Volume 23 (2023)
Volume 22 (2022)
Volume 21 (2021)
Volume 20 (2020)
Volume 19 (2019)
Volume 18 (2018)
Volume 17 (2017)
Volume 16 (2016)
Volume 15 (2015)
Volume 14 (2014)
Volume 13 (2013)
Volume 12 (2012)
Volume 11 (2011)
Volume 10 (2010)
Volume 9 (2009)
Volume 8 (2008)
Volume 7 (2007)
Volume 6 (2006)
Volume 5 (2005)
Volume 4 (2004)
Volume 3 (2003)
Volume 2 (2002)
Volume 1 (2001)
Dynamic Effects of Financial Institutions on Economic Growth with an Emphasis on Insurance Market; Evidence from Developed and Developing Countries

hossien amiri; raheleh heidari

Volume 19, Issue 75 , January 2020, , Pages 109-147

https://doi.org/10.22054/joer.2019.11633

Abstract
  This study presents new evidence on the effects of life insurance, banking and capital market on economic growth in 18 developed and 20 developing countries using Generalized Method of Moments (GMM) approach to dynamic panel data method for years 2000-2016. The results show that in developed countries ...  Read More

The Study of Relationship Between cross-sectional Return and Liquidity in Tehran Sock

Reza Tehrani; Alireza Saranj; Hojjat-Allah Ansari

Volume 11, Issue 43 , January 2012, , Pages 167-184

Abstract
  Liquidity is one of the effective factors on the investors' portfolio decision-making. The previous research evidences shows that liquidity risk factor plays the significant role in cross-sectional return explanation. The present study aimed at investigation of relationship between the expected return ...  Read More