000 02929cam a22003977a 4500
001 18354823
003 OSt
005 20161026150553.0
008 141031s2014 stk b 001 0 eng d
010 _a 2014469576
015 _aGBB450420
_2bnb
015 _aGBB4A2988
_2bnb
016 7 _a016713904
_2Uk
016 7 _a016873873
_2Uk
020 _a0748695699 (hbk.)
020 _a0748695702 (pbk.)
020 _a9780748695690 (hbk.)
020 _a9780748695706 (pbk.)
020 _z9780748695713 (webready pdf)
035 _a(OCoLC)ocn870290907
040 _aBTCTA
_beng
_cBTCTA
_dDLC
042 _alccopycat
049 _aAlfaisal Main Library
050 0 0 _aHD61
_b.A97 2014
100 1 _aAyoub, Sherif,
_eauthor.
245 1 0 _aDerivatives in Islamic finance :
_bexamining the market risk management framework /
_cSherif Ayoub.
260 _aEdinburgh :
_bEdinburgh University Press,
_cc2014.
300 _ax, 260 p. ;
_c22 cm.
504 _aIncludes bibliographical references (p. 229-250) and index.
505 0 _a1. Introduction -- 2. Truth formation in Mua'amalat -- 2.0. Introduction -- 2.1. The path to the truth: the role of Maslaha, Qiyas and Igma'a -- 2.2. Truth-seeking in the scripture: the reality imposed by critical rationalism and hermeneutics -- 2.3. Conclusion -- 3. Market risks and their management -- 3.0. Introduction -- 3.1. Risk and its management -- 3.2. Risk identification -- 3.3. Risk measurement -- 3.4. Risk strategy -- 3.5. Rationale for hedging -- 3.6. Conclusion -- 4. Conventional derivatives: theory and practice -- 4.0. Introduction -- 4.1. Economics of derivatives -- 4.2. Conventional derivative instruments -- 4.3. Conclusion -- 5. Derivatives in Islamic finance -- 5.0. Introduction -- 5.1. Resolutions by standard-setting bodies in Islamic jurisprudence -- 5.2. Theoretical Shari'ah issues -- 5.3. Contractual Shari'ah issues -- 5.4. Contemporary derivatives in Islamic finance -- 5.5. Conclusion -- 6. Permissibility of the underlying variables and the recognition of the contract -- 6.0. Introduction -- 6.1. Permissibility of the underlying variables: interest rate benchmarks -- 6.2. Permissibility of the underlying variables: currency benchmarks -- 6.3. The nature of money in Islam -- 6.4. Recognition of the derivative contract -- 6.5. Conclusion -- 7. Maysir, hedging and derivatives -- 7.0. Introduction -- 7.1. A conceptualisation of Maysir in Islamic and Western thought -- 7.2. Maysir, Gharar and the indeterminacy of the zero-sum prohibition -- 7.3. Investment, speculation and gambling: the environment of risk management -- 7.4. The role of financial intermediaries as speculators -- 7.5. Conclusion -- 8. Conclusion.
650 0 _aFinancial risk management
_zIslamic countries.
655 7 _aPrint books.
_2local
830 0 _aEdinburgh guides to Islamic finance.
942 _2lcc
_cBOOKS
264 _aEdinburgh :
_bEdinburgh University Press,
_cc2014.
999 _c6473
_d6473