naghshbandi.nader
Stock Portfolio Selection Using Dempster-Shafer Evidence Theory
[
Vol.8,
Issue
32
- WinterYear
1398]
naghshbandi.nader
The Fuzzy Mean-Entropy Portfolio Model : Sensitivity Analysis, Transaction Costs Based on Credibility Theory
[
Vol.8,
Issue
29
- SpringYear
1398]
nasr.mohammad
Tests pricing Capital assets with the approach of some value with the use of derivatives
[
Vol.8,
Issue
31
- AutumnYear
1398]
Nategh Golestan.Ahmad
The Impact of Investor’s Perception of Risk on Portfolio Management (Case Study: Active Investor’s Mashhad Stock brokers)
[
Vol.8,
Issue
30
- SummerYear
1398]
Nikoomaram.Hashem
Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index
[
Vol.8,
Issue
32
- WinterYear
1398]
Noravesh.Iraj
Studying the Factors Affecting on the Investment Management in Holding Companies
[
Vol.8,
Issue
32
- WinterYear
1398]