Main Subjects = Financial Economics
Number of Articles: 13
1. Analyzing Real Effects of Uncertainty in Financial Markets with the Emphasizing on Islamic Treasury Bond

Articles in Press, Accepted Manuscript, Available Online from 29 January 2022

10.22034/ecoj.2022.48018.2939

najmeh izadi; Mohammad Ali Motafakker Azad; Reza Ranjpour; zahra Karimi Takanlou


2. Determining the Optimal Amount of Market Power to Maximize the Performance of the Banking Industry

Volume 8, Issue 4, March 2022, Pages 1-34

10.22034/ecoj.2021.40306.2665

Hassan Rezaei; Mohammad Reza Lotf Alipour; Mohammad Ali Falahi


5. Systemic Risk and Mutual Fund

Volume 7, Issue 2, September 2020, Pages 199-222

10.22034/ecoj.2020.11286

Jafar Ebadi; Naser Elahi; Saeedeh Hooshmand


8. Financial Stress Index for Iran's Financial System with Portfolio Theory Approach

Volume 6, Issue 2, July 2019, Pages 101-134

Saeed Fallahpour; Saeed Shirkavand; Akbar Ghanbari


9. Exchange Rate Volatility Spillovers to Iran Capital Market

Volume 6, Issue 1, June 2019, Pages 77-96

Hosein Mohseni; Mahdi Sadeghi Shahdani


10. Portfolio Optimization Using Three-Objective Particle Swarm Optimization

Volume 5, Issue 4, February 2019, Pages 31-52

Asaad Alahrezaee; Ali Falahati; Kiomars Sohaili


11. An Appraisal of Downside and Upside Risk Spillovers of Exchange Rates, Crude Oil and Gold Prices on Tehran Stock Exchange

Volume 5, Issue 4, February 2019, Pages 143-172

Mohammad Mehdi Barghi Osguei; Reza Saghafi Kelvanag


13. Dynamic Relationship between Macroeconomic Variables and Stock Return Volatility in Tehran Stock Exchange: Multivariate MS ARMA GARCH Approach

Volume 5, Issue 2, September 2018, Pages 223-250

Hassan Heidari; Arash Refah-Kahriz; Nayyer Hashemi Berenjabadi