An Analysis of Risk Management in Financial Markets and Its Effects
1. An Analysis of Risk Management in Financial Markets and Its Effects

Amir Samimi; Alireza Bozorgian; Marzieh Samimi

Articles in Press, Accepted Manuscript, Available Online from 17 September 2022

http://dx.doi.org/10.22034/jeires.2021.299117.1045

Abstract
  This study examines risk management in financial markets and its effects. Risk and capital management can happen anywhere in the stock market. This happens when an investor buys the ...  Read More
Investigating the Strategic Concept of Risk Management in the Stock Market and Investing
2. Investigating the Strategic Concept of Risk Management in the Stock Market and Investing

Amir Samimi; Marzieh Samimi

Volume 2, Issue 1 , Winter 2021, , Pages 1-6

http://dx.doi.org/10.22034/jeires.2021.120228

Abstract
  In this study, risk management in stock market was investigated. The growth and development of the capital market as one of the important sectors of any country's economy requires having ...  Read More