Standalone Credit Rating of the Country's Banks MR Parsafard, S Shirkavand, R Tehrani, SM Mirlohi Industrial Management Journal 10 (4), 575-606, 2018 | 9 | 2018 |
Life cycle, Corporate Failure and Restructuring Strategies: Evidences of Tehran Security Exchange AA Abdolbaghi, SM Mirlohi JOURNAL OF ACCOUNTING ADVANCES (JAA)(JOURNAL OF SOCIAL SCIENCES AND …, 2019 | 8* | 2019 |
The effect of contractual rewards on non-maturing deposits and bank funding stability (Case Study: Bank Mellat) R Tehrani, SM Mirlohi, M Mehrara, M Lotfi Ghahroud Asset Management and Financing 7 (1), 45-62, 2019 | 7 | 2019 |
Higher moments portfolio Optimization with unequal weights based on Generalized Capital Asset pricing model with independent and identically asymmetric Power Distribution B Esmaeili, A Souri, SM Mirlohi Advances in Mathematical Finance and Applications 6 (2), 263-283, 2021 | 4 | 2021 |
Spillover between Tehran stock exchange and international oil market M Tehrani, A Boghosian, S Mojtaba Mirlohi Financial Research Journal 23 (3), 466-481, 2021 | 3 | 2021 |
Investigating the Capital Structure and its impact on stock returns of listed companies in Tehran Stock Exchange SM Mirlohi, M Tehrani, A Lotfi Siahkalroodi, M Ghostin Roodi Quarterly Journal of Fiscal and Economic Policies 5 (20), 173-196, 2018 | 3 | 2018 |
Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models M Sedaghati, M Mehrara, R Tehrani, M Mirlohi Financial Management Strategy 10 (1), 1-30, 2022 | 2 | 2022 |
Measure the Level of Adherence to the Random Walk Theory in Various Industry Indices Using Markov Switching Model R Tehrani, S Tajdini, E Abbasian, M Mirlohi Financial Management Strategy 9 (1), 79-92, 2021 | 2 | 2021 |
Effectiveness of Momentum based on Industry Herding: Evidence from Tehran Stock Exchange A Abdolbaghi Ataabadi, M Mirlohi, M Abdollahi Financial Management Strategy 8 (2), 157-175, 2020 | 2 | 2020 |
The role of the Chief Knowledge Officer (CKO) in knowledge management implementation (Case study in private banks in Iran) SM Mirlohi, B Neysari LIFE SCIENCE JOURNAL-ACTA ZHENGZHOU UNIVERSITY OVERSEAS EDITION 9 (3), 200-206, 2012 | 2 | 2012 |
Presented a model for explaining the stock price crash risk with mediating role of agency cost M Mehdi, Z Vazife, R Tehrani, SM Mirlohi Journal of Accounting Advances 12 (2), 321-350, 2020 | 1 | 2020 |
Investigating investment policy effect on objective achievement in personal account plan MA Kamali, E Abbasian, R Tehrani, M Mirlohi Journal of Investment Knowledge 9 (35), 169-187, 2020 | 1 | 2020 |
Calculating Real Option Value under Different Approaches in the Tehran Stock Exchange R Tehrani, SM Mirlohi, MR Golkani Journal of Asset Management and Financing 8 (2), 1-12, 2020 | 1 | 2020 |
Effective Factors in Stockholders Decision Making Behavior in Ordinary Stock Purchasing Using AHP & ANP Techniques (Case Study: Tehran Stock Exchange) PS Ali, DJ Seresht, SM Mirlohi Asian Journal of Research in Banking and Finance 3 (11), 86-96, 2013 | 1 | 2013 |
Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model M Rezaei, R TEHRANI, SM Mirlohi Journal of Investment Knowledge 12 (47), 411-434, 2023 | | 2023 |
A Novel Early Warning Model for Companies’ Financial Health Status Using Hybrid BAT-ANN Model R Tehrani, SM MirLohi, S Shirkavand, M Rahi Financial Management Strategy, 2023 | | 2023 |
The effect of financial development on corporate finance using club convergence approach in Tehran stock exchange H Chitsazan, SM Mirlohi, A Boghosian, NS Nejadolhosseini Journal of Investment Knowledge 10 (40), 331-352, 2021 | | 2021 |
Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach R Tehrani, MA Mirza Kochak Shirazi, SM Mirlohi Journal of Investment Knowledge 10 (37), 103-139, 2021 | | 2021 |
Portfolio Optimization Using Hierarchical and Denotation Clustering in Tehran Stock Exchange. M Mirlohi, N Mohammadi Todeshki Journal of Investment Knowledge 9 (34), 333-354, 2020 | | 2020 |
Investigating factors affecting demand in mutual funds, focusing on cash flows. M Hedayat, P Shabanpourfard, S Mirlohi Journal of Investment Knowledge 9 (33), 147-162, 2020 | | 2020 |