1.

Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method

صفحه 1-7
Adel Azar؛ Mohsen Hamidian؛ Maryam Saberi؛ Mohammad Norozi

2.

ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia

صفحه 9-20
Meysam Doaei؛ Seyed Hashem Davarpanah؛ Mahdi Zamani Sabzi

3.

Comparing Relative and Additive Contents of Return with Cash Recovery Rate

صفحه 21-39
Mohammadreza Mehrabanpour؛ Mehri Davoudabadi

4.

Impact of the Management Performance Evaluation Methods on the Data Quality in Accounting

صفحه 41-53
Hossein Parsamehr؛ Ali Kasravi؛ Mohadeseh Fazli

5.

Fair Value Accounting for Liabilities and Own Credit Risk

صفحه 55-68
Parvaneh Khaleghi Kasbi؛ Mohammad Ali Aghaei

6.

The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange

صفحه 69-81
Ahmad Sarlak؛ Mitra Mohammadtalebi؛ Bahareh Mohammadtalebi

7.

The Study of the Effect of Diversification Strategy, Cost Leader-ship Strategies and Product Differentiation on Business Unit Value

صفحه 83-96
Majid Davoudi Nasr؛ Mohsen Cheraghi

8.

The Survey Relationship between Growth Opportunities, Corpo-rate Risk and Changes in Cash Holdings

صفحه 97-106
Zahra Amirhosseini؛ Mahtab Nameni


سامانه مدیریت نشریات علمی. قدرت گرفته از سیناوب