Derivatives in Islamic Finance: Examining the Market Risk Management Framework (Hardback)Sherif Ayoub (author)
Hardback 272 Pages / Published: 31/07/2014
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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).
Publisher: Edinburgh University Press
Number of pages: 272
Weight: 443 g
Dimensions: 216 x 138 x 23 mm
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