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advances in mathematical finance and applications
  
سال:2017 - دوره:2 - شماره:1
  
 
ann-dea approach of corporate diversification and efficiency in bursa malaysia
- صفحه:9-20
  
 
comparing relative and additive contents of return with cash recovery rate
- صفحه:21-39
  
 
evaluating the performance of forecasting models for portfolio allocation purposes with generalized grach method
- صفحه:1-7
  
 
fair value accounting for liabilities and own credit risk
- صفحه:55-68
  
 
impact of the management performance evaluation methods on the data quality in accounting
- صفحه:41-53
  
 
the effect of liquidity and credit risk on the relationship between business activities and fluctuations in the price of all companies listed on the tehran stock exchange
- صفحه:69-81
  
 
the study of the effect of diversification strategy, cost leadership strategies and product differentiation on business unit value
- صفحه:83-96
  
 
the survey relationship between growth opportunities, corporate risk and changes in cash holdings
- صفحه:97-106
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