
| 作者简介: Simon Archer was Professor of Financial Management at the University of Surrey, UK, where he continues to supervise PhD students. Previously, he was Midland Bank Professor of Financial Sector Accounting at the University of Wales, Bangor. After his studies in Philosophy, Politics and Economics at Oxford University, he qualified as a Chartered Accountant with Arthur Andersen in London and then moved to PriceWaterhouse in Paris, where he became Partner in charge of Management Consultancy Services in France and Scandinavia. His academic career began after working as a practitioner, mainly in management consulting. Professor Archer’s main research interests are in international accounting, accounting theory and accounting for banks, including the financial reporting, capital adequacy, risk management and corporate governance of financial institutions. His recent work focuses on Islamic financial institutions. He is also co-author of the International Accounting and Financial Reporting Standards Guide as well as co-editor of the Miller European Accounting and Islamic Finance: Innovation and Growth. |
| about the editors about the contributors foreword preface acknowledgments 1 supervision of islamic banks and basel ii: the regulatory challenge-- simon archer and rifaat ahmed abdel karim part 1 the nature of risks in islamic banking 9 2 banking and the risk environment -- hennie van greuning and zamir iqbal 3 risk characteristics of islamic products: implications for risk measurement and supervision -- dr. v. sundararajan 4 capital structure and risk in islamic financial services -- wafik grais andanoma kulathunga 5 inherent risk: credit and market risks -- abdullah haron and john lee hin hock 6 operational risk exposures of islamic banks -- simon archer and abdullahharon 7 law and islamic finance: an interactive analysis -- yusuf talal delorenzoand michael j.t. mcmillen 8 supervisory implications of islamic finance in the current regulatoryenvironment -- hari bhambra part 2 capital adequacy 9 risk and the need for capital -- charles freeland and steven friedman 10 measuring risk for capital adequacy: the issue of profit-sharing investment accounts -- simon archer and rifaat ahmed abdel karim 11 measuring operational risk -- elisabeth jackson-moore 12 supervisory implications of islamic banking: a supervisor’s perspective -- toby fiennes part 3 securitization and capital markets . 13 securitization in islamic finance -- abdulkader thomas 14 the role of capital markets in ensuring islamic financial liquidity -- stella cox 15 regulating islamic capital markets -- robert gray and arshad ismail part 4 corporate governance 16 corporate governance for banks -- hamid yunis 17 specific corporate governance issues in islamic banks -- simon archer and rifaat ahmed abdel karim 18 corporate governance and supervision: basel pillar 2 -- chizu nakajima and barry a.k. rider 19 transparency and market discipline: basel pillar 3 -- daud abdullah (david vicary) part 5 conclusion 379 20 human resource management of islamic banks: responses to conceptual and technical challenges -- volker nienhaus 21 concluding remarks -- simon archer and rifaat ahmed abdel karim index |
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