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The economist's craft : an introduction to research, publishing, and professional development / / Michael S. Weisbach
The economist's craft : an introduction to research, publishing, and professional development / / Michael S. Weisbach
Autore Weisbach Michael S (Michael Steven)
Pubbl/distr/stampa Princeton, New Jersey : , : Princeton University Press, , [2021]
Descrizione fisica 1 online resource (321 pages)
Disciplina 330.023
Collana Skills for scholars
Soggetto topico Economics - Research
Social sciences - Research - Methodology
Soggetto non controllato A Tenured Professor
Academic publishing
Accessibility
Active voice
Adviser
Alfred Hitchcock
Assistant professor
Author
Bankruptcy
Behavior
Board of directors
Career
Carmen Reinhart
Chi-squared test
Clause
Coefficient
Comma splice
Commercial lender (U.S.).
Comparative advantage
Competitiveness
Computer performance
Credit rating
Credit risk
Creditor
Criticism
Database
Discretion
Doctor of Philosophy
Econometrics
Economist
Editorial
Email
Faculty (academic staff)
Fast food
Fiction
Finance
Fischer Black
Glory Road
Government agency
Graduate school
Grammarly
Greg Mankiw
Human capital
Information technology
Investment
Journal of Financial Economics
Journal of International Economics
Journal of Political Economy
Leveraged buyout
Lewis's.
Literature review
Literature
Marketing
Mathematical finance
Mathematics
Mentorship
News
Organization
Paragraph
Pierre de Fermat
Pizza
Positive feedback
Postdoctoral researcher
Principles (retailer)
Probability
Profession
Professor
Prose
Prospect theory
Publication
Quantity
Recommendation letter
Reputation
Requirement
Research program
Result
Role model
Run-on sentence
Scholarship
Seminar
Sexism
Simulation
Skill
Skype
Social science
Stephen E. Ambrose
Student View
Suggestion
Tax Benefit
The Elements of Style
Thesis
Trade-off
Uncertainty
Undergraduate education
Unless
Venture capital
William Zinsser
World economy
Write-Up
Writing
ISBN 1-80316-164-7
0-691-21658-4
Classificazione BUS069000STU000000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto 9. Making Presentations -- 10. Distributing, Revising, and Publicizing Research -- 11. The Journal Review Process -- Part IV. Being a Successful Academic -- 12. How to Be a Productive Doctoral Student -- 13. How to Be a Diligent Thesis Adviser -- 14. Managing an Academic Career -- Epilogue-Academic Success beyond the PhD -- Bibliography -- Index
Cover -- Contents -- Preface -- 1. Introduction-How Academic Research Gets Done -- Part I. Selecting a Topic -- 2. Selecting Research Topics -- 3. Strategic Issues in Constructing Research Portfolios -- Part II. Writing a Draft -- 4. An Overview of Writing Academic Research Papers -- 5. The Title, Abstract, and Introduction -- 6. The Body of the Paper: The Literature Review, Theory, Data Description, and Conclusion Sections -- 7. Reporting Empirical Work -- 8. Writing Prose for Academic Articles -- Part III. Once a Draft Is Complete: Presentations, Distribution, and Publication
Record Nr. UNINA-9910554242203321
Weisbach Michael S (Michael Steven)  
Princeton, New Jersey : , : Princeton University Press, , [2021]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The great recession and its aftermath : evidence from Micro-Data / / edited by Holger Görg and Joachim Wagner ; with contributions by Lutz Bellmann [and fourteen others]
The great recession and its aftermath : evidence from Micro-Data / / edited by Holger Görg and Joachim Wagner ; with contributions by Lutz Bellmann [and fourteen others]
Pubbl/distr/stampa Stuttgart : , : Lucius & Lucius, , [2014]
Descrizione fisica 1 online resource (192 pages)
Disciplina 330.90511
Soggetto topico Global Financial Crisis, 2008-2009
Recessions
Economic policy
Soggetto non controllato Crisis
German Enterprises
Investment
Trade
ISBN 3-11-051116-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Frontmatter -- Inhalt / Contents -- Guest Editorial -- Abhandlungen / Original Papers -- International Investment and Firm Performance: Empirical Evidence from Small Open Economies / Siedschlag, lulia / Kaitila, Ville / Mc Quinn, John / Zhang, Xiaoheng -- Redirecting International Trade: Contracts, Conflicts, and Institutions / Kokko, Ari / Söderlund, Bengt / Gustavsson Tingvall, Patrik -- How Did the Economic Crisis Influence New Firm Creation? / Hundt, Christian / Sternberg, Rolf -- Risk or Resilience? The Role of Trade Integration and Foreign Ownership for the Survival of German Enterprises During the Crisis 2008-2010 / Wagner, Joachim / Gelübcke, John P. Weche -- Inward Investment and the Drivers of Post Recession Recovery in Germany / Driffield, Nigel / Temouri, Yama -- The Skill Shortage in German Establishments Before, During and After the Great Recession / Bellmann, Lutz / Hübler, Olaf -- Buchbesprechungen / Book Reviews / Haas, Samuel de / Götz, Georg / Caspari, Volker / Radulescu, Doina Maria / Peukert, Helge -- Backmatter
Record Nr. UNINA-9910798629103321
Stuttgart : , : Lucius & Lucius, , [2014]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
The great recession and its aftermath : evidence from Micro-Data / / edited by Holger Görg and Joachim Wagner ; with contributions by Lutz Bellmann [and fourteen others]
The great recession and its aftermath : evidence from Micro-Data / / edited by Holger Görg and Joachim Wagner ; with contributions by Lutz Bellmann [and fourteen others]
Pubbl/distr/stampa Stuttgart : , : Lucius & Lucius, , [2014]
Descrizione fisica 1 online resource (192 pages)
Disciplina 330.90511
Soggetto topico Global Financial Crisis, 2008-2009
Recessions
Economic policy
Soggetto non controllato Crisis
German Enterprises
Investment
Trade
ISBN 3-11-051116-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Frontmatter -- Inhalt / Contents -- Guest Editorial -- Abhandlungen / Original Papers -- International Investment and Firm Performance: Empirical Evidence from Small Open Economies / Siedschlag, lulia / Kaitila, Ville / Mc Quinn, John / Zhang, Xiaoheng -- Redirecting International Trade: Contracts, Conflicts, and Institutions / Kokko, Ari / Söderlund, Bengt / Gustavsson Tingvall, Patrik -- How Did the Economic Crisis Influence New Firm Creation? / Hundt, Christian / Sternberg, Rolf -- Risk or Resilience? The Role of Trade Integration and Foreign Ownership for the Survival of German Enterprises During the Crisis 2008-2010 / Wagner, Joachim / Gelübcke, John P. Weche -- Inward Investment and the Drivers of Post Recession Recovery in Germany / Driffield, Nigel / Temouri, Yama -- The Skill Shortage in German Establishments Before, During and After the Great Recession / Bellmann, Lutz / Hübler, Olaf -- Buchbesprechungen / Book Reviews / Haas, Samuel de / Götz, Georg / Caspari, Volker / Radulescu, Doina Maria / Peukert, Helge -- Backmatter
Record Nr. UNINA-9910814332303321
Stuttgart : , : Lucius & Lucius, , [2014]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Guaranteed to fail [[electronic resource] ] : Fannie Mae, Freddie Mac, and the debacle of mortgage finance / / Viral V. Acharya ... [et al.]
Guaranteed to fail [[electronic resource] ] : Fannie Mae, Freddie Mac, and the debacle of mortgage finance / / Viral V. Acharya ... [et al.]
Autore Acharya Viral V.
Edizione [Course Book]
Pubbl/distr/stampa Princeton, : Princeton University Press, c2011
Descrizione fisica 1 online resource (233 p.)
Disciplina 332.7/20973
Altri autori (Persone) AcharyaViral V
Soggetto topico Business failures - United States - History - 21st century
Financial crises - United States - History - 21st century
Housing - United States - Finance
Mortgage loans - Government policy - United States
Soggetto non controllato Affordable housing
Agency debt
Alt-A
Asset management
Asset
Balance sheet
Bank of America
Bank run
Bank
Bear Stearns
Ben Bernanke
Capital market
Capital requirement
Cash
Central bank
Citigroup
Commercial bank
Conservatorship
Countrywide
Credit (finance)
Credit risk
Credit score in the United States
Credit score
Creditor
Debt
Dodd–Frank Wall Street Reform and Consumer Protection Act
Down payment
Economics
Economist
Economy
Equity (finance)
Fannie Mae
Federal Housing Administration
Federal Housing Finance Agency
Finance
Financial crisis
Financial institution
Financial services
Fixed-rate mortgage
Foreclosure
Freddie Mac
Funding
Government National Mortgage Association
Government debt
Guarantee
Hedge fund
Heitor Almeida
Henry Paulson
Home equity
Household
Income
Insolvency
Insurance
Interest rate risk
Interest rate
Investment
Investor
JPMorgan Chase
Lehman Brothers
Lender of last resort
Leverage (finance)
Line of credit
Macroeconomics
Market discipline
Market liquidity
Monetary policy
Moral hazard
Mortgage Rate
Mortgage bank
Mortgage loan
Payment
Pension fund
Percentage
Private mortgage
Private sector
Privatization
Quantitative easing
Race to the bottom
Real estate appraisal
Real estate economics
Receivership
Recession
Refinancing
Repurchase agreement
Resolution Trust Corporation
Return on equity
Saving
Savings and loan association
Secondary mortgage market
Securitization
Security (finance)
Subprime
Subsidy
Systemic risk
Too big to fail
Underwriting Standards
Underwriting
Value (economics)
Washington Mutual
Working paper
ISBN 1-283-01208-1
9786613012081
1-4008-3809-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front matter -- Contents -- Acknowledgments -- Prologue -- ONE. Feeding the Beast -- TWO. Ticking Time Bomb -- THREE. Race to the Bottom -- FOUR. Too Big to Fail -- FIVE. End of Days -- SIX. In Bed with the Fed -- SEVEN. How Others Do It -- EIGHT. How to Reform a Broken System -- NINE. Chasing the Dragon -- Epilogue -- Appendix: Timeline of U.S. Housing Finance Milestones -- Notes -- Glossary -- Index
Record Nr. UNINA-9910785578803321
Acharya Viral V.  
Princeton, : Princeton University Press, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Guaranteed to fail [[electronic resource] ] : Fannie Mae, Freddie Mac, and the debacle of mortgage finance / / Viral V. Acharya ... [et al.]
Guaranteed to fail [[electronic resource] ] : Fannie Mae, Freddie Mac, and the debacle of mortgage finance / / Viral V. Acharya ... [et al.]
Autore Acharya Viral V.
Edizione [Course Book]
Pubbl/distr/stampa Princeton, : Princeton University Press, c2011
Descrizione fisica 1 online resource (233 p.)
Disciplina 332.7/20973
Altri autori (Persone) AcharyaViral V
Soggetto topico Business failures - United States - History - 21st century
Financial crises - United States - History - 21st century
Housing - United States - Finance
Mortgage loans - Government policy - United States
Soggetto non controllato Affordable housing
Agency debt
Alt-A
Asset management
Asset
Balance sheet
Bank of America
Bank run
Bank
Bear Stearns
Ben Bernanke
Capital market
Capital requirement
Cash
Central bank
Citigroup
Commercial bank
Conservatorship
Countrywide
Credit (finance)
Credit risk
Credit score in the United States
Credit score
Creditor
Debt
Dodd–Frank Wall Street Reform and Consumer Protection Act
Down payment
Economics
Economist
Economy
Equity (finance)
Fannie Mae
Federal Housing Administration
Federal Housing Finance Agency
Finance
Financial crisis
Financial institution
Financial services
Fixed-rate mortgage
Foreclosure
Freddie Mac
Funding
Government National Mortgage Association
Government debt
Guarantee
Hedge fund
Heitor Almeida
Henry Paulson
Home equity
Household
Income
Insolvency
Insurance
Interest rate risk
Interest rate
Investment
Investor
JPMorgan Chase
Lehman Brothers
Lender of last resort
Leverage (finance)
Line of credit
Macroeconomics
Market discipline
Market liquidity
Monetary policy
Moral hazard
Mortgage Rate
Mortgage bank
Mortgage loan
Payment
Pension fund
Percentage
Private mortgage
Private sector
Privatization
Quantitative easing
Race to the bottom
Real estate appraisal
Real estate economics
Receivership
Recession
Refinancing
Repurchase agreement
Resolution Trust Corporation
Return on equity
Saving
Savings and loan association
Secondary mortgage market
Securitization
Security (finance)
Subprime
Subsidy
Systemic risk
Too big to fail
Underwriting Standards
Underwriting
Value (economics)
Washington Mutual
Working paper
ISBN 1-283-01208-1
9786613012081
1-4008-3809-6
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Front matter -- Contents -- Acknowledgments -- Prologue -- ONE. Feeding the Beast -- TWO. Ticking Time Bomb -- THREE. Race to the Bottom -- FOUR. Too Big to Fail -- FIVE. End of Days -- SIX. In Bed with the Fed -- SEVEN. How Others Do It -- EIGHT. How to Reform a Broken System -- NINE. Chasing the Dragon -- Epilogue -- Appendix: Timeline of U.S. Housing Finance Milestones -- Notes -- Glossary -- Index
Record Nr. UNINA-9910828320503321
Acharya Viral V.  
Princeton, : Princeton University Press, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
International bond investor
International bond investor
Pubbl/distr/stampa London, : Euromoney Publications PLC, 1993-©1999
Descrizione fisica 1 online resource
Disciplina 332.63/23/05
Soggetto topico Bonds - Europe
Euro-dollar market
Institutional investments - Europe
Bonds
Institutional investments
Beleggingen
Soggetto genere / forma Periodicals.
Soggetto non controllato Investment
Formato Materiale a stampa
Livello bibliografico Periodico
Lingua di pubblicazione eng
Altri titoli varianti Bond investor
Record Nr. UNISA-996335539703316
London, : Euromoney Publications PLC, 1993-©1999
Materiale a stampa
Lo trovi qui: Univ. di Salerno
Opac: Controlla la disponibilità qui
Political risk and the institutional environment for foreign direct investment in Latin America : an empirical analysis with a case study on Mexico / / Jörg Stosberg
Political risk and the institutional environment for foreign direct investment in Latin America : an empirical analysis with a case study on Mexico / / Jörg Stosberg
Autore Stosberg Jörg
Edizione [1st ed.]
Pubbl/distr/stampa Bern, : Peter Lang International Academic Publishing Group, 2018
Descrizione fisica 1 online resource (342)
Disciplina 332.673098
Collana Göttingen Studies in Development Economics
Soggetto topico Investments, Foreign - Latin America
Investments, Foreign - Mexico
Soggetto non controllato America
Analysis
Case
Direct
Direktinvestition
Empirical
Environment
Foreign
Foreign Direct Investment
Institutional
Investment
Lateinamerika
Latin
Mexico
Multinational enterprise
Political
Politische Steuerung
Politisches Risiko
Risk
Stosberg
Study
with
ISBN 3-631-75364-0
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Cover -- List of Figures -- List of Tables -- List of Abbreviations -- List of Variables -- 1 Introduction -- 1.1 The Problem -- 1.2 Concept and Methodology -- 2. Risk in the Theory of Investment -- 2.1 General Theory of Investment -- 2.1.1 Basic Theory of Investment -- 2.1.1.1 Definition and Categories of Investment -- 2.1.1.2 Opportunity Costs, Time Preference and Net Present Value Approach -- 2.1.2 Models of Investment under Certainty -- 2.1.2.1 Overview -- 2.1.2.2 The q-theory of Tobin -- 2.1.2.2.1 The Basic Model -- 2.1.2.2.2 The Romer Model -- 2.1.2.2.2.1 The Model -- 2.1.2.2.2.2 Analyzing the Model -- 2.1.2.3 Critical Evaluation of the Models -- 2.1.3 Investment under Uncertainty -- 2.1.3.1 Overview -- 2.1.3.2 Characteristics of Uncertainty and Risk -- 2.1.3.3 Uncertainty in the Romer Model -- 2.1.3.3.1 Modification of the Model -- 2.1.3.3.2 Effects of Uncertainty on Reversible Investments -- 2.1.3.3.3 Effects of Uncertainty on Irreversible Investment -- 2.1.3.4 The Dixit/Pindyck Model -- 2.1.3.4.1 Overview -- 2.1.3.4.2 The Model -- 2.1.3.4.3 Analyzing the Model -- 2.1.3.5 Critical Evaluation of the Models -- 2.1.4 Summary of Propositions -- 2.2 Theory of International Investment -- 2.2.1 Overview -- 2.2.2 Definition and Characteristics of FDI -- 2.2.3 Theoretical Determinants of FDI -- 2.2.3.1 Overview -- 2.2.3.2 The Eclectic Paradigm as Analytical Framework -- 2.2.4 Empirical Studies of Aggregate FDI -- 2.2.4.1 Overview -- 2.2.4.2 Empirical Determinants of FDI -- 2.2.5 Political Risk and International Investment -- 2.2.5.1 Definition of Political Risk -- 2.2.5.2 Categories of Political Risk and Anecdotal Evidence -- 2.2.5.3 Modeling Political Risks for International investors -- 2.2.5.3.1 Existing Models of Political Risks -- 2.2.5.3.2 Implications of General Investment Models -- 2.2.5.4 Empirical Evidence -- 2.3 Concluding Remarks.
2.4 Chapter Summary -- 3. Political Risk and National Institutions -- 3.1 Political Institutions and Economic Performance -- 3.1.1 Overview -- 3.1.2 The Analytical Framework -- 3.1.2.1 Theoretical Foundations -- 3.1.2.2 Property Rights -- 3.1.2.3 The Concept of Credible Commitment -- 3.1.2.4 Rule of Law -- 3.1.2.5 Discretionary Freedom of the Government -- 3.1.2.6 The Concept of Social Capital -- 3.1.3 Political Regime Type and FDI -- 3.1.3.1 Systematic Order Of Political Regimes -- 3.1.3.2 Economic Analysis of Political Regimes -- 3.2. Modeling the Emergence of Political Risks -- 3.2.1 Classical Political Risk Models -- 3.2.2 The Political Constraints Model -- 3.2.3 The Effective Party Approach -- 3.2.4 Synthesis and Hypothesis -- 3.3 Empirical Measures of Political Risks -- 3.3.1 Overview -- 3.3.2 The International Country Risk Guide (ICRG) -- 3.3.3 The POLCON-Index -- 3.3.4 Critical Evaluations of the Indices -- 3.4 Mitigating Political Risk -- 3.4.1 Overview -- 3.4.2 National Mitigation Strategies -- 3.4.2.1 Investment Incentives, Social Standards and Environmental Legislation -- 3.4.2.2 Macroeconomic Stability -- 3.4.2.3 Accountability, Transparency and Rules-Based Governance -- 3.4.3 International Strategies -- 3.4.3.1 Multilateral Agreements -- 3.4.3.2 Bilateral Agreements and Regional Integration -- 3.5 Conclusion -- 3.6 Chapter Summary -- 4. Political Risk and FDI in Latin America -- 4.1 Stylized Facts on Foreign Investment in Latin America -- 4.2 Empirical Investigation of the Impact of Political Risk on FDI -- 4.2.1 Methodology -- 4.2.2 Model Specification -- 4.2.3 Data Issues -- 4.2.4 Results -- 4.3 Conclusions -- 4.4 Chapter Summary -- 5. Political Risk and FDI in Mexico -- 5.1 Politics in Mexico -- 5.1.1 Stylized Facts of Mexican Political History -- 5.1.2 The Current Political System in Mexico -- 5.1.2.1 Overview.
5.1.2.2 The Executive Branch of Government -- 5.1.2.3 The Legislative Branch of Government -- 5.1.2.4 The National Judiciary -- 5.1.2.5 The Political Parties -- 5.1.2.6 The Federalist System -- 5.1.2.7 Freedom of Speech, Press and Media -- 5.2 Foreign Capital Flows to Mexico -- 5.2.1 Brief Economic History -- 5.2.1.1 Overview -- 5.2.1.2 The Reform Period 1982-today -- 5.2.2 The Evolution of Foreign Investment to Mexico -- 5.2.2.1 The Mexican Foreign Investment Legislation -- 5.2.2.1.1 The Evolution of the National FDI Legislation -- 5.2.2.1.2 Investment Legislation of NAFTA and other Bilateral Agreements -- 5.2.2.2 Mexican Foreign Investment Policy and Inflows of FDI to Mexico -- 5.2.2.3 The Structure and Geographical Origins of FDI to Mexico -- 5.3 Political Risk in Mexico -- 5.3.1 Overview -- 5.3.2 The Macroeconomic Environment -- 5.3.3 Mexican Institutions and Risk -- 5.3.3.1 Government Stability, Political Constraints and Regime Type -- 5.3.3.2 Rule Of Law -- 5.3.3.3 Corruption -- 5.3.3.4 Protection of Property Rights -- 5.3.4 Societal Factors of Risk -- 5.3.4.1 Overview -- 5.3.4.2 Ethnic, Religious and other Internal Conflicts -- 5.3.4.3 Governmental Legitimacy in Mexico -- 5.3.5 Aggregate Political Risk in Mexico -- 5.4 Risk Mitigation Strategies in Mexico -- 5.4.1 National Risk Mitigation Strategies -- 5.4.1.1 Investment Enhancement by Incentives -- 5.4.1.2 The Beauty Contest -- 5.4.2 The International Risk Mitigation Strategy -- 5.5 Conclusion -- 5.6 Chapter Summary -- 6. Conclusion and Outlook -- Annex I -- Annex II -- References.
Record Nr. UNINA-9910297040003321
Stosberg Jörg  
Bern, : Peter Lang International Academic Publishing Group, 2018
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Quantitative Investing : From Theory to Industry / Lingjie Ma
Quantitative Investing : From Theory to Industry / Lingjie Ma
Autore Ma, Lingjie
Pubbl/distr/stampa Cham, : Springer, 2020
Descrizione fisica xvii, 445 p. : ill. ; 24 cm
Soggetto topico 62-XX - Statistics [MSC 2020]
91-XX - Game theory, economics, finance, and other social and behavioral sciences [MSC 2020]
62P20 - Applications of statistics to economics [MSC 2020]
62P05 - Applications of statistics to actuarial sciences and financial mathematics [MSC 2020]
91G15 - Financial markets [MSC 2020]
Soggetto non controllato Finance
Industry approach
Investing
Investment
Quantitative Finance
R Programming
Real-world data
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Titolo uniforme
Record Nr. UNICAMPANIA-VAN0249681
Ma, Lingjie  
Cham, : Springer, 2020
Materiale a stampa
Lo trovi qui: Univ. Vanvitelli
Opac: Controlla la disponibilità qui
Shariah investment agreement : the legal tool for risk-sharing in islamic finance / / Syed Adam Alhabshi, Abbas Mirakhor, Haji Mohd. Na'im Haji Mokhtar, Syed Othman Alhabshi
Shariah investment agreement : the legal tool for risk-sharing in islamic finance / / Syed Adam Alhabshi, Abbas Mirakhor, Haji Mohd. Na'im Haji Mokhtar, Syed Othman Alhabshi
Autore Alhabshi Adam, Syed
Pubbl/distr/stampa Berlin, Germany : , : De Gruyter Oldenbourg, , [2021]
Descrizione fisica 1 online resource (192 pages) : illustrations
Disciplina 346.167092
346.167082
Collana De Gruyter studies in Islamic economics, finance and business
Soggetto topico Finance (Islamic law)
Investments (Islamic law)
Finance - Islamic countries
Soggetto non controllato Common Law
Investment
Islamic finance
Islamic investment
Shariah
ISBN 3-11-056275-8
3-11-055974-9
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Frontmatter -- Acknowledgements -- Foreword -- Contents -- Chapter 1 Introduction -- Chapter 2 The Shariah: Refining Bay’ and How It Can Be Applied -- Chapter 3 The Common Law: Its Background and Applicability to Bay’ -- Chapter 4 The Shariah Investment Agreement: A Solution to Islamic Investment -- Chapter 5 Policy Recommendations and Future Research -- Chapter 6 Conclusion -- Appendix A Key Quranic Ayahs and Translation -- Appendix B Commodity Murabahah Case Study -- Appendix C Comparative Analysis of Musharakah by Bank Negara Malaysia and AAOIFI -- Appendix D Case Study: Shariah-Compliant Securities as Determined by the SAC of SC (as at 2016) -- References -- List of Abbreviations -- List of Cases -- List of Legislations -- About the Authors -- Index
Record Nr. UNINA-9910554273003321
Alhabshi Adam, Syed  
Berlin, Germany : , : De Gruyter Oldenbourg, , [2021]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui