“ Risk Management in Islamic Financial Instruments ”
(October 16th, 2014, Ankara)
- Financial Outlook of the OIC Member Countries
- Overview of Islamic Finance Industry: Islamic Banks, Islamic Capital and Sukuk Markets, Takaful and Microfinance
- Risk Management in Islamic Financial Instruments
- Risk Management in Islamic Finance: Theoretical Background, Current Situation of Risk Management in Islamic Finance and Main Challenges
Professor Dr. Kabir HASSAN, University of New Orleans
- Good Practices in the Member Countries and the Policy Recommendations
Professor Dr. Kabir HASSAN, University of New Orleans
- Risk Management in Islamic Finance: Theoretical Background, Current Situation of Risk Management in Islamic Finance and Main Challenges
- Member State Presentations
- The Experience of International Institutions/ Private Sector
- “Regulatory And Supervisory Framework In Islamic Finance Industry from the Perspective of Risk Management”
Mr. Erdem ÖZ
Member of the Secretariat Technical and Research,
Islamic Financial Services Board (IFSB) - “Risk Management in Participation Banks”
Mr. Hikmet Emre Tamer
Risk Management, Risk Policies and Reporting Assistant Manager
Türkiye Finans Participation Bank/ Participant Bank Association of Turkey
- “Regulatory And Supervisory Framework In Islamic Finance Industry from the Perspective of Risk Management”
- The Way Forward: COMCEC Project Funding: Rules and Procedures at a Glance