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فیلتر نتایج
Maziar Salahi
نتایج 1 تا 10 از مجموع 107
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Journal Paper
رابطه بین ریسک سیستماتیک و ارزش افزوده اقتصادی در ایران
Authors:
پرویز پیری
،
حسن حیدری
،
سمیرا رئوف
Year 1392
Publish place:
Journal of Economic Research and Policies Issue 66، Vol 21
Pages:
18
| Language: Persian
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Journal Paper
استفاده از کاپیولا-CVaR در بهینه سازی سبد سرمایه گذاری و مقایسه تطبیقی آن با روش Mean-CVaR
Authors:
سعید فلاح پور
،
مهدی باغبان
Year 1393
Publish place:
Journal of Economic Research and Policies Issue 72، Vol 22
Pages:
18
| Language: Persian
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Journal Paper
بررسی رابطه ارزش در معرض ریسک و بازده مقطعی با در نظر گرفتن نقش احساسات سرمایه گذار در بورس اوراق بهادار تهران
Authors:
حامد باقی زاده
،
احسان طیبی ثانی
،
محمد ابراهیم آقابابائی
Year 1402
Publish place:
Quarterly Journal of Fiscal and Economic Policies Issue 42، Vol 11
Pages:
37
| Language: Persian
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Journal Paper
Analyzing the behavior of value stock price and growth stock price with stock price crash risk
Authors:
Bohlool Mohammadian Shirmard
Year 1403
Publish place:
International Journal of Nonlinear Analysis and Applications Issue 8، Vol 15
Pages:
10
| Language: English
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Journal Paper
Robust portfolio selection with polyhedral ambiguous inputs
Authors:
Somayyeh Lotfi
،
Maziar Salahi
،
Farshid Mehrdoust
Year 1396
Publish place:
Journal of Mathematical Modeling Issue 1، Vol 5
Pages:
12
| Language: English
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Journal Paper
Loan portfolio performance evaluation by using stochastic recovery rate
Authors:
Shokouh Shahbeyk
،
Shokoofe Banihashemi
Year 1403
Publish place:
Journal of Applied Research on Industrial Engineering Issue 1، Vol 11
Pages:
9
| Language: English
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Journal Paper
Evaluating the systemic risk of financial institutions present in the stock market (banks) using the main risk assessment criteria and analyzing the factors affecting it
Authors:
Hamidreza Hosseinzadeh
،
Mirfeiz Fallah Shams
،
Hamidreza Kordlouie
،
Reza Gholami Jamkarani
Year 1403
Publish place:
International Journal of Nonlinear Analysis and Applications Issue 3، Vol 15
Pages:
12
| Language: English
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Journal Paper
The Effect of Meta-Malmquist Index on Portfolio Optimization
Authors:
Z. Taeb
،
SH. Banihashemi
Year 1401
Publish place:
International Journal of Industrial Mathematics Issue 4، Vol 14
Pages:
11
| Language: English
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Journal Paper
Enterprise-Wide Risk Management (EWRM) as a Value Added Tool in Enhancing the Economic Value of Business Enterprises
Authors:
Year 1388
Publish place:
International Journal of Business and Development Studies Issue 1، Vol 1
Pages:
16
| Language: English
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Journal Paper
A Hybrid Model for Portfolio Optimization Based on Stock Price Forecasting with LSTM Recurrent Neural Network using Multi-Criteria Decision Making Techniques and Mean-CVaR
Authors:
Nasimeh Abdi
،
mehdi MoradzadehFard
،
Hamid Ahmadzadeh
،
Mahmoud Khoddam
Year 1403
Publish place:
International Journal of Finance and Managerial Accounting Issue 35، Vol 9
Pages:
14
| Language: English
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نتایج 1 تا 10 از مجموع 107
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