B

  • badiei.hossein Investigate the Relationship between Financial Development and Cost of Equity [ Vol.8, Issue 31 - Autumn Year 1398]
  • Bagheri.Oveis Test of effect the rational speculative bubbles and the political cycle based based on the theory of constraint on the rate of return in selected companies of the Tehran Capital Market [ Vol.8, Issue 32 - Winter Year 1398]
  • bakhshmohammadlou.minoo Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [ Vol.8, Issue 31 - Autumn Year 1398]
  • bakhtiari.masoud Investigate the relationship between investor sentiment, courage in predicting dividends and future corporate performance [ Vol.8, Issue 30 - Summer Year 1398]
  • Barasoud.Mahdi Comparative study of the behavior of investors in equity portfolio (Classic financial approach or behavioral finance approach) [ Vol.8, Issue 29 - Spring Year 1398]
  • Behzadi.Adel Fuzzy portfolio selection under down risk measure by hybrid intelligent algorithm [ Vol.8, Issue 30 - Summer Year 1398]
  • Borzabadi Farahani.maryam The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • Borzabadi Farahani.maryam The oil and gold global market interaction on the stock market of Iran; the GARCH-Copula approach [ Vol.8, Issue 30 - Summer Year 1398]