An optimal risk : return portfolio of Islamic banks
Year of publication: |
2014
|
---|---|
Authors: | Ismal, Rifki |
Published in: |
Humanomics. - Bradford : Emerald Group Publ., ISSN 0828-8666, ZDB-ID 1208140-1. - Vol. 30.2014, 4, p. 286-303
|
Subject: | Islamic banking | Indonesia | Istishna | Mudarabah | Murabahah | Musharakah | Islamisches Finanzsystem | Islamic finance | Indonesien | Portfolio-Management | Portfolio selection | Malaysia |
-
An optimal risk – return portfolio of Islamic banks
Ismal, Rifki, (2014)
-
Eljelly, Abuzar M. A., (2016)
-
Danlami, Muhammad Rabiu, (2022)
- More ...
-
Central bank Islamic monetary instruments: a theoretical approach
Ismal, Rifki, (2011)
-
Volatility of the returns and expected losses of Islamic bank financing
Ismal, Rifki, (2010)
-
The Islamic gracious monetary instruments: a theoretical approach
Ismal, Rifki, (2013)
- More ...