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Derivatives In Islamic Finance

Examining The Market Risk Management Framework

language: english
Publisher: EDINBURGH UNIVERSITY PRESS, July of 2014 ‧
155,47€
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Shedding light on the way the Islamic finance industry conceptualises the role of financial instruments in a market risk management framework that adheres to the objectives of Islamic jurisprudence, Sherif Ayoub explains the issues surrounding the avoidance of Riba (usury), Gharar (excessive uncertainty) and Maysir (gambling).

Derivatives In Islamic Finance

Examining The Market Risk Management Framework

Property Description
ISBN: 9780748695690
Publisher: EDINBURGH UNIVERSITY PRESS
Release Date: July of 2014
Language: English
Cover: Hardcover
Pages: 272
Format: Book
Collection: Edinburgh Guides To Islamic Finance
Categories: Books in English > Economics, Finance and Accounting > Finances
EAN: 9780748695690

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