Literature Study Of Investment Risk Management Implementation In Sharia Banking

Nani Suhartini, Isti Nuzulul Atiah, Mohamad Ainun Najib

Abstract


A risk is a certain event that has the potential to create a loss. Investment risk in banking is the risk that requires the bank to share in the losses from the customer's business that has been financed in profit-sharing-based financing using the net revenue sharing method and the profit and loss sharing method. This study aims to analyze the determinants of investment risk and its impact on Islamic banking and the implementation of investment risk management in Islamic banking. This study uses a literature study approach to answer the research objectives and the analytical technique used in this research is content analysis. The results of this study found that there were differences in investment risk in Islamic banking, namely mudharabah and musyarakah investment risks.


Keywords


Banking, Investment Risk, Investment Risk Management

Full Text:

PDF

References


Abdullah, MW, & Awaluddin, M. (2022). Risk Management in Sharia Banking. Milkiyah: Journal of Sharia Economic Law, 1(2), 51-56.

Adinta, AH, Rahmi, M., & Handayani, T. (2022). THE EFFECT OF RISK MANAGEMENT ON FINANCIAL PERFORMANCE IN MEGA SYARIAH BANK. Journal of Visionida, 8(2), 42-52.

Afriyeni, A., & Susanto, R. (2019). Risk Management in Islamic Banks.

Agha, SEU, & Sabirzyanov, R. (2015). Risk management in Islamic finance: An analysis from objectives of Shari'ah perspective. International Journal of Business, Economics and Law, 7(3), 46-52.

Ahmed, H., & Khan, T. (2007). 10 Risk management in Islamic banking. Handbook of Islamic banking, 144.

Al Rahahleh, N., Ishaq Bhatti, M., & Najuna Misman, F. (2019). Developments in risk management in Islamic finance: A review. Journal of Risk and Financial Management, 12(1), 37.

Ansari, Aan. "Implementation of Islamic E-Banking in Islamic Banking Management Information Systems." Banque Syar'i: Scientific Journal of Islamic Banking 3.1 (2017): 113-142.

Azizah, W., & Farid, M. (2021). Risk Management in Islamic Banking. Muhasabatuna: Journal of Sharia Accounting, 3(2), 67-80.

Fadilah, AN, & Jalaludin, J. (2019). Investment Risk Management in Islamic Banking in Indonesia. EXSISBANK (Sharia Economics and Banking Business), 3(1), 40-48.

FEBI IAIN Pekalongan Students. Finansha-Journal of Sharia Financial Management, 1(2), 55-63.

Islam, KA, & Barghouthi, OA (2017). Risk Management of Islamic Banking: An Islamic

Perspective. International Journal of Islamic Banking and Finance Research, 1(1), 25-28.

Karya, SM EQUITY INVESTMENT RISK IN SHARIA BANKING Murhandi.

Khan, Tariqullah, and Habib Ahmed. “A. Risk Management.” Jakarta: PT Bumi Aksara (2008).

Kurnia, PARP (2022). Investment Risk Analysis, Liquidity Risk, and Return on Mudharabah Deposits of PT. Bukopin Sharia Bank in Indonesia (Doctoral dissertation, State Islamic University of North Sumatra, Medan).

Lisdayanti, Rossidha, and Luqman Hakim. "The Influence of Islamic Investment Knowledge of Islamic Investment Products and Minimum Student Capital on Investment Interests of Islamic Banks with Investment Risk as Intervening Variables in Surabaya State University Students." Journal of Masharif Al-Syariah: Journal of Sharia Economics and Banking 6.1 (2021): 13-28.

Monisa, CD, & Fadhlia, W. (2018). The Influence of Bank Performance, Solvability, Liquidity, and Non-Performing Financing on Liquidity Risk in Islamic Commercial Banks in Indonesia. Scientific Journal of Accounting Economics Students, 3(1), 142-155.

Muffrikha, S., Latifa, FN, & Masruchin, M. (2021). Implementation of Financing Risk Management at BSI KCP Mojokerto Bangsal. Scientific Journal of Islamic Economics, 7(3), 1457-1463.

Mutafarida, B. (2017). Types of Risks in Islamic Banks. WADIAH, 1(2), 25-40.

Nugraha, DE (2019). Reputation Risk Management in Islamic Banking in Indonesia. EXSISBANK (Sharia Economics and Banking Business), 3(2), 100-107.

Nelly, R., Siregar, S., & Sugianto, S. (2022). Risk Management Analysis in Islamic Banks: Literature Review. Reslaj: Religion Education Social Laa Roiba Journal, 4(4), 918- 930.

Phase, MI (2016). Sharia Banking Risk Management in Indonesia. Li Falah: Journal of Islamic Economics and Business Studies, 1(2), 36-53.

Rahmany, S. (2017). Internal Control System and Financing Risk Management System in Islamic Banks. IQTISHADUNA: Scientific Journal of Our Economy, 6(2), 193- 222.

Salem, RA (2013). Risk management for Islamic banks. Edinburgh UniversityPress.

Sarwoto, S., Siregar, S., & Sugianto, S. (2020, February). Literature Study of Operational Risk Analysis in Islamic Banking. In National Seminar on Computer Technology & Science (SAINTEX) (Vol. 1, No. 1, pp. 558-560).

Sultoni, H. (2022). Risk Management in Islamic Banks in Indonesia. At Tujjar, 10(1), 48-68.

Utami, LC, Aqil, M., & Chairina, C. (2022). Literature Study on the Implementation of Risk Management in Islamic Banks. Journal of Economics and Business (JEBS), 2(3), 742-747.




DOI: http://dx.doi.org/10.35448/jiec.v7i2.23253

Refbacks

  • There are currently no refbacks.


Creative Commons License
This work is licensed under a Creative Commons Attribution-ShareAlike 4.0 International License.

Copyright © Syi’ar Iqtishadi: Journal of Islamic Economics, Finance and Banking.