The impact of political news on Tehran Stock Exchange (AFIGARCA and MSM) approach G Keshavarz, H Heidari Journal of Economic Research (Tahghighat-E-Eghtesadi) 46 (1), 111-135, 2011 | 6 | 2011 |
The Impact of Macroeconomic Variables on Banks\'Balance Sheet: An Stress Test Approach (in Persian) H Heidari, S Saberian Ranjbar, F Nili Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 3 (8 …, 2011 | 3 | 2011 |
Performance Evaluation of the Bayesian and classical Value at Risk models with circuit breakers set up GRK Haddad, H Heidari International Journal of Computational Economics and Econometrics 2 (https …, 2020 | 2 | 2020 |
Ranking of Parametric value at risk models with consideration of trader position (application of asymmetric distribution functions in GARCH models) H Heidari, GR K Haddad Economics Research 17 (66), 151-178, 2017 | 2 | 2017 |
Inflation Targeting: An Analysis of the Vulnerability of the Banks Health (in Persian) H Heidari, A Ahmadian Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 8 …, 2016 | 2 | 2016 |
Evaluation of collateral policy on credit value of firm and loan rationing using propensity score matching G KESHAVARZ, H HEIDARI Journal of Monetary and Banking Research 8 (25), 331-354, 2015 | 1 | 2015 |
The Effect of Macroeconomc Conditions on Bank\'s Profit:(The Case of one of the Private Banks in Iran)(in Persian) H Heidari, A Ahmadian Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 4 …, 2012 | 1 | 2012 |
Optimal Portfolio Allocation with Price Limit Constraint G Keshavarz Haddad, H Heidari Journal of Money and Economy 15 (2), 123-134, 2020 | | 2020 |
Bank’s Corporate Governance: Quantifying the Effects in Iranian Banking Networks E Ghafari, V Mohammadrezakhani, H Heidari Journal of Money and Economy 13 (1), 31-50, 2018 | | 2018 |
Analysis of the Comprehensive Early Warning System for Iranian Banking Network A Ahmadyan, H Heidari Journal of Monetary & Banking Research 10 (33), 409-428, 2017 | | 2017 |
رتبهبندی مدلهای پارامتریک ارزش در معرض خطر با لحاظ کردن موقعیت معاملاتی سهامدار (کاربرد توابع توزیع نامتقارن در مدلهای خانواده GARCH) حیدری, هادی, کشاورز حداد پژوهشنامه اقتصادی 17 (66), 151-178, 2017 | | 2017 |
Investigating Incentive Evaluation Model for a Bank with Panel Data and Variance Decomposition Approach M Valipour Pasha, H Heidari, H Bastanzad, A Ahmadian Journal of Monetary & Banking Research 10 (31), 123-140, 2017 | | 2017 |
Value at Risk of Oil Prices Prediction H Heidari, A Ahmadyan فصلنامه نظریه های اقتصاد مالی 1 (2), 73-88, 2016 | | 2016 |
Evaluation of Collateral Policy on credit Value of firm and Loan Rationing Using Propensity Score Matching (in Persian) H Heidari, G Keshavarz Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 8 …, 2015 | | 2015 |
Analysis of First Round and Second Round Effects on Financial Statement of Banks (in Persian) A Ahmadyan, H Heidari Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 8 …, 2015 | | 2015 |
Shock Dating on Iranian Banking Network's Balance Sheet H Heidari, M Valipour Pasha, A Ahmadyan Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 10 …, 2015 | | 2015 |
Can Capital Adequacy Ratio Specify Banks’ Profitability? A Case Study of Iran MV Pasha, H Heidari | | 2015 |
Value at Risk Model Rating and Reducing the Opportunity Cost of Capital Requirement (in Persian) H Heidari Journal of Monetary and Banking Research (فصلنامه پژوهشهای پولی-بانکی) 7 …, 2014 | | 2014 |
ارزيابي سياست نوع وثيقه در ارزش اعتباري شرکت ها و جيره بندي وام: رويکرد جفت و جورسازي امتياز كشاورزحداد غلامرضا, حيدري هادی پژوهش هاي پولي بانكي 8 (250093), 331-354, 0 | | |
بررسي تاثير اخبار سياسي بر تلاطم بازار سهام تهران (مقايسه مدل هاي عمومي FAGARCH و MSM) كشاورزحداد غلامرضا, حيدري هادي تحقيقات اقتصادي 46 (94), 111-136, 0 | | |