Financial Management Perspective

Financial Management Perspective

Keywords = Risk
Number of Articles: 6

Intelligent portfolio optimization using water cycle and gray wolf algorithms

Volume 15, Issue 2, 2025, Pages 9-33

10.48308/jfmp.2025.240284.1506

Marjan Aliyari, Zahra Rabie, Hosein Nasrolahi

Presentation of the structural model of risk types in banks using the Fuzzy Interpretative Structural Modeling Approach

Volume 11, Issue 33, Spring 2021, Pages 173-192

10.52547/jfmp.11.33.173

Hassan Farsijani, Mohsen Arefnezhad, Somayeh Asadi, Ali Hasanvand

The effect of Gold on Portfolio Diversification:The case of indexed portfolios from Tehran Stock Exchange

Volume 9, Issue 27, Autumn 2019, Pages 81-107

10.52547/jfmp.9.27.81

Mahdi Eskandari, Ali Saeedi, Mir Feyz Fallahshams