Identifying path of Global Financial Crisis Contagion Direction on Industries of Iran Stock Market

Mojtaba Karimi; Fatemeh Sarraf; Ghodratollah Emamverdi; Ali Baghani

Volume 4, Issue 1 , 2020, , Pages 25-54

https://doi.org/10.22034/ijf.2020.234212.1134

Abstract
  Simultaneous understanding of volatilities and changes in financial markets is very important to optimize the portfolio and risk management methods. The 2008 financial crisis led into devaluation of most assets, increased volatilities and endangered several institutional investors' survival. When the ...  Read More

Measurement and assessment of systematic risk of selected industries in stock exchange using wavelet approach

Ghodratollah Emamverdi; Mojtaba Karimi

Volume 2, Issue 4 , October 2018, , Pages 64-77

https://doi.org/10.22034/ijf.2019.101116

Abstract
  Investment is an essential factor in a country’s economic development. Meanwhile, return and risk have been effective factors in investment. Today, many financial economists have accepted Risk or Beta as a standard tool for assessing the risk involved in certain actions. This paper has been conducted ...  Read More