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Number of Journals418
Number of Issues10,013
Number of Articles83,708
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1.

Forecasting the bank's financial resources using the linear model (ARIMA) and nonlinear artificial fuzzy networks

Pages 1-25
omid mehrinamakawarani; reza ehteshamrasi

2.

Determining optimal portfolio using fuzzy goal programing based on black hole and hybrid algorithms, considering investors preferences

Pages 26-46
Hamed Omidi; hamedreza vakilifard

3.

Investor's reaction towards the mental and objective stability of profit components in financially distressed companies

Pages 47-68
kaveh parandin; babak jamshidinavid; Mehrdad Ghanbari; afshin baghfalaki

4.

The Evaluation of Return and Risk on Investment in Stocks based on the Integration of Asset Pricing Multi-Factor Model and Penalty Function

Pages 69-89
Aliakbar Farzinfar; hossein Jahangirnia; Reza Gholami Jamkarani; Hasan Ghodrati Ghazaani

5.

The effect of financial literacy and risk perception on investment delection in tehran stock exchange

Pages 90-108
ATENA HASANZADEH; Abdolmajid Dehghan; mohsen alikhani

6.

Examine the relationship between financial markets and Housing market

Pages 109-128
Shahram Vahedi; farhad hanifi; mirfeiz fallah; seyyedjalal sadeghisharif

7.

Localization of systematic risk assessment patterns Based on financial and non-financial variables

Pages 129-161
alireza eslampour; roya darabi

8.

Presentation of Kobanking Model in the Integration of Banks and Institutions with a Marketing Approach (Case Study of Gwain Bank)

Pages 162-191
Hamidreza Ramezani; parviz saeedi; Amir Ghafourian shagerdi; sayyedmohammadreza hosseini

9.

Considering budget limits in the time-cost-quality trade-off problem And determination of the most economical combination of crashing the time of activities In Critical Path methods networks (CPM)

Pages 192-211
Ehsaneh Nazari; nosratollah shadnoush; Tahmoores Sohrabi

10.

Effects of Macroeconomic Variables and market power on Banking Sector's Deposits (Bayesian Model Averaging Approach in Panel Data)

Pages 212-242
mahboubeh shakiba; alireza Daghighiasli; marjan damankeshideh; majid fashari; Ali Esmaeelzadeh Maghari

11.

Comparison of the performance ratings of listed companies in the securities and neural models securities exchange

Pages 243-267
rohallah javadi; Ghodratolah Taleb Nia; hosein panahian

12.

The Impact of Using Dimensionality Trading Strategies on Forecasting the Daily Stock Returns of the Panel Data Method.

Pages 268-285
Ehteram Rahdarpoor; heshmatolah asgari

13.

Application of methods radial neural network, Gaussian process regression in predicting financial constraints Companies admitted to the Tehran Stock Exchange

Pages 286-311
Mohammadreza Gholamzadeh; Mahdi faghani; ahmad pife

14.

The effect of chaos theory on creating fundamental changes in the principles of economics

Pages 312-337
Zohre Mohammadi; Mohsen Ghadami

15.

Selection of Fuzzy Multi-Purpose Portfolios Based on the Cross-Sectional Return Model of Data Envelopment Analysis in Tehran Stock Exchange

Pages 338-365
fazel mohammadi nodeh; Ahmad ayoub mousaabadi; masoud asadi; abbas babaei; Shaban Mohammadi

16.

Application of Real Option approach for optimizing Venture Capital

Pages 366-392
farshid moradi; reza tehrani; Mansour Momeni; Shahabeddin Shams

17.

Entrepreneurship Strategic Analysis of Fintech in Banking scope

Pages 393-412
Maryam Mashhadiabdol; Davood Samari; ebrahim abbasi; Majid Ashrafi

18.

Decision making on daily trading of Tehran Stock Exchange based on a multiple fuzzy inference system framework

Pages 413-432
ahmad nateq golestan; mina hajinaghi

19.

A Model for Earthquake Swap Pricing and Its Sensitivity Analysis in Iran

Pages 433-455
Nasrollah Mahmoudpour; Abodolsadeh neisy; Moslem Peymany


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