Current Issue: Volume 14, Issue 55, September 2025 

A model for adaptive risk aversion preferences in portfolio optimization and prospect theory

Pages 297-319

10.30495/jik.2025.23601

Roohollah Mehralizadeh shiadehi; Hossein Didehkhani; Ali Khozain; Arash Naderian


Risk spillover and co-change between the carbon emissions trading market and commodity markets

Pages 321-346

10.30495/jik.2024.77532.4521

Mehdi Darvishkhezri; Fereydon Rahnamay Roodpposhti; bita tabrizian; narges yazdanian


Modeling of purchase intention for stock market individual investors

Pages 347-371

10.30495/jik.2024.77211.4492

ebrahim beheshti; Kambiz Hamidi; Tohfeh Ghobadi Lamuki; Mohammad Aidi; Javad Nik Nafs


Explaining the Role of Core Competency on Stock Price Synchronicity

Pages 373-401

10.30495/jik.2024.77465.4505

sajedeh hasan nejad nisi; hamid reza jafarei dehkordei; Hasan Fattahi nafchi


Content Analysis of the researches related to technical analysis

Pages 435-456

10.30495/jik.2024.76060.4442

Mohammad Amin Ojaghi; Mohammad Tamimi; Saeed Nasiri; Mehdi Basirat,


The Impact of business risk on the firms speed of capital structure adjustment

Pages 457-480

10.30495/jik.2025.23606

Jafar Abbasi okhchi; nader rezaei; asgar pakmaram; ahmad mohammadi


A Model for Proper Tax Governance System

Pages 577-596

10.30495/jik.2025.23611

ٍEbrahim Mirzaie; Gholamreza Farsadamanollahi


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