ENGLISH

Derivatives in Islamic Finance : Examining the Market Risk Management Framework

Book information

Publisher
Edinburgh University Press
Year
2014
ISBN
9780748695713, 9780748695690
LCC
HD61 -- .A968 2014 eb
Language
english
Format
PDF
Filesize
709 kB (726194 bytes)
Series
Edinburgh Guides to Islamic Finance EUP
Edition
1
Pages
272\272
Time added
2023-08-07 05:50:22

Description

The Islamic finance industry faces the challenging task of attempting to reconcile the risk management demands of business entities with the difficulties posed by the seemingly rigid stance taken by some Shari'ah scholars over hedging practices. Offering a fresh perspective, Sherif Ayoub confronts the challenge by reformulating how we might think about the theorisation of economic matters in the Islamic faith. He also considers the associated perceptions of permissibility that have until now been confined to the legal sphere, with a focus on contractual elements. Ayoub sheds light on the way the Islamic finance industry conceptualises the role of financial instruments. Paying particular attention to derivatives in a market risk management framework that adheres to the objectives of Islamic jurisprudence, readers will come to understand the issues surrounding the avoidance of Riba (usury), Gharar (excessive uncertainty) and Maysir (gambling).

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