El-Gamal. Cambridge University
Press 2006. PP.58-59.
9. The Islamic Debt Market for Sukuk Securities: The Theory and Practice of Profit Sharing
Investment. Mohamed Ariff Munawar Iqbal Shamsher Mohamad - January 1, 2012
10. The Permissible Gharar (Risk) in Classical Islamic Jurisprudence. Abdul-Rahim Al-Saati. J.Kau:
Islamic Econ., Vol. 16, No. 2, pp. 3-19 (1424 A.H / 2003 A.D).
11. Risk Management For Islamic Bank. R.A.Salem. Edunburgh University Press 2013 pp.29-30
12. Assessing Risk Profiles of Islamic Banks Seminar On Islamic Deposit Insurance, Kuala Lumpur
18-19 August 2008.
13. Risk Management. An Analysis of Issues in Islamic Financial Industry 2001. T. Khan, H. Ahmed
14. Abdul Majid, Abdul Rais. 2003. Development Of Liquidity Management Instruments:
Challenges And Opportunities,//International Conference on Islamic Banking: Risk Management, Regulation
and Supervision, Jakarta –Indonesia, Sept 30- to October 3, 2003.
15. Islamic Modes of Finance and Associated Liquidity Risks. Salman Syed Ali.//Conference on
Monetary Sector in Iran: Structure, Performance and Challenging Issues Tehran – February, 2004.
16. Risk Analysis for Islamic Banks Hennie van Greuning and Zamir Iqbal.// IBRD, 2008 p. 160
17. Advances in Islamic Economics and Finance. Volume 1. M. Iqbal et al. 2007 p.133
18. Grais, W., and A. Kulathunga, 2007 Capital structure and risk in Islamic financial services//
Islamic finance: The regulatory challenge, ed. S Archer and R. Abdel Karim, Singapore: John Wiley & Sons.
19. Introducing Islamic Banks into Conventional Banking Systems. Juan A. Sole//IMF, July 2007
20. Risk Measurement and Disclosure in Islamic Finance and the Implications of Profit Sharing
Investment Accounts. V. Sundararajan.
21. Quantitative Risk Management:Concepts, Techniques and Tools Alexander J. McNeil, Rudiger
Frey, Paul Embrechts. May 17, 2005
22. Allocation of Risk Capital in Financial Institutions. Francesco Saita. Financial Management Vol.
28, No. 3 (Autumn, 1999), pp. 95-111
23. Journal of Banking Regulation (2009) 10, pp. 153–163. Risks in Islamic banks: Evidence from
empirical research N.M. Ariffin, S. Archer and R. A.A. Karim
24. Supervisory Implications of Islamic Banking: A Supervisor's Perspective. Toby Fiennes//Islamic
Finance: The Regulatory Challenge — Simon Archer, Rifaat Ahmed Abdel Karim, chap. 12. John Wiley &
Sons (Asia), 2007.
25. Financial Risk Management for Islamic Banking and Finance. Palgrave Macmillan. 2007. by
Akkizidis I. & S. Khandelwal (2007).
26. Akkizidis, I. and Khandelwal, S. K. 2008, Financial Risk Management for Islamic Banking and
Finance , Palgrave Macmillan, First Ed
27. Al-Tamimi, H. and Al-Mazrooei M., 2007, Banks’ risk management: a comparison study of
UAE national and foreign banks // The Journal of Risk Finance, Vol. 8 No.4,
28. Archer, S. and Haron, A. 2007, Operational Risk Exposures of Islamic Banks ,
29. Baldoni, R. J., A Best Practices Approach to Risk Management // TMA Journal, Jan/Feb1998
30. Kaouther Toumi I, Jean Laurent Vivani Islamic Banks exposure to displaced commercial risk:
identification and measurement//CR2M, UniversitMontpellier1UR Finance Quantitative, IHEC Sousse, Tunisia
31. Ahmed, N. (2008). 6th Internationl Islamic Finance Confernence. Basel II Capital Adequacy
Requirements: Implementation Challenges for Islamic Banks IIUM.
32. Ahmed, T. k. (2001). Risk management - Islamic Financial Industry (an anyalysis os issues in
islamic financial industry). Jeddah - Saudi Arabia. Board), I. (. (Dec 2005). Guiding Principle On Liquidity
Risk Management For Instituations Offering Islamic Financial Service. Kulalmbur: IFSB.
140
Достарыңызбен бөлісу: |