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Introduction to Takaful, Adnan Malik; Karim Ullah


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Цена: 8384.00р.
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Автор: Adnan Malik; Karim Ullah
Название:  Introduction to Takaful
ISBN: 9789813290150
Издательство: Springer
Классификация:


ISBN-10: 9813290153
Обложка/Формат: Hardcover
Страницы: 193
Вес: 0.42 кг.
Дата издания: 2019
Язык: English
Издание: 1st ed. 2019
Иллюстрации: 21 illustrations, black and white; approx. 115 p. 21 illus.
Размер: 210 x 148 x 14
Читательская аудитория: Professional & vocational
Основная тема: Finance
Подзаголовок: Theory and Practice
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание: This book provides a comprehensive account of the theory and practice of takaful, which is an Islamic alternative to insurance. The concepts are explained using real-life case studies, calculations, and exhibits to aid in reader learning and reflection. Takaful, both as an academic subject and as well as practice, is growing particularly in the world leading financial and learning hubs such as in the UK and the USA and countries with large Muslim populations in Asia, Africa, and Middle East.
Дополнительное описание: 1. Insurance.- 2. Insurance from the Shariah Perspective.- 3. Takaful and Its Shariah Compliance.- 4. Risk and Its Mitigation Techniques.- 5. Takaful Models.- 6. Family Takaful.- 7. General Takaful.- 8. Re -takaful.- 9. Distribution Channels.- 10. Underwr



Implementing Takaful in India: Prospects, Challenges, and Solutions

Автор: Salman Syed Ahmed
Название: Implementing Takaful in India: Prospects, Challenges, and Solutions
ISBN: 9811662800 ISBN-13(EAN): 9789811662805
Издательство: Springer
Цена: 13974.00 р.
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Описание: This book encourages insurance companies and regulators to explore offering Islamic insurance to boost the insurance industry in India. According to the 2012 World Takaful Report, India has immense potential for Takaful is based on the size of its Muslim population and the growth of its economy.

Takaful and Mutuality: Bridging the Gap

Автор: G. N. Lal Serap O.
Название: Takaful and Mutuality: Bridging the Gap
ISBN: 0821397249 ISBN-13(EAN): 9780821397244
Издательство: Mare Nostrum (Eurospan)
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Цена: 3465.00 р.
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Описание: Insurance plays a positive role in economic development, but some of its traditional products are inhibiting in some cultural settings. 'Takaful and Mutual Insurance: Alternative Approaches to Managing Risks' explains the development of a hybrid model. Takaful (which means 'cooperative') is intended to deal with three prohibited or haram practices under Islam: the payment of interest (riba), the existence of uncertainty in a transaction (gharar), and gambling (maysir). The primary intent of this relatively recent entry to world insurance markets is to provide a core service to Muslims and others who have religious or ethical objections to conventional commercial insurance models. A secondary intent is to develop a model that deals with the capital challenges that have faced mutual insurers in the West and the subsequent decline of the mutual business model. Two realities-the uneven approaches to takaful and the economic potential that its availability is releasing-mean that it is especially important to facilitate debates that promote an understanding of takaful. <br><br>This book-while not attempting to take on a role belonging to sharia lawyers and regulators in Islamic countries-provides a comprehensive overview of mutual insurance structures, including Christian and Jewish examples as well as other hybrid models, to provide a broad overview of the universe of operating models and to present ideas for moving forward. It also explores avenues for further opportunities, including the application of takaful to microinsurance markets in emerging countries with large Muslim populations. <br><br><em>Takaful and Mutual Insurance: Alternative Approaches to Managing Risks</em> seeks to increase the understanding, appreciation, and discussion of the challenges and solutions needed for the active development and implementation of takaful.

Good Faith in Insurance and Takaful Contracts in Malaysia

Автор: Haemala Thanasegaran
Название: Good Faith in Insurance and Takaful Contracts in Malaysia
ISBN: 9811003815 ISBN-13(EAN): 9789811003813
Издательство: Springer
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Цена: 11179.00 р.
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Описание: The adequacy of the Insurance Act 1996 (Malaysia), the Takaful Act 1984 (Malaysia), the Financial Services Act 2013 (Malaysia) and the Islamic Financial Services Act 2013 (Malaysia) is evaluated, along with the supporting infrastructure and oversight measures introduced by the Malaysian government.

Good Faith in Insurance and Takaful Contracts in Malaysia: A Comparative Perspective

Автор: Thanasegaran Haemala
Название: Good Faith in Insurance and Takaful Contracts in Malaysia: A Comparative Perspective
ISBN: 9811091471 ISBN-13(EAN): 9789811091476
Издательство: Springer
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Цена: 15372.00 р.
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Описание: The adequacy of the Insurance Act 1996 (Malaysia), the Takaful Act 1984 (Malaysia), the Financial Services Act 2013 (Malaysia) and the Islamic Financial Services Act 2013 (Malaysia) is evaluated, along with the supporting infrastructure and oversight measures introduced by the Malaysian government.

Islamic Insurance Products: Exploring Takaful Principles, Instruments and Structures

Автор: Billah Mohd Ma`sum
Название: Islamic Insurance Products: Exploring Takaful Principles, Instruments and Structures
ISBN: 3030176835 ISBN-13(EAN): 9783030176839
Издательство: Springer
Цена: 16769.00 р.
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Описание: The growth of Islamic finance today is undeniable given its services, product innovation, performance and achievements, with the Islamic insurance market being no exception;

Takaful Investment Portfolios

Автор: Tolefat Abdulrahman Khalil
Название: Takaful Investment Portfolios
ISBN: 1118385470 ISBN-13(EAN): 9781118385470
Издательство: Wiley
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Цена: 12672.00 р.
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Описание: A study of the investment portfolios of takaful companies, their general investment patterns, and their future investments. It looks at shareholders as well as general and family funds to determine where these companies are investing today, and where they are likely to invest in the future.

Systems Research II: Essays in Honor of Yasuhiko Takahara on Systems Management Theory and Practice

Автор: Kijima Kyoichi, Iijima Junichi, Sato Ryo
Название: Systems Research II: Essays in Honor of Yasuhiko Takahara on Systems Management Theory and Practice
ISBN: 9811699402 ISBN-13(EAN): 9789811699405
Издательство: Springer
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Цена: 23757.00 р.
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Описание: This book is in honor of Yasuhiko Takahara, a first-class researcher who has been active for some 50 years at the global level in systems research. Researchers and practitioners from Japan and other countries who have been influenced by Takahara have come together from far and wide to contribute their major research masterpieces in the field of systems research in the broadest sense. While the roots of Takahara’s systems research are in general systems theory and systems control theory, he developed his research and teaching in diverse directions such as management information science, engineering, social simulation, and systems thinking. As a result, many of the researchers and practitioners he supervised or influenced have established their own positions and are now active around the world in a wide range of systems research. Volume II is a collection of their masterpieces or representative works in the fields of systems management theory and practice.

Systems Research I: Essays in Honor of Yasuhiko Takahara on Systems Theory and Modeling

Автор: Kijima Kyoichi, Iijima Junichi, Sato Ryo
Название: Systems Research I: Essays in Honor of Yasuhiko Takahara on Systems Theory and Modeling
ISBN: 9811699364 ISBN-13(EAN): 9789811699368
Издательство: Springer
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Цена: 23757.00 р.
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Описание: Part 1: General Systems Theory.- Chapter 1: Mesarovic-Takahara Time Systems under the Effect of Feedback Mechanism.- Chapter 2: Generalization of Law of Requisite Variety.- Chapter 3: Isomorphy of Subsystem and Component Subsystem of Input-Output System.- Chapter 4: Meta-Analysis of Inter-theoretical Relations: Reduction, Realization and Micro-Macro Relations of Systems.- Chapter 5: Beyond Logical Approach to Systems Theory.- Chapter 6: Logic and Algebraic Structure of "Calculus of Indication" The Significance and Circumstance.- Part 2: Systems Modeling.- Chapter 7: Mutual Learning Process Model in Soft Game Perspective.- Chapter 8: Model Theory Approach for Simulation: Improvements of Model Description Language and Integration of Development Environments.- Chapter 9: Declarative Modelling for Multimodal Processes-driven Delivery Networks.- Chapter 10: A General Method for Designing General Systems.- Chapter 11: Modeling Complex Systems and their Validation: General System Theoretical Approach.

Corporate Forms and Organisational Choice in International Insurance

Автор: Pearson Robin, Yoneyama Takau
Название: Corporate Forms and Organisational Choice in International Insurance
ISBN: 0198739001 ISBN-13(EAN): 9780198739005
Издательство: Oxford Academ
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Цена: 19404.00 р.
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Описание: This book is the first to examine the development of multiple forms of organisation in insurance from a historical and international context. It is also the first to relate this history to modern organisation theory. The 13 chapters by expert scholars cover eight major markets that together account for over half of world insurance today.

Empirical Science of Financial Fluctuations

Автор: Hideki Takayasu
Название: Empirical Science of Financial Fluctuations
ISBN: 4431669957 ISBN-13(EAN): 9784431669951
Издательство: Springer
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Цена: 15672.00 р.
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Описание: Financial fluctuations were generally neglected in classical ecnomics and their basic statistical properties have only recently been elucidated in the emerging field of econophysics, a new science that analyzes data using methods developed by statistical physics, such as chaos, fractals, and phase transitions.

Recent Econometric Techniques for Macroeconomic and Financial Data

Автор: Dufrйnot Gilles, Matsuki Takashi
Название: Recent Econometric Techniques for Macroeconomic and Financial Data
ISBN: 3030542548 ISBN-13(EAN): 9783030542542
Издательство: Springer
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Цена: 20962.00 р.
Наличие на складе: Нет в наличии.

Описание:
Introduction (Gilles Dufrйnot and Takashi Matsuki, eds)
Part I. Macroeconometrics and international financeChapter 1. Quantile and copula spectrum: a new approach to investigate cyclical dependence in economic time seriesGilles Dufrйnot, Takashi Matsuki and Kimiko Sugimoto1.-Introduction: why using quantile spectrum?2.- Quantile spectrum: non-parametric and parametric Methods2.1.- Non-parametric approach2.2.- Parametric approach: quantile spectrum and quantile regression models3.- Copula spectral density and rank-based Laplace periodogram4. Estimating quantile spectrum using software4.1.-Estimation of non-parametric quantile spectrum using RATS estima4.2.- Using R package to estimate quantile spectrum and cross spectrumReferencesChapter 2. On the seemingly incompleteness of the exchange rate pass-trough to import pricesAntonia Lopez-Villavicencio and Valйrie Mignon1.-Introduction2.- Methodology3.-data3.1.-Time sample3.2- Variables3.3- Indicators of globalization3.4.- Descriptive statistics4.- Results4.1.- Accounting for globalization4.2.- Using disaggregated data accounting for the good level4.3.- Accounting for globalization at the good level5. ConclusionReferencesChapter 3. A state-space model to estimate potential growth in the industrialized countriesThomas Brand, Gilles Dufrйnot, Antoine Mayerowitz1.- Introduction2.- is potential growth led by financial variables: a simple Bayesian estimation3.- A State-space model with theoretical relationships3.1.- The general model3.2.-Sub-models and comparison with other models used in the literature3.3.-Estimation methods3.4.- Data and methods3.5.- ConclusionReferences
Chapter 4.- A top-down method for rational bubbles: application of the threshold bounds testing approach to the Japanese, UK and US Financial marketsJun Nagayasu1.-Introduction2.-The threshold autoregressive distributed lag model (T-ADRL)3.-Application: testing bubbles4.- ConclusionReferencesChapter 5.- An analysis of the time-varying behavior of the equilibrium velocity of money in the euro areaMariam Camarero, Juan Sapena and Cecilio Tamarit1.- Introduction: the shockingly low money velocity in the Euro Area (EA) and its consequences2.- Money demand and velocity: income and transactions3.- A short review of the literature4.- Methodology and estimation.4.1.-A time-varying parameters State-Space framework for panel data.4.2.- An application to the money velocity in the EA.5.- ConclusionsReferencesChapter 6.- Revisiting wealth effects in France: a double-nonlinearity approachOlivier Damette and Fredj Jawadi1.- Introduction2.- Econometric methodology2.1. Linear cointegration specification for wealth effects2.2. Threshold ECM effects for wealth effects2.3. Time varying VECM specification for wealth effects3. Data and empirical analysis3.1. Data and preliminary analysis
3.2. The linear cointegration analysis3.3. Nonlinear cointegration with asymmetric adjustment3.4. NECMs with nonlinearity in the long-run5.- ConclusionsReferencesPart II. Financial econometricsChapter 7.- Econometrics of commoditiesJean-Franзois Carpantier1.-Introduction2.- Tests of the Prebisch-Singer hypothesis3.- Tests of the commodity currenc

Recent Advances In Financial Engineering 2014 - Proceedings Of The Tmu Finance Workshop 2014

Автор: Kijima Masaaki, Muromachi Yukio & Shibata Takashi
Название: Recent Advances In Financial Engineering 2014 - Proceedings Of The Tmu Finance Workshop 2014
ISBN: 9814730769 ISBN-13(EAN): 9789814730761
Издательство: World Scientific Publishing
Цена: 15523.00 р.
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Описание: Since 2004, The Tokyo Metropolitan University (Tmu) Has Been Conducting Workshops That Serve As A Forum For Academic Researchers And Practitioners To Exchange Ideas And Developments In Different Fields Of Finance. This Book Is Based On Papers Presented At The 2014 Workshop Held In Tokyo, On 6–7 November, 2014. The Chapters Address State-Of-The-Art Techniques In Mathematical Finance And Financial Engineering. The Authors Share Ideas And Information On New Methods And Up-To-Date Results Of Their Research In These Fields. This Book Is A Must-Read For Researchers, Practitioners, And Graduate Students In The Fields Of Mathematical Finance, Quantitative Finance And Financial Engineering.


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