Volume 30 (2023)
Volume 29 (2022)
Volume 28 (2021)
Volume 27 (2020)
Volume 26 (2019)
Volume 25 (2018)
Volume 24 (2017)
Volume 23 (2016)
Volume 22 (2016)
Volume 21 (2015)
Volume 20 (2013)
Volume 19 (2013)
Volume 18 (2012)
Volume 17 (2011)
Volume 16 (2009)
Volume 15 (2008)
Volume 14 (2007)
Modeling of a Policy Framework to Expand Reinsurance Acceptance Capacity Through Catastrophic Accidents Bonds in the Insurance Industry

Javad Sahamian Moghaddam; Mohsen Nazari; Tahmoras Hasangholipour; Hassan Ghalibafasl

Volume 26, Issue 17 , September 2019, , Pages 193-218

https://doi.org/10.22067/pm.v26i18.76136

Abstract
  Introduction one of the most important institutions in the financial market is insurance. It helps people to reduce the risk of life-threatening conditions. Insurance companies, on the other hand, face different risks depending on the issue to insurers. Therefore, these companies are looking for ways ...  Read More

The Survey of relationship between risk and stock return in Tehran Securities Exchange : Study of momentum effect and liquidity Premium

Hassan Ghalibafasl; Mohsen Izad

Volume 21, Issue 7 , January 2015, , Pages 48-104

https://doi.org/10.22067/pm.v21i7.43015

Abstract
  In this study the aim is to test whether financial market anomalies such as market risk premium, firm size, the book-to-market ratio, the turnover rate, and momentum both with and without the inclusion of the market liquidity risk factor in the case of the Tehran stock exchange can explain stock returns? ...  Read More