Risk Sharing in Finance

Risk Sharing in Finance
Title Risk Sharing in Finance PDF eBook
Author Hossein Askari
Publisher
Pages 0
Release 2015-09-26
Genre Finance
ISBN 9781119199328

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Financial Innovation and Risk Sharing

Financial Innovation and Risk Sharing
Title Financial Innovation and Risk Sharing PDF eBook
Author Franklin Allen
Publisher MIT Press
Pages 398
Release 1994
Genre Business & Economics
ISBN 9780262011419

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Franklin Allen and Douglas Gale assemble some of their key papers along with a five-chapter overview that not only synthesizes their work but provides a historical and institutional review and a discussion of alternative approaches as well.

Islamic Finance, Risk-Sharing and Macroeconomic Stability

Islamic Finance, Risk-Sharing and Macroeconomic Stability
Title Islamic Finance, Risk-Sharing and Macroeconomic Stability PDF eBook
Author Muhamed Zulkhibri
Publisher Springer
Pages 272
Release 2019-02-20
Genre Business & Economics
ISBN 3030052257

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The concept of risk-sharing in financial and social contracts is one of the unique features of Islamic finance. Many theoretical studies generally claim superiority of an Islamic financial system based on pure equity and participatory modes of financing, while empirical studies provide mixed results. Studies and discussions are needed to fully understand how Islamic finance could contribute to the ongoing discussion of financial stability. Against this background, this book addresses various aspects of Islamic finance and the risk-sharing mechanism contributions to the overall macroeconomic and financial stability. Undoubtedly, the findings and recommendation from this book should be of great interest not only to future academic researchers in the field of macroeconomic stability and Islamic finance, but also to policy makers and regulators who are keen on drawing lessons from Islamic finance experiences to prevent similar crisis in the future.

Risk Management Strategies in Public-Private Partnerships

Risk Management Strategies in Public-Private Partnerships
Title Risk Management Strategies in Public-Private Partnerships PDF eBook
Author Obicci, Peter Adoko
Publisher IGI Global
Pages 383
Release 2017-03-03
Genre Business & Economics
ISBN 1522525041

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Governments around the globe are facing a new framework of service delivery as public-private partnerships become more prevalent. Characterized as an innovative tool for change, this area of socio-economic development is transforming the world economy. Risk Management Strategies in Public-Private Partnerships is an essential reference source for the latest scholarly research on recent developments on the relationships between public agencies and private sectors, and frameworks for effectively managing risk factors. Featuring extensive coverage on a wide variety of topics and perspectives such as service delivery, sustainability, and contractual design, this publication is ideally designed for policy makers, students, and professionals seeking current research on ways to manage problems and challenges in contractual partnerships.

Wealth Inequality, Asset Redistribution and Risk-Sharing Islamic Finance

Wealth Inequality, Asset Redistribution and Risk-Sharing Islamic Finance
Title Wealth Inequality, Asset Redistribution and Risk-Sharing Islamic Finance PDF eBook
Author Tarik Akin
Publisher De Gruyter Oldenbourg
Pages 0
Release 2019
Genre Business & Economics
ISBN 9783110583731

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The economics of wealth inequality is a nascent area of research. Although evidence shows that debt, interest, and leverage are drivers of increasing wealth inequalities, the literature is reluctant to focus on the debt-based system as a main culpri

Comparing Financial Systems

Comparing Financial Systems
Title Comparing Financial Systems PDF eBook
Author Franklin Allen
Publisher MIT Press
Pages 524
Release 2000
Genre Business & Economics
ISBN 9780262011778

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Why do different countries have such different financial systems? Is one system better than the other? This text argues that the view that market-based systems are best is simplistic, and suggests that a more nuanced approach is necessary.

The Risks of Financial Institutions

The Risks of Financial Institutions
Title The Risks of Financial Institutions PDF eBook
Author Mark Carey
Publisher University of Chicago Press
Pages 669
Release 2007-11-01
Genre Business & Economics
ISBN 0226092984

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Until about twenty years ago, the consensus view on the cause of financial-system distress was fairly simple: a run on one bank could easily turn to a panic involving runs on all banks, destroying some and disrupting the financial system. Since then, however, a series of events—such as emerging-market debt crises, bond-market meltdowns, and the Long-Term Capital Management episode—has forced a rethinking of the risks facing financial institutions and the tools available to measure and manage these risks. The Risks of Financial Institutions examines the various risks affecting financial institutions and explores a variety of methods to help institutions and regulators more accurately measure and forecast risk. The contributors--from academic institutions, regulatory organizations, and banking--bring a wide range of perspectives and experience to the issue. The result is a volume that points a way forward to greater financial stability and better risk management of financial institutions.