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IEC 551 - Risk Management in Islamic Finance Institutions

Graduate Education Institute · Islamic Economics and Finance (English) · Master

ECTS: 7.5 T+P+L: 3+0+0 Departmental Elective
Coordinator: Prof. Dr. Monzer KAHF

Course Objective

It aims to give knowledge about risk management in Islamic financial institutions.

Course Content

After defining what risk is, risk management will be dealt ind etail for different products and procedures.

Course Learning Outcomes

  1. 1 Bu dersin sonunda öğrenciler,-İslami finanstaki risk ve yönetimine dair bilgi edinecekler,-Konvansiyonel sitemdeki risk ve yönetimiyle karşılaştırma yapabilecekler,-Risk yönetimi hususundaki problemler ve çözümlerini inceleyeceklerdir.

Core Area Distribution

(22) Humanities%100

Teaching Methods

ExpressionQuestion-AnswerDiscussion

Assessment & Evaluation

HomeworkTesting (Essay / Tests: True-Falls, multiple-choice, short answer, matching)

ECTS / Workload

ActivityQuantityDuration (h)Total Workload
Course Duration (Including Exam Week)16348
Out of Class Study Period16464
Midterm133
Quiz000
Assignment339
Practice000
Final133

Course Schedule

WeekSubjectPreparation
1Introductionrelevant chapter
2What is risk?relevant chapter
3Risk management in IFIs regarding partnershipsrelevant chapter
4Continuationrelevant chapter
5Risk management in IFIs regarding murabahahrelevant chapter
6Continuationrelevant chapter
7roblem solving sessionrelevant chapter
8Ara SınavAra Sınav
9Risk management in IFIs regarding ijarahrelevant chapter
10Continautionrelevant chapter
11Risk management in IFIs regarding salam and istisnarelevant chapter
12Continuationrelevant chapter
13Risk management in IFIs regarding sukukrelevant chapter
14Continuationrelevant chapter
15Takaful as risk management toolrelevant chapter
16Final SınavıFinal Sınavı