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|a Hassan, M. Kabir.
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|a Management of Islamic Finance :
|b Principle, Practice, and Performance.
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|a Bingley :
|b Emerald Publishing Limited,
|c 2018.
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|a 1 online resource (264 pages)
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|a text
|b txt
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|a online resource
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|a International Finance Review Ser. ;
|v v. 19
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|a Print version record.
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|a Intro; Contents; List of Contributors; About the Editors; Introduction; 1. Introduction; 2. This Issue; 3. Future Directions; References; Chapter 1: Investigating International Portfolio Diversification Opportunities for the Asian Islamic Stock Market Investors; 1. Introduction; 2. Literature Review; 2.2. International Portfolio Diversification; 2.3. Time-varying and Time-scale-dependent Correlations; 2.4. Islamic Stocks and Portfolio Diversification; 3. Theoretical Underpinnings; 4. The Applied Methodology; 4.1. MGARCH and DCC; 4.2. Maximum Overlap Discrete Wavelet Transformation.
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|a 4.3. CWT and Wavelet Coherence5. Data Analysis and Empirical Results; 5.1. Descriptive Statistics; 5.2. Research Question 1: Should the Asian Islamic Stock Market Investors Invest in USA, European, or BRIC Markets to Gain International Portfolio Diversification Benefits?; 5.3. Research Question 2: Given the Answer from the Previous Research Question, How would the International Portfolio Diversification Strategy Change Given Different Investor Stock Holding Periods (e.g., 2-4 Days, 4-8 Days, 8-16 Days, etc.)?; 5.4. Robustness and Validation of Results -- Application of MODWT.
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|a 5.5. Summary of the Empirical Results6. Conclusion; References; Appendix 1. M-GARCH/DCC Applied Tests and Results; Chapter 2: Islamic Banks' Resilience to Systemic Risks: Myth or Reality-Evidence from Bangladesh; 1. Introduction; 2. Theoretical Basis for the Unique Risk Features of Islamic Banks; 2.1. The Prohibition of Interest and Usury (Riba); 2.2. Islamic Financial Arrangements; 2.3. Restrictions on Money for Money Transactions; 2.4. Prohibition of Excessive Uncertainty (Gharar) and Ư Speculative Behavior (Maysir); 2.5. Prohibition of Shariah Non-Halal (Haram) Transactions.
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|a 3. Empirical Evidence for the Stability of Islamic Banks4. Systemic Risk Definitions and Measurements; 5. Comments on Systemic Risk Literature; 6. Methodology; 6.1. Data; 6.2. Risk Measures; 7. Results; 8. Conclusions; References; Chapter 3: Satisfaction with Islamic Microcredit Institutions: A Borrower-Centric Approach; 1. Introduction; 2. Literature Review and Hypotheses Development; 3. Data and Methodology; 3.1. Data Collection Process and Instruments; 3.2. Analyses and Procedures; 4. Results and Discussions; 4.1. Reliability; 4.2. Content Validity.
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|a 4.3. EFA, Convergent, and Discriminant Validity4.4. Sampling Adequacy, Sampling Bias, and Multi-Collinearity Problem; 4.5. Determinants of Overall Satisfaction of Microcredit Borrowers; 5. Discussion, Policy Implications, and Limitations of the Study; 5.1. Discussion of the Findings; 5.2. Policy Implications; 5.2.1. Invest in "People"; 5.2.2. Islamic Products and Services: Profit Versus Social Responsibility; 5.2.3. Institutional Mechanism, Credit Monitoring, and Social Development; 5.2.4. Overshadowing Financial Inclusion and Marketing of MCI Services; 5.3. Limitations of the Study.
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|a References.
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|a 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.
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|a ProQuest Ebook Central
|b Ebook Central Academic Complete
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650 |
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|a Finance
|x Religious aspects
|x Islam.
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650 |
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|a Finance
|z Islamic countries.
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650 |
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|a Finances
|z Pays musulmans.
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650 |
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|a Finance.
|2 bicssc
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|a Business & Economics
|x Finance
|x General.
|2 bisacsh
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|a Finance
|2 fast
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|a Finance
|x Religious aspects
|x Islam
|2 fast
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|a Islamic countries
|2 fast
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|a Rashid, Mamunur.
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758 |
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|i has work:
|a Management of Islamic Finance (Text)
|1 https://id.oclc.org/worldcat/entity/E39PCGFrhY38F9jRT6Xt7RwKkC
|4 https://id.oclc.org/worldcat/ontology/hasWork
|
776 |
0 |
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|i Print version:
|a Hassan, M. Kabir.
|t Management of Islamic Finance : Principle, Practice, and Performance.
|d Bingley : Emerald Publishing Limited, ©2018
|z 9781787564046
|
830 |
|
0 |
|a International Finance Review Ser.
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856 |
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|u https://ebookcentral.uam.elogim.com/lib/uam-ebooks/detail.action?docID=5589434
|z Texto completo
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|a Askews and Holts Library Services
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