Probabilistic and statistical methods in commodity risk management

F Antonelli, R Cerqueti, A Ramponi… - … Stochastic Models in …, 2023‏ - iris.uniroma1.it
The vast landscape of the financial sector is characterized by the continuous introduction of
innovative financial instruments, providing investors with diverse opportunities for an …

Towards Better Financial Governance: The Urgency of Model Risk Management in Indonesia Viewed Through Maqashid Shariah.

N Ferdinand - International Journal of Economics (IJEC), 2024‏ - search.ebscohost.com
This study assesses the adequacy of Model Risk Management (MRM) frameworks within
Indonesian Islamic banking by utilizing Maqashid Shariah principles as a tool to align these …