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iranian economic review
  
سال:2022 - دوره:26 - شماره:1
  
 
an analysis of the conditional relationship between risk and return in the tehran stock exchange
- صفحه:79-107
  
 
an analysis of the relationship between bilateral trade and labor force immigration considering the role of financial crises (banking and sovereign debt crises)
- صفحه:215-235
  
 
comparing the volatility spillovers among financial markets in iran pre and post jcpoa: a var-bekk-garch approach
- صفحه:133-146
  
 
financial development, trade openness, and economic growth in nigeria
- صفحه:237-254
  
 
fiscal vulnerability and transport infrastructure development in nigeria
- صفحه:45-60
  
 
implications of isolationist policies on regional integration in africa
- صفحه:19-44
  
 
islamic solutions for behavioral problems in economy
- صفحه:109-119
  
 
migrant remittances and dutch disease: evidence from india
- صفحه:121-132
  
 
modeling the competition between public debt creditors in iran: an application of bankruptcy games
- صفحه:1-18
  
 
money demand function: a re-assessment in sub-saharan africa
- صفحه:61-77
  
 
non-linear effects of government size on inflation in opec countries: a threshold panel approach
- صفحه:199-214
  
 
poverty risk, inequality decomposition and educational level of household heads
- صفحه:147-159
  
 
remittances, exchange rates and dutch disease in sub-saharan africa
- صفحه:161-181
  
 
the twin crises in the iranian economy and its determination during 1980–2018
- صفحه:183-197
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