Main Subjects = Financial Markets and Institutions
An Analysis of the Unobserved Actions of Iranian Mutual Funds using Return Gap Criteria

Volume 20, Issue 1, 2018, Pages 33-52

10.22059/jfr.2018.236224.1006470

Ali Ebrahimnejad; Seyed Mahdi Barakchian; Majid Ghanipour


Modeling Insurance Claim Distribution via Mixture Distribution and Copula

Volume 19, Issue 1, 2017, Pages 23-40

10.22059/jfr.2015.52896

Saeed Bajalan; Reza Raei; Shapour Mohammadi


Model of managing challenges facing banking system in sanction

Volume 17, Issue 2, October 2016, Pages 341-356

10.22059/jfr.2015.57315

Hossein Ghazaavi; Mohammad hasan Mohammadi


competition effects on policyholders' welfare and insurers' risk

Volume 18, Issue 2, May 2016, Pages 201-218

10.22059/jfr.2016.61588

Hashem Aghazadeh; Fatemeh Abbasi Beni


MUTUAL FUND PERFORMANCE PERSISTENCE

Volume 18, Issue 2, May 2016, Pages 331-346

10.22059/jfr.2016.59270

Ali Saleh abadi; Yahya Hassas Yeganeh; Hamid Zargham boroujeni; Javad Ebadi


Timing in Portfolio Evaluation: Evidence of capital market

Volume 16, Issue 1, April 2014, Pages 25-36

10.22059/jfr.2014.51838

Hossein Etemadi; Reza Daghani; Masoud Azizkhani; Sarah Farahbakhsh


Investigating the Relationship between Mutual Funds Flows and the Stock Index in Tehran Stock Market

Volume 15, Issue 2, November 2013, Pages 201-214

10.22059/jfr.2013.51077

Seyed Ali Hosseini; Seyed Hossein Hosseini; Ehsan Jafari Bagherabadi