New Perspectives on Monetary and Financial Issues
E-Book, Englisch, 544 Seiten, E-Book
Reihe: Wiley Finance Editions
ISBN: 978-1-118-50996-8
Verlag: John Wiley & Sons
Format: PDF
Kopierschutz: Adobe DRM (»Systemvoraussetzungen)
In Islamic Banking in Indonesia, renowned economist Dr. Rifki Ismal explores current issues in Islamic banking and financial products with a particular focus on the danger of liquidity risk in Indonesia. It approaches liquidity risk from the conventional perspective of international banking standards, as well as from the Islamic banking perspective. Dr. Ismal also covers the issues of asset-liability balancing, liquidity risk index, organizational structures for managing liquidity, industrial analysis, withdrawal risk, bankruptcy risk, moral hazard risk, and market risk.
Compiling all the latest academic research on liquidity risk and other risks in Islamic banking, the book provides a theoretical foundation for managing risk that will is highly useful for researchers on Islamic banking and practitioners and academics.
* Written by a renowned expert on Islamic banking who works on monetary policy at the central bank of Indonesia
* Covers the latest developments in Islamic banking, particularly liquidity risk, for a rapidly expanding market
* Ideal for European and American readers, in addition to Asian readers, who need a fuller understanding of Islamic banking institutions, markets, and products
With the latest academic research and the expertise of a leading practitioner in Islamic banking, this book offers in-depth coverage of the most pressing issues in the field.
Autoren/Hrsg.
Weitere Infos & Material
Chapter 1 Understanding Characteristics of Depositors to Develop the Indonesian Islamic Banking Industry
Chapter 2 Liquidity Risk Management: A Conventional Perspective
Chapter 3 Liquidity Risk Management: A Sharia Perspective
Chapter 4 Islamic Banking Characteristics, Economic Conditions and Liquidity Risk Problem
Chapter 5 Industrial Performance Analysis
Chapter 6 Assessing the Growth of the Islamic Banking Industry
Chapter 7 Liquidity Management Index
Chapter 8 Liquidity Risk Management: An Empirical Survey
Chapter 9 Islamic Banking Dynamic Model of Indonesia (ISLAMI)
Chapter 10 Strengthening and Improving Liquidity Management
Chapter 11 Assessing the Demand and Supply of Liquidity
Chapter 12 Depositors Withdrawal Behavior: An Empirical Survey
Chapter 13 Depositors Withdrawal Behavior: An Econometric Model
Chapter 14 Formulating Withdrawal Risk and Bankruptcy Risk
Chapter 15 An Efficient Portfolio Frontier of Financing Instruments
Chapter 16 Volatility of the Returns and Expected Losses of Islamic Bank Financing
Chapter 17 Moral Hazard Problem in Murabahah Financing
Chapter 18 Central Bank Islamic Monetary Instruments: A Theoretical Approach