Information Journal Paper
APA:
CopyMEHRARA, M., & MEHRANFAR, M.. (2013). BANK AND MACROECONOMIC VARIABLES EFFICIENCY IN RISK MANAGEMENT. ECONOMIC MODELLING, 7(1 (21)), 21-37. SID. https://sid.ir/paper/176188/en
Vancouver:
CopyMEHRARA M., MEHRANFAR M.. BANK AND MACROECONOMIC VARIABLES EFFICIENCY IN RISK MANAGEMENT. ECONOMIC MODELLING[Internet]. 2013;7(1 (21)):21-37. Available from: https://sid.ir/paper/176188/en
IEEE:
CopyM. MEHRARA, and M. MEHRANFAR, “BANK AND MACROECONOMIC VARIABLES EFFICIENCY IN RISK MANAGEMENT,” ECONOMIC MODELLING, vol. 7, no. 1 (21), pp. 21–37, 2013, [Online]. Available: https://sid.ir/paper/176188/en