Kamalian.Aminreza
Misevaluation and Behavioral Biases in the Tehran stock exchange
[
Vol.9,
Issue
36
- AutumnYear
1397]
karami.sepideh
Estimation of Return and Volatilities Spillover between Different Industries of Tehran Stocks’ Exchange
[
Vol.9,
Issue
35
- SummerYear
1397]
Kazemi Gavarti.Hossein
Implied Equity Duration and Excess Stock Return: The Evidence from Tehran Stock Exchange
[
Vol.9,
Issue
35
- SummerYear
1397]
Keshtegar.AbdolAli
Misevaluation and Behavioral Biases in the Tehran stock exchange
[
Vol.9,
Issue
36
- AutumnYear
1397]
khalili damghani.kaveh
Developing a Fuzzy Multibjective Model for Multiperiod Portfolio Optimazation Considering Average Value at Risk
[
Vol.9,
Issue
35
- SummerYear
1397]
khamseh.Elaheh
Financial assessment of private and public insurance companies using Collaborative Interoperability and Shannon Entropy
[
Vol.9,
Issue
36
- AutumnYear
1397]
khan mohammadi.Mohammad hamed
Investigating the Value at Risk of Gold Coin Future Market through Wavelet Analysis Approach
[
Vol.9,
Issue
37
- WinterYear
1397]
Khani.Reza
The relationship between different levels of management ownership, free floatation, stock return volatility and age of the company with stock prices synchronization
[
Vol.9,
Issue
37
- WinterYear
1397]
Kheradyar.Sina
Design a Risk Allocation Model for Construction Projects (EPC) for investment asset in public sector. (Case study: Guilan water and sewage industry).
[
Vol.9,
Issue
37
- WinterYear
1397]
Korditamandani.Hamidreza
The Probability of Informed Trading Criterion in measuring the information asymmetry risk and ranking of Tehran Stock Exchange
companies
[
Vol.9,
Issue
37
- WinterYear
1397]