Volume 21 (2024)
Volume 20 (2023)
Volume 19 (2022)
Volume 18 (2021)
Volume 17 (2020)
Volume 16 (2019)
Volume 15 (2018)
Volume 14 (2017)
Volume 13 (2016)
Volume 12 (2015)
Volume 11 (2014)
Volume 10 (2012)
Volume 9 (2011)
Volume 8 (2010)
Volume 7 (2009)
Volume 6 (2008)
Volume 5 (2007)
Volume 4 (2006)
Volume 3 (2005)
Volume 2 (2004)
Volume 1 (2003)
Accounting report
A Financial Reporting Model for Regional Electric Companies in Iran

ehsan mohebi; jafar babajani; Mohammad Javad Salimi; mohammad taghi taghavi fard

Articles in Press, Accepted Manuscript, Available Online from 23 September 2023

https://doi.org/10.22054/qjma.2023.73559.2455

Abstract
  Regional Electric companies are organizations that pursue both social and financial goals in order to fulfill the assigned missions, so fulfilling the accountability due to their dual goals is of fundamental importance. In this research, by examining the information needs of the users of the financial ...  Read More

Risk of beta: Evidence from Prospect Theory

Ali Saghafi; Roohollah Farhadi; Mohammad Taghi Taghavi Fard

Volume 12, Issue 45 , April 2015, , Pages 9-38

Abstract
  According to Prospect Theory, Investors have different behaviors in theprofit and loss situations and indeed their trading behavior is different in bulland bear markets. This study uses quantile regression model (in differentquartiles) and OLS model to estimate beta of 180 firms. Results showed thatfirst, ...  Read More

Risk of Beta: Evidences from prospect theory

roohollah farhadi

Volume 12, Issue 45 , April 2015

https://doi.org/10.22054/qjma.2020.1094.1061

Abstract
  According to Prospect Theory, Investors have different behaviors in the profit and loss situations and indeed their trading behavior is different in bull and bear markets. This study uses quantile regression model (in different quartiles) and OLS model to estimate beta of 180 firms. Results showed that ...  Read More

Portfolio Selection by DEMATEL and Analytic Network Process

Farokh Barzideh; Mohamad taghi Taghvifard; Fatemeh Zamanian

Volume 10, Issue 39 , October 2013, , Pages 105-124

Abstract
  This article is seeking to provide a proper model for selecting portfolio. To do that, first we should studied literature to discover suitable criteria. Then we have used a questionnaire for determining criteria's relationships to rank them. Managers of mutual fund asked to answer this questionnaire. ...  Read More