Volume & Issue: Volume 15, Issue 60, Winter 2026 
Number of Articles: 23

Optimizing the bank's credit portfolio based on the credit assessment method

Pages 1-26

10.22034/jik.2026.23999

Farrokh Pourbijan, Reza Gholami-Jamkarani, Mirfeiz Fallah shams, Hamid Reza Kordlouie, Hosein Jahangirnia

Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence

Pages 249-264

10.22034/jik.2026.24006

mona beyranvand, sayyed mohammad reza davoodi, Mohammadreza Sharifi-Ghazvini

Analysis of the emotional behavior of risk-taking and risk-averse investors in the stock portfolio

Pages 265-290

10.22034/jik.2026.24007

seyed hesam وقفی, kaveh parandin, Amir Ghafourian Shagardi, fatemeh hendabadi, Zeynab Nourbakhsh Hosseiny

Designing a model to management the strategic alliance of bank and fintech

Pages 395-416

10.30495/jik.2024.77886.4588

soodeh shahrokhi, mohammadreza kabaranzad ghadim, Jamshid Edalatian Shahriari

Providing An Integrated Model For The Governance System Of Holdings

Pages 479-500

10.22034/jik.2025.74193.4335

MOHAMMADTAGHI ABOLHASSANI, Ebrahim Chirani, gholamreza mahfoozi, Fraydoon Rahnamay Roodposhti

Application of deep learning in identifying signs of bankruptcy

Pages 501-524

10.22034/jik.2025.78226.4669

akram karimpour, Mohsen Azhdar, Sayed Mohammad Reza Davoodi

Identifying dimensions and components of production chain financing

Pages 569-591

10.30495/jik.2025.77513.4513

mahsa chekeni, Feraydoon Rahnamay Roodposhti, reza radfar, vahid reza mirabi