株式会社極東書店トップ商品一覧Risk Management in Islamic Finance : An Analysis of Derivatives Instruments in Commodity Markets.

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Risk Management in Islamic Finance

Risk Management in Islamic Finance : An Analysis of Derivatives Instruments in Commodity Markets. イスラーム金融のリスク管理

・ISBN 978-90-04-15246-5 2008 hard EUR 202.00

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電子版あり 大学・学術機関向け電子ブック(eBook)ISBN 978-90-474-4030-7

著者・編者al-Bashir Muhammad al-Amine, Muhammad,
シリーズBrill's Arab and Islamic Laws
出版社(Brill, NE)
ページ数338 pp.
言語ENG
ニュース番号<547-188 573-462>

解説

This study addresses derivatives instruments in Islamic finance. It highlights the benefits of these instruments, their legal aspects and the appropriate alternatives. The forward, futures and options contracts in commodity markets are discussed and the arguments in favour of and against these instruments examined.

The forward contracts issue includes the possibility of trading gold in forward basis, the forward market for currencies and the possible alternative to manage related risks. With the examination of futures contracts, the main arguments against such a contract are addressed, for example the sale prior to taking possession and the sale of debt hedging and speculation. The study proposes khiyar al-shart and bay al-arbun as tools of risk management and alternatives to options. The sale of pure rights is at the center of the admissibility of options in Islamic law and is investigated comprehensively.