Risk Management in
Islamic Financial Instruments
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Hassan, M. Kabir Rasem N. Kayed and Umer Oseni, Introduction to Islamic Finance, Pearson
Publishing Company, May, 2013
Hassan, M. Kabir, Md. Yusuf Imran, Mamunur Rashid, and Abdullah Ibneyy Shahid, “Ethical
Gaps and Market Value in the Islamic Banks of Bangladesh,” Review of Islamic Economics,
Volume 14, No 1(2010): 49-75
Hassan, M. Kabir, (2002), ‘Risk, Return and Volatility of Faith-Based Investing: The Case of Dow
Jones Islamic Index’, paper in Proceedings of 5th Harvard University Forum on Islamic Finance,
Harvard University.
Hassan, M. Kabir, “Return Volatility, Predictability and Dynamic Relationships in the Stock
Markets of the Member Countries of the Organization of Islamic Conference,” Chapter 7 in
Islamic Perspectives on Sustainable Development, Edited by Munawar Iqbal, Published by
Palgrave-MacMillan, 2005, New York, pages 185-213.
Hassan, M. Kabir, “Value-at-Risk (VAR) Analysis of Islamic Banks, “in Islamic Financial
Architecture: Risk Management and Financial Stability,” Conference Proceedings of
International Conference on Islamic Banking: Risk Management, Regulation and Supervision,
held in Jakarta, Indonesia, September 30-October 1, 2003.
Hassan, M. Kabir, Abu Nahian Faisal Khan, Thiti Ngow, "Is faith-based investing rewarding?
The case for Malaysian Islamic unit trust funds", Journal of Islamic Accounting and Business
Research, Vol. 1 Iss: 2, pp.148 – 171
Hassan, M. Kabir, Benito Sanchez and Jung-Suk Yu, “Financial Development and Economic
Growth in the Organization of Islamic Conference Countries,” Journal of King Abdul Aziz
University-Journal of Islamic Economics , Volume 24, No. 1, pp: 145-172 (2011)
Hassan, M. Kabir, Benito Sanchez and M. Ershad Hussain, “Economic Performance of the OIC
Countries and the prospect of an Islamic Common Market,” Journal of Economic Cooperation
and Development, Volume 31, No 2, 2010: 65-121
Hassan, M. Kabir, Benito Sanchez, and M. Faisal Safa, “Impact of financial liberalization and
foreign bank entry on Islamic banking performance,” International Journal of Islamic and
Middle Eastern Finance and Management, Volume 6, Issue 1 (2013): 7-42
Hassan, M. Kabir, Joseph Farhat and Bashir Al-Zubi (2003a). “Dividend Signalling Hypothesis
and Short-Term Asset Concentration of Islamic Interest-Free Banking,” Islamic Economic
Studies, Volume 11, Number 1 (September, 2003): 1-30.
Hassan, M.K., & Hesham, M., & Al-Henawi, Y., (2010), Analysis of Islamic Versus Conventional
Mutual Funds in Saudi Arabia, Journal of King Abdul Aziz University, Islamic Economics, 23 (2),
161-198.