Vaez-Ghasemi.Mohsen
A new Method for Sustainable Portfolio Selection with DEA, TOPSIS and MIP in Stock exchange
[
Vol.11,
Issue
43
- SummerYear
1399]
vakilifard.hamidreza
THE TORQUE COMPARISON OF THE EXTREME DISTRIBUTION MODELS AND THE DIFFERENCE IN THE RATIO OF FAILURE PATTERNS OF DIFFERENT TIME MODELS OF TEHRAN STOCK EXCHANGE
[
Vol.11,
Issue
43
- SummerYear
1399]
vakilifard.hamidreza
Modeling Investors' Behavior by Using Psychological Variables with Interpretive Structural Modeling Approach to Recognize Investment Decision Making Errors
[
Vol.11,
Issue
44
- AutumnYear
1399]