Management of Islamic Finance: Principle, Practice, and Performance (International Finance Review, 19, Band 19) - Hardcover

Buch 7 von 10: International Finance Review
 
9781787564046: Management of Islamic Finance: Principle, Practice, and Performance (International Finance Review, 19, Band 19)

Inhaltsangabe

Islamic finance has emerged as an alternative to century-old conventional financial instruments to cater to cater to the needs of Muslims as well as non-Muslims. The industry has seen significant growth over the last two decades and has been facing omnidirectional challenges with respect to regulation, competition, and compatibility. These challenges have presented worthy debate on the principles, practices, and performance in Islamic finance globally. In this issue, we have presented issues relevant to the most recent debate on the performance, practices, and principles of the Islamic finance industry as a whole, covering eleven distinct issues. Authors have contributed to the existing body of knowledge on risk management in Islamic banks, diversification in Islamic equity markets, performance and acceptance of Islamic microcredit and Islamic banking services, long-term corporate finance using sukuk, and the social development agenda via the development of financial intuitions, SME financing, and financial inclusion. Selected topics cover the principles in relevant areas, focus on recent practices, and highlight performance on certain influential areas. The issue is aimed at academicians, researchers, and policymakers who are working in the Islamic finance industry and who would like to explore more.

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Über die Autorin bzw. den Autor

M. Kabir Hassan is Professor of Finance in the Department of Economics and Finance in the University of New Orleans. He currently holds two endowed Chairs-Hibernia Professor of Economics and Finance, and Bank One Professor in Business- in the University of New Orleans. Professor Hassan received his BA in Economics and Mathematics from Gustavus Adolphus College, Minnesota, USA, and his M.A. in Economics and Ph.D. in Finance from the University of Nebraska-Lincoln, USA. Dr Mamunur Rashid holds a PhD in Finance from National University of Malaysia and PGCHE from University of Nottingham. He is also an Associate Editor of the International Journal of Islamic and Middle Eastern Finance and Management. Dr Mamunur is a fellow of the Higher Education Academy, UK. He publishes widely on Islamic finance, corporate finance, and social responsibility. Dr Mamunur can be reached at Mamun.finance@gmail.com.

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