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[PDF][PDF] Investigation of Relationship Between Noise Trading and Share Returns In Iran Stock market
Abstract 1 The return volatility in financial markets depends heavily on the nature, behavior
and desires of the trader. The aim of this study is to determine the appropriate trading …
and desires of the trader. The aim of this study is to determine the appropriate trading …
Effect of Some factors and Specifications in Mutual Funds on the Return of Them
M Moradzadehfard, AH Hossein Pour… - Journal of Asset …, 2015 - amf.ui.ac.ir
In This study we examined the effect of different variables on the return of Iranian mutual
funds. These variables include number of unit of mutual fund, banking or not banking of …
funds. These variables include number of unit of mutual fund, banking or not banking of …
[PDF][PDF] Investigating Motivations Risk shift Mutual Funds Managers in Bullish and Bearish Market And its Impact on Return
R Tehrani, J Bigdelo, M Erfani - Financial Management Strategy, 2024 - jfm.alzahra.ac.ir
The incentives of fund managers and their superior capabilities in investing and managing
them are two explanations for the changes in risk of joint venture funds in different market …
them are two explanations for the changes in risk of joint venture funds in different market …
[PDF][PDF] The Effect of oil price dynamics on industry momentum in Tehran stock Exchange
S Aleheidar, ME Aghababaei… - Journal of Financial …, 2020 - jfmp.sbu.ac.ir
One of the factors affecting stock market returns is the change in oil return and volatility that
can help explain the returns and adopt profitable strategies. Considering the importance of …
can help explain the returns and adopt profitable strategies. Considering the importance of …
Factors Affecting the Return of Stock Mutual Funds in Tehran Stock Exchange
SM Toloe Sadegh… - Budget and Finance …, 2022 - fbarj.ihu.ac.ir
Factors Affecting the Return of Stock Mutual Funds in Tehran Stock ExchangeAbstractMutual
investment funds, as one of the most important non-banking financial intermediaries, are …
investment funds, as one of the most important non-banking financial intermediaries, are …
بررسی انگیزههای تغییر ریسک مدیران صندوقهای سرمایهگذاری مشترک در بازارهای صعودی و نزولی و تأثیر آن بر بازدهی
تهرانی, بیگدلو, عرفانی - راهبرد مدیریت مالی, 2024 - jfm.alzahra.ac.ir
انگیزههای مدیران صندوقها و تواناییهای برتر آنها در سرمایهگذاری و مدیریت آن، دو توضیح برای
تغییرات ریسک صندوقهای سرمایهگذاری مشترک در شرایط مختلف بازار است. در این پژوهش بر …
تغییرات ریسک صندوقهای سرمایهگذاری مشترک در شرایط مختلف بازار است. در این پژوهش بر …
A Review of Mutual Investment Funds Performance with a View of Market Timing
T Torabi, S Tarighi, P Tataei - International Journal of Finance & Managerial …, 2016 - ijfma.ir
Appropriate function of active management in common investment funds function depend on
factors such as diversification, identification papers unrealistic pricing, market timing, and so …
factors such as diversification, identification papers unrealistic pricing, market timing, and so …
پیشبینی تقلب در صورتهای مالی با استفاده از نسبتهای مالی (مطالعه موردی: شرکتهای پذیرفتهشده در بورس اوراق بهادار تهران)
زارع بهنمیری - چشم انداز مدیریت مالی, 2016 - jfmp.sbu.ac.ir
تقلب یکی از مهمترین موضوعاتی است که در حسابداری و حسابرسی صورتهای مالی مطرح میشود. هدف
این پژوهش، پیشبینی تقلب در صورتهای مالی با استفاده از نسبتهای مالی در شرکتهای …
این پژوهش، پیشبینی تقلب در صورتهای مالی با استفاده از نسبتهای مالی در شرکتهای …
[PDF][PDF] Explain the Relationship Between Profit Forecasts by Management and Investors to Evaluate the Accrual of Investment Funds in the Capital Market in Iran
A Jamali, MT Ardekani - core.ac.uk
Today, due to the expansion of economic activities, development of financial markets and
capital markets investment boom, especially Stock Exchange by natural and legal persons …
capital markets investment boom, especially Stock Exchange by natural and legal persons …
Optimizing Diversification of Equities in Sector Funds Portfollio
N Shams Gharneh, S Shahlaei - Journal of Asset Management and …, 2015 - amf.ui.ac.ir
This research deals with providing quantitative criterion for optimal diversification of equities
in sector funds portfollio. So, firstly divides mutual funds into two groups of sector fund and …
in sector funds portfollio. So, firstly divides mutual funds into two groups of sector fund and …