1.

Overview of Portfolio Optimization Models

صفحه 419-435
Majid Zanjirdar

2.

Option Pricing in the Presence of Operational Risk

صفحه 437-448
Alireza Bahiraie؛ Mohammad Alipour؛ Rehan Sadiq

3.

Risk measurement and Implied volatility under Minimal Entropy Martingale Measure for Levy process

صفحه 449-467
Maryam Tahmasebi؛ Gholam Hossein Yari

4.

The Impact of Investment Inefficiency and Cash Holding on CEO Turnover

صفحه 469-478
Masoud Taherinia

5.

Machine learning algorithms for time series in financial markets

صفحه 479-490
Mohammad Ghasemzadeha؛ Naeimeh Mohammad-Karimi؛ Habib Ansari-Samani

6.

The Impact of Effective Corporate Governance on the Relationship between Tax Gap and Future Profit Changes in Iranian Economy

صفحه 491-505
Rasoul Karami؛ seyed Ali Vaez؛ Ghasem Rekabdar

7.

Internal Control Quality Assessment based on the Characteristics of the Entity and Auditor and their Expected Goals in the Firm's Listed in Tehran Stock Exchange

صفحه 507-520
Saeed Alipour؛ Asgar Pakmaram؛ Rasool Abdi؛ Jamal Bahri sales

8.

Determining the effect of auditors' skeptical personality traits with considering the characteristics of organizational behaviour on job Audit Durability

صفحه 521-547
Azam Jari؛ Daruosh Foroghi؛ Hadi Amir

9.

The Role of Social Interest Rate Risk Management in the Relationship between Sustainability Performance and Investment Efficiency

صفحه 549-568
Hamzeh Asgari Rashtiani؛ Fazel Mohammadi Nodeh؛ Sina Kheradyar؛ Farzin Rezaei

10.

A Neural-Network Approach to the Modeling of the Impact of Market Volatility on Investment

صفحه 569-581
Mohammad Azim Khodayari؛ Ahmad Yaghobnezhad؛ Khalili Eraghi Khalili Eraghi


سامانه مدیریت نشریات علمی. قدرت گرفته از سیناوب