Downside risks and the cross-section of asset returns
کلیه مقالات این لیست دارای ترجمه آماده می باشند اما در صورتی که مقاله لاتین دیگری از سایر کتگوری های سایت مد نظر شماست که تا کنون به زبان فارسی ترجمه نشده است، واحد ترجمه پایگاه ISI Articles با همکاری تنی چند از اساتید و مترجمان با سابقه، آمادگی دارد آن را در اسرع وقت و با کیفیت مطلوب برای شما ترجمه نماید.
The determinants of co-movement dynamics between sukuk and conventional bonds
The effect of financial reporting quality on corporate investment efficiency: Evidence from the Tunisian stock market
Bitcoin-based fair payments for outsourcing computations of fog devices
Emotional intelligence and financial decision making: Are we talking about a paradigmatic shift or a change in practices?
Varieties of business models for post-consumer recycling in China
Impacts of Additional Guidance Provided on International Financial Reporting Standards on the Judgments of Accountants
Determinants of user acceptance of the e-Government services: The case of online tax filing and payment system
Corporate governance of a multinational enterprise: Firm, industry and institutional perspectives
Joint control of dynamic maintenance and production in a failure-prone manufacturing system subjected to deterioration
The effect of leverage and liquidity on earnings and capital management: Evidence from U.S. commercial banks
Job creation and economic impact of renewable energy in the Netherlands
Dynamic investment strategies with and without emerging equity markets
The association between financial literacy and Problematic Internet Shopping in a multinational sample
Real estate valuation, current account and credit growth patterns, before and after the 2008–9 crisis ☆
Measuring the convergence of national accounting standards with international financial reporting standards: The application of fuzzy clustering analysis
Uncertain dynamics, correlation effects, and robust investment decisions
Entropy measure of credit risk in highly correlated markets
Gender composition and group dynamics: Evidence from a laboratory experiment with microfinance clients
Maximizing and minimizing investment concentration with constraints of budget and investment risk
Shareholder litigation rights and the cost of debt: Evidence from derivative lawsuits
Corporate credit ratings: Selection on size or productivity?
Optimal versus realized bank credit risk and monetary policy ☆
The impact of central bank independence on the performance of inflation targeting regimes
Pricing and inventory decisions in the food supply chain with production disruption and controllable deterioration
Testing the cross-brand and cross-market validity of a consumer-based brand equity (CBBE) model for destination brands
The expected returns and valuations of private and public firms ☆
Do audit committees reduce the agency costs of ownership structure? ☆
Topological data analysis of financial time series: Landscapes of crashes
Optimal allocation of capacitor banks in radial distribution systems for minimization of real power loss and maximization of network savings using bio-inspired optimization algorithms
Towards the global adoption of XBRL using International Financial Reporting Standards (IFRS)
The exposure of microfinance institutions to financial risk
Stock price reactions to brand value announcements: Magnitude and moderators
Issues in the adoption of international financial reporting standards (IFRS) for small and medium-sized enterprises (SMES)
Cash flow management and manufacturing firm financial performance: A longitudinal perspective
How do sovereign credit rating changes affect private investment?
Product market competition, ultimate controlling structure and related party transactions
The link between supply chain fit and financial performance of the firm
Examining the impact of privacy, trust and risk perceptions beyond monetary transactions: An integrated model
A comparison of different project duration forecasting methods using earned value metrics
International transfer pricing in multinational enterprises
A hybrid data mining model of feature selection algorithms and ensemble learning classifiers for credit scoring
Growth and welfare effects of environmental tax reform and public spending policy
An evaluation of some popular investment strategies under stochastic interest rates
Effects of public investment on sectoral private investment: A factor augmented VAR approach
The Contribution of Local Environments to Competence Creation in Multinational Enterprises
Bank efficiency and industry growth during financial crises
Stochastic optimal generation bid to electricity markets with emissions risk constraints
The role of pre-consumption experience in perceived value of retailer brands: Consumers' experience from emerging markets
On Bitcoin markets (in)efficiency and its evolution
Investment Strategy Optimization Using Technical Analysis and Predictive Modeling in Emerging Markets ☆
An Earned Schedule-based regression model to improve cost estimate at completion
Optimal time-consistent investment and reinsurance strategies for mean–variance insurers with state dependent risk aversion
Optimal investment policy in the time consistent mean–variance formulation
Exchange rate volatility and its impact on domestic investment
Competition in fragmented markets: New evidence from the German banking industry in the light of the subprime crisis