Showing 301 - 320 results of 321 for search 'RISK MANAGEMENT IN ISLAMIC FINANCE', query time: 1.23s Refine Results
  1. 301
    by Rahmat Budiman, Noer Azam Achsani, Rifki Ismal
    Published 2018-01-01
    ...One major problem of Islamic banking in Indonesia today is the high Non-Performing Financing (NPF...
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    Article
  2. 302
    by Adam, Mohamed Ibrahim M.
    Published 1991
    ... is utilised by Islamic banks to finance documentary credits. The practical issues are reviewed and analysed...
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  3. 303
    by Laili Latifah Puspitasari, Rifqi Muhammad
    Published 2019-08-01
    ..., and Shariah Risk Management Abstrak  Penelitian ini bertujuan untuk mengevaluasi infrastruktur tata kelola...
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    Article
  4. 304
    by Magboul, Abbas
    Published 2016
    ... as well as the Islamic modes of finance, particularly the Murabaha mode, among potential users...
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  5. 305
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  7. 307
    by Muh Natsir, Luk Luk Ah
    Published 2017-04-01
    ...The success of syariah banking in the future depend on syariah banking effectivity of risk manage...
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    Article
  8. 308
    ... services management, and prevention-based education, identification of primary risk factors, and preventing...
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    Article
  9. 309
    by Mahshid Shahchera, Mahnaz Valizadeh
    Published 2018-06-01
    ... and reducing many of the bank's problems when managing the risks. Besides the internal factors, the creation...
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    Article
  10. 310
    by Amir Hidayat, Fatahul Rahman
    Published 2015-12-01
    ... by the Islamic Banking as shahibul maal in the determination of the profit sharing ratio on financing mudaraba...
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    Article
  11. 311
    by H. Vakilifard, F. Feiz Abadi
    Published 2015-12-01
    ... decisions of financial management due to influencing the risk and the return of Shareholders. Therefore...
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    Article
  12. 312
    ... growth. Banks are also expected to be able to manage their risks well, one of them is systemic risk...
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    Article
  13. 313
    .... This is an important finding, as it implies that deposit insurance policy causes bank managers to take greater risks...
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    Article
  14. 314
    by Noor Saif Muhammad Mussafi
    Published 2012-04-01
    ...Risk portfolio on modern finance has become increasingly technical, requiring the use...
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    Article
  15. 315
    ... development in recent years. With the increasing of financing, the BMT must be ready to deal with the risks...
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    Article
  16. 316
    by Rustem M. Nureev, Islam D. Surkhaev
    Published 2021-06-01
    ..., 2016. In addition, opportunities are being created to improve the quality of public finance management...
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    Article
  17. 317
    by Yulianti Manan
    Published 2019-06-01
    ... management and governance system to reduce and minimize the risk of fraud, bankruptcy, default and other...
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    Article
  18. 318
    by darus darus, Fahrial Fahrial, Randa Achmad Efendi
    Published 2020-01-01
    ... "quite instrumental" in providing of rice farm financing with a score of 2.61, with a lower percentage...
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    Article
  19. 319
    ...Policy regarding capital structure involves a tradeoff between risk rate of return which...
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    Article
  20. 320
    by Fauziah Fauziah
    Published 2018-01-01
    ... diversification, and for a financial policymaker to manage market policies effectively and handle contagion risks...
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    Article