1.

Application of Mathematics in Financial Management

صفحه 1-14
Sanjay Tripathi

2.

Opaque Information, Deviation from Target Leverage and Speed of Adjustment

صفحه 15-29
Abbas Aflatooni؛ Kefsan mansouri

3.

Free Cash Flow, Institutional Ownership and Long-Term Performance

صفحه 31-42
Yasser Rezaei Pitenoei؛ Mohammad Gholamrezapoor

4.

The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation

صفحه 43-64
Aliakbar Farzinfar؛ Hossein Jahangirnia؛ Hasan Ghodrati؛ Reza Gholami Jamkarani

5.

On Vector Equilibrium Problem with Generalized Pseudomonotonicity

صفحه 65-74
Ali Farajzadeh؛ Syyedeh Marzieh Halimi

6.

Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies

صفحه 75-88
Mohammadreza Radfar؛ Gholamreza Zomorodian؛ Mansoureh Aligholi؛ Mehrzad Minouei؛ Farhad Hanifi

7.

Comparison of Public Investment Approaches on Social Welfare Function: A Case Study of Iran

صفحه 89-101
Mohammadhasan Fotros؛ Esmael Torkamani

8.

Prediction the Return Fluctuations with Artificial Neural Networks' Approach

صفحه 103-114
Masoud Taherinia؛ Mohsen Rashidi Baghi


سامانه مدیریت نشریات علمی. قدرت گرفته از سیناوب