Radfar.Mohammad Reza
Investigating the interactions of inequality income, employment and economic growth
[
Vol.9,
Issue
33
- SpringYear
1399]
Radfar.Reza
Optimization of Network-Based Matrix Investment Portfolio and
Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS)
[
Vol.9,
Issue
36
- WinterYear
1399]
rahgozar.mostafa
The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport
[
Vol.9,
Issue
36
- WinterYear
1399]
Rahimi Ghasemabadi.Mohammad
Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach
[
Vol.9,
Issue
33
- SpringYear
1399]
Rahnama Roodposhti.Fereydoon
The clarification of Relation between Accounting conservatism and bankruptcy of accepted companies in Tehran stock exchange (TSE) using models of bankruptcy prediction
[
Vol.9,
Issue
35
- AutumnYear
1399]
Rahnama Roodposhti.Fereydoon
Optimization of Network-Based Matrix Investment Portfolio and
Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS)
[
Vol.9,
Issue
36
- WinterYear
1399]
Rahnama Roodposhti.Fereydoon
Liquidity Trap in Iranian Banks
(Based on Indexing of Key Ratios)
[
Vol.9,
Issue
34
- SummerYear
1399]
Rahnama Roodposhti.Fereydoon
Proper Indicators of Capital Market Analysis, Based on the Financial Market Sociology Approach
[
Vol.9,
Issue
34
- SummerYear
1399]
Rajabalizadeh.Javad
Investors Reaction to the Disclosure of CEO Compensation
[
Vol.9,
Issue
33
- SpringYear
1399]
rajabi khanghah.abdollah
Evaluation of multivariate GARCH models in estimating the Values at Risk (VaR) of currency, stock and gold markets
[
Vol.9,
Issue
34
- SummerYear
1399]
RAMEZANI.ALI
Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations
[
Vol.9,
Issue
33
- SpringYear
1399]
Ranjbar navi.Rosam
Modeling and Identifying Hierarchy of the Effective Measures of Negative Criteria Skewness on Stock Returns and the Extra Sigma of Stock Price Crash Risk in the Tehran Stock Exchange with Panel Data Approach
[
Vol.9,
Issue
34
- SummerYear
1399]
Rastegar.Ahmad
Systemic risk assessment of the banking system by modeling of the topology of the interbank market network
[
Vol.9,
Issue
35
- AutumnYear
1399]
razeghi maleh.hadi
Impact of portfolio diversification on the performance of holding companies based on modern and modernized theories of portfolios
[
Vol.9,
Issue
36
- WinterYear
1399]
rezaei bonjar.mahmoud
Analysis of Personal Banking Business pattern
(Refah.k bank Case Study)
[
Vol.9,
Issue
33
- SpringYear
1399]
rezazadeh.rohollah
Volatility of financial stress index on consumer overflow check indicator, the Producer Price Index and Consumer Price Index, with an emphasis on models GARCH-BEKK, VAR and Granger causality
[
Vol.9,
Issue
33
- SpringYear
1399]
Rostami.Mohammad Reza
Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA)
[
Vol.9,
Issue
34
- SummerYear
1399]