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  • Safaei.Mohammad Ranking of mutual funds in Iran based on favorable and unfavorable risk criteria [ Vol.6, Issue 24 - Winter Year 1396]
  • Salahesh.Tanaz An investigation on the nonlinear effects of monetary policy in the framework of the two channels of net worth and cash flow of the firms (Applying the panel quantile method) [ Vol.6, Issue 23 - Autumn Year 1396]
  • Salavati.Samaneh sadat Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [ Vol.6, Issue 24 - Winter Year 1396]
  • Samadi Moghadam.yahya Investigating the Importance of R & D Capacity Factors on Technology Transfer Techniques (Case Study: Iranian Automotive Industry) [ Vol.6, Issue 22 - Summer Year 1396]
  • Saranj.Alireza Rating parametric and nonparametric methods for estimating the expected shortfall and value at risk [ Vol.6, Issue 22 - Summer Year 1396]
  • sayyah.soroor sadat Comprehensive Model of Credit Risk Management in the Banking System of Iran [ Vol.6, Issue 24 - Winter Year 1396]
  • Seifoddini.Jalal Market Depth and Noisy Prices: A Maximum Likelihood Approach [ Vol.6, Issue 23 - Autumn Year 1396]
  • Sepasi.Sahar Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [ Vol.6, Issue 21 - Spring Year 1396]
  • Shabani Barzegar.Laleh Mean-Variance test based on theoretical framework of downside risk using VAR [ Vol.6, Issue 22 - Summer Year 1396]
  • Shahmansuri.Esfandyar Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [ Vol.6, Issue 24 - Winter Year 1396]
  • SHEIDAEI NARMIGI.ALI Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing [ Vol.6, Issue 24 - Winter Year 1396]