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Iraj Fooladi
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Cited by
Year
Valuation effects of corporate social responsibility
A Fatemi, I Fooladi, H Tehranian
Journal of Banking & Finance 59, 182-192, 2015
5302015
Sustainable finance: A new paradigm
AM Fatemi, IJ Fooladi
Global Finance Journal 24 (2), 101-113, 2013
3212013
Credit risk management: a survey of practices
A Fatemi, I Fooladi
Managerial finance 32 (3), 227-233, 2006
2242006
Designing an immunized portfolio: Is M-squared the key?
GO Bierwag, I Fooladi, GS Roberts
Journal of Banking & Finance 17 (6), 1147-1170, 1993
751993
Duration for bonds with default risk
IJ Fooladi, GS Roberts, F Skinner
Journal of Banking & Finance 21 (1), 1-16, 1997
631997
Gains from mergers and acquisitions in Japan
AM Fatemi, I Fooladi, N Garehkoolchian
Global Finance Journal 32, 166-178, 2017
482017
Bond portfolio immunization: Canadian tests
I Fooladi, GS Roberts
Journal of economics and business 44 (1), 3-17, 1992
431992
Duration analysis: An historical perspective
GO Bierwag, IJ Fooladi
Journal of Applied Finance 16 (2), 144, 2006
422006
On preferred stock
I Fooladi, GS Roberts
Journal of Financial Research 9 (4), 319-324, 1986
371986
Global dividend payout patterns: The US and the rest of the world and the effect of financial crisis
R Bildik, A Fatemi, I Fooladi
Global Finance Journal 28, 38-67, 2015
262015
The relative valuation of socially responsible firms: An exploratory study
A Fatemi, IJ Fooladi, D Wheeler
Finance for a better world: The shift toward sustainability, 140-167, 2009
262009
Risk management with duration analysis
IJ Fooladi, GS Roberts
Managerial Finance 26 (3), 18-28, 2000
232000
Macrohedging for financial institutions: beyond duration
I Fooladi, GS Roberts
Available at SSRN 561002, 2005
222005
Complexity of information and trading behavior: The case of dividend increase announcements
S Deshmukh, A Fatemi, IJ Fooladi
Journal of Economic Psychology 29 (1), 1-18, 2008
192008
Firm digital transformation and corporate performance: The moderating effect of organizational capital
M Zareie, N Attig, S El Ghoul, I Fooladi
Finance Research Letters 61, 105032, 2024
172024
Globalization and portfolio risk over time: The role of exchange rate
IJ Fooladi, J Rumsey
Review of Financial Economics 15 (3), 223-236, 2006
172006
Corporate headquarters relocation and CSR performance
A Fatemi, I Fooladi, O Sy, A Zaman
International Review of Economics & Finance 89, 622-637, 2024
122024
A primer on sustainable value creation
A Fatemi, I Fooladi
Review of Financial Economics 38 (3), 452-473, 2020
122020
Risk management with duration: Potential and limitations
GO Bierwag, IJ Fooladi, GS Roberts
Canadian Journal of Administrative Sciences/Revue Canadienne des Sciences de …, 2000
112000
Preferred stock and taxes
I Fooladi, P Mcgraw, GS Roberts
Journal of Business Finance & Accounting 18 (1), 99-107, 1991
101991
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Articles 1–20