List of Tables and Figures
Chapter 1: The Growth of Shariah Investments
Table 1.1: Islamic Funds by Country (2011)
Table 1.2: Funds by Asset Class
Table 1.3: Range of Global Islamic Investment Products
Figure 1.1: Funds by investment geography (2011)
Figure 1.2: Malaysian financial system
Figure 1.3: Global Islamic banking assets growth trends
Chapter 2: Find Management within Shariah-Compliant Investment Guidelines
Table 2.1: Dow Jones Global versus Dow Jones Islamic World
Table 2.2: Eighteen Months Bear Market
Figure 2.1: Dow Jones Global versus Dow Jones Islamic World
Figure 2.2: Performance during the bear market period
Chapter 4: Investing Responsibly
Table 4.1: Total Return of Dow Jones Global versus SRI Index
Table 4.2: Top 10 Constituents for Shariah-Compliant and Ethical Investment Index under Dow Jones
Table 4.3: International Specialist in Ethical and SRI
Chapter 6: Mitigating the Myths
Table 6.1: Index Performance
Chapter 7: Comparative Analysis with Conventional Investing
Table 7.1: Five-Year Cumulative Performance of Global Indices
Table 7.2: Five-Year Cumulative Performance for Global Index
Table 7.3: Dow Jones Sector Allocation for Global Market Index
Table 7.4: Top 10 Constituents for Global Market Index
Table 7.5: Five-Year Cumulative Performance for Asia Pacific Market
Table 7.6: Dow Jones Sector Allocation for Asia Pacific Index
Table 7.7: Top 10 Constituents for Asia Pacific Index
Table 7.8: Five-Year Cumulative Performance for Emerging Markets
Table 7.9: Dow Jones Sector Allocation for Emerging Markets Index
Table 7.10: Top 10 Constituents for Emerging Markets Index
Chapter 8: Using Performance Characteristics to Build Wealth
Table 8.1: Five-Year Cumulative Performance for Global Indices
Table 8.2: Five-Year Cumulative Performance for Europe Indices
Table 8.3: Five-Year Cumulative Performance for Japan Indices
Figure 8.1: Cumulative indices price return—global market
Figure 8.2: Cumulative indices price return—Europe market
Figure 8.3: Cumulative indices price return—Japan market
Figure 8.4: Cumulative price returns during Japan earthquake Crisis
Chapter 9: The Sukuk Portfolio
Table 9.1: List of Malaysia’s Significant Issuances
Table 9.2: Annualized Returns of DJSI and WBIG
Table 9.3: Returns Volatility of DJSI and WBIG
Table 9.4: Sharpe Ratios of DJSI and WBIG
Table 9.5: Percentage of Sovereign Debt in Dow Jones Sukuk Index
Table 9.6: WBIG and DJSI Sector Weightings
Table 9.7: Two-Year Returns and Sharpe Ratios Improved with 20% Sukuk Allocation
Figure 9.1: September 2005 to September 2012 (7-DJSI vs WBIG)
Chapter 10: Shariah-Compliant UCITS Funds
Table 10.1: Funds in Luxembourg and Ireland
Chapter 11: Legal, Regulatory, Risk, and Operational Framework
Table 11.1: IFSB Standards
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