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  • Search: subject:"RISK PARAMETERS"
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Year of publication
Subject
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AITAB 2 Islamic banking products 2 MMP 2 MPO 2 Reward-risk parameters 2 CUSTOMS CONTROL SELECTIVITY 1 INFORMATION SUPPORT 1 Islamic countries 1 Islamic finance 1 Islamische Staaten 1 Islamisches Finanzsystem 1 RISK PARAMETERS 1 SELECTIVITY MODEL 1 SOFTWARE INFORMATION COMPLEX 1 Theorie 1 Theory 1 credit risk parameters 1 rating assignment 1 risk management 1 ИНФОРМАЦИОННОЕ ОБЕСПЕЧЕНИЕ 1 МОДЕЛЬ СЕЛЕКТИВНОСТИ 1 МОДЕЛЬ СЕЛЕКТИВНОСТі 1 ПАРАМЕТРИ РИЗИКОВАНОСТі 1 ПАРАМЕТРЫ РИСКА 1 ПРОГРАММНО-ИНФОРМАЦИОННЫЕ КОМПЛЕКСЫ 1 ПРОГРАМНО-іНФОРМАЦіЙНі КОМПЛЕКСИ 1 СЕЛЕКТИВНОСТЬ ТАМОЖЕННОГО КОНТРОЛЯ 1 СЕЛЕКТИВНіСТЬ МИТНОГО КОНТРОЛЮ 1 іНФОРМАЦіЙНЕ ЗАБЕЗПЕЧЕННЯ 1
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Free 4 CC license 1
Type of publication
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Article 4
Type of publication (narrower categories)
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Article 1 Article in journal 1 Aufsatz in Zeitschrift 1
Language
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English 3 Undetermined 1
Author
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Dudian, Monica 1 Maciuca, Monica Balcan 1 Mohamed Benaicha 1 ВЛАДИМИРОВНА, ДЖУМУРАТ ЕЛЕНА 1 ГРИГОРЬЕВИЧ, БЕРЕЖНЮК ИВАН 1
Published in...
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ISRA International Journal of Islamic Finance 1 ISRA international journal of islamic finance : an international refereed journal 1 Studies in Business and Economics 1 Бизнес Информ 1
Source
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RePEc 2 ECONIS (ZBW) 1 EconStor 1
Showing 1 - 4 of 4
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An analysis of the normative parameters of reward and risk in Islamic finance
In: ISRA International Journal of Islamic Finance 12 (2020) 3, pp. 303-323
Purpose: This study aims to define the parameters of the reward-risk principle in Islamic finance as established in the literature and discuss propositions that are presented on how such a principle is to be applied to Islamic banking products. Design/methodology/approach A descriptive approach...
Persistent link: https://www.econbiz.de/10012600428
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An analysis of the normative parameters of reward and risk in Islamic finance
Mohamed Benaicha - In: ISRA international journal of islamic finance : an … 12 (2020) 3, pp. 303-323
Purpose This study aims to define the parameters of the reward-risk principle in Islamic finance as established in the literature and discuss propositions that are presented on how such a principle is to be applied to Islamic banking products. Design/methodology/approach A descriptive approach...
Persistent link: https://www.econbiz.de/10012517341
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МОДЕЛИРОВАНИЕ ПРОЦЕССОВ СЕЛЕКТИВНОСТИ ТАМОЖЕННОГО КОНТРОЛЯ С УЧЕТОМ ОСНОВНЫХ ПАРАМЕТРОВ РИСКА ПЕРЕМЕЩЕНИЯ ТОВАРОВ ЧЕРЕЗ ТАМОЖЕННУЮ ГРАНИЦУ
ГРИГОРЬЕВИЧ, БЕРЕЖНЮК ИВАН; … - In: Бизнес Информ (2014) 3, pp. 81-86
В статье проанализированы основные тенденции развития таможенного дела в контексте упрощения таможенных формальностей и максимально допустимого уровня...
Persistent link: https://www.econbiz.de/10011271093
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INTERNAL RATINGS SYSTEMS: AN EMPIRICAL APPROACH
Dudian, Monica; Maciuca, Monica Balcan - In: Studies in Business and Economics 5 (2010) 1, pp. 71-79
The objective of this article is to describe the standard architecture of an internal rating system, based on the theoretical references and empirical evidences of a limited number of banking groups operating in UE, USA and Romania. The first part of the paper sets out the theoretical and...
Persistent link: https://www.econbiz.de/10008560011
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