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فیلتر نتایج
Professor A Rahmani
mirfeiz fallah
hossein jahangirnia
Reza Gholami
نتایج 51 تا 60 از مجموع 102
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Journal Paper
Value at Risk Estimation using the Kappa Distribution with Application to Insurance Data
Authors:
Hanieh Panahi
Year 1398
Publish place:
International Journal of Finance and Managerial Accounting Issue 14، Vol 4
Pages:
10
| Language: English
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Journal Paper
Enhanced indexing using a discrete Markov chain model and mixed conditional value-at-risk
Authors:
Ali Rahmani
،
Mahdi Dehghani Ashkezari
Year 1400
Publish place:
International Journal of Finance and Managerial Accounting Issue 22، Vol 6
Pages:
12
| Language: English
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Journal Paper
Portfolio Optimization Based on Semi Variance and Another Perspective of Value at Risk Using NSGA II, MOACO, and MOABC Algorithms
Authors:
Reza Aghamohammadi
،
Reza Tehrani
،
Abbas Raad
Year 1401
Publish place:
Advances in Mathematical Finance and Applications Issue 1، Vol 7
Pages:
20
| Language: English
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Journal Paper
Proximate Compositions and Risk Assessment of Lead in Two Common Fishes (Labeo rohita and Barbonymus gonionotus) Collected from River and Farms of Bagerhat, Bangladesh
Authors:
M.A.R. Khan
،
M.S. Islam
،
M.S.A. Mamun
Year 1400
Publish place:
Journal of Food Quality and Hazards Control Issue 3، Vol 8
Pages:
8
| Language: English
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Journal Paper
Fair Value Accounting for Liabilities and Own Credit Risk
Authors:
Parvaneh Kasbi
،
Mohammad Ali Aghaei
Year 1396
Publish place:
Advances in Mathematical Finance and Applications Issue 1، Vol 2
Pages:
14
| Language: English
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Journal Paper
Competition in Supply Chain Network: Retailers’ Risk Averseness Approach
Authors:
H. Golpira
،
S. E. Najafi
،
M. Zandieh
،
S. Sadi-Nezhad
Year 1396
Publish place:
International Journal of Research in Industrial Engineering Issue 2، Vol 6
Pages:
8
| Language: English
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Conference Paper
Assessing the relationship between the dimensions of entrepreneurial marketing and performance in small and medium-sized enterprises
Authors:
Farbod souri
Year 1400
Publish place:
Sixth International Conference on Humanities, Social Sciences and Lifestyle
Pages:
16
| Language: English
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Journal Paper
Using MODEA and MODM with Different Risk Measures for Portfolio Optimization
Authors:
Sarah Navidi
،
Mohsen Rostamy-Malkhalifeh
،
Shokoofeh Banihashemi
Year 1399
Publish place:
Advances in Mathematical Finance and Applications Issue 1، Vol 5
Pages:
23
| Language: English
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Journal Paper
Optimal Portfolio Allocation based on two Novel Risk Measures and Genetic Algorithm
Authors:
S. Amir Ghoreishi
،
hamid khaloozadeh
Year 1397
Publish place:
International Journal of Business and Development Studies Issue 1، Vol 10
Pages:
19
| Language: English
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Journal Paper
تبیین مدل ریسک سیستمیک با استفاده از معیار ریزش مورد انتظار نهایی در بانکهای پذیرفتهشده در بورس اوراق بهادار تهران
Authors:
کورش آسایش
،
میرفیض فلاح شمس
،
حسین جهانگیرنیا
،
رضا غلامی جمکرانی
Year 1399
Publish place:
The Journal Of Planning and Budgeting Issue 2، Vol 25
Pages:
25
| Language: Persian
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نتایج 51 تا 60 از مجموع 102
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