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فیلتر نتایج
نتایج 11 تا 20 از مجموع 16
1
2
Journal Paper
The Relationship between Stock Liquidity (from Corporate Governance and Informational Efficiency Points of View) and Default Risk in Iran's Petrochemical Industry and Oil Products Companies
Authors:
Abbas Alimoradi
،
Asgar Khademvatani
،
Fariba Gholami
Year 1399
Publish place:
Petroleum Business Review Issue 1، Vol 4
Pages:
22
| Language: English
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Conference Paper
A Comparison between Credit Portfolio Management Methods And Steps for Applying in Practice
Authors:
Mahdi Goldani
،
Mohammadreza Ghanbari
Year 1398
Publish place:
16th Iran International Industrial Engineering Conference
Pages:
13
| Language: English
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Conference Paper
Credit Portfolio Management Models and Review on Their Implementations in Iran
Authors:
Mahdi Goldani
،
Mohammadreza Ghanbari
Year 1398
Publish place:
3rd International Conference on Modern Development in Management, Economics and Accounting
Pages:
13
| Language: English
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Conference Paper
Optimal credit period and inventory policies in an EPQ model with respect to backorder and learning curve
Authors:
Amin Bazdar
Year 1398
Publish place:
International Conference on Solutions and Challenges in Industrial Management and Engineering
Pages:
13
| Language: English
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Conference Paper
Examining the explanatory capability of financial ratios in determining the insolvency risk of Iranian banks (Accounting- and market-based methods)
Authors:
Alireza Validi
،
Mohammadreza Validi
Year 1397
Publish place:
4th International Conference on Industrial and Systems Engineering
Pages:
10
| Language: English
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Conference Paper
Portfolio optimization problem with default risk
Authors:
M Mazidi
،
A Delavarkhalafi
،
A Mokhtari
Year 1391
Publish place:
3rd Conference on Financial Mathematics and Applications
Pages:
6
| Language: English
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نتایج 11 تا 20 از مجموع 16
1
2