Information Journal Paper
APA:
CopyNAJAFI MOGHADAM, ALI. (2017). SELECTION OF THE OPTIMAL METHOD IN CALCULATING THE VALUE AT RISK OF INVESTMENT FUND. FINANCIAL ENGINEERING AND SECURITIES MANAGEMENT (PORTFOLIO MANAGEMENT), 8(31 ), 237-265. SID. https://sid.ir/paper/197720/en
Vancouver:
CopyNAJAFI MOGHADAM ALI. SELECTION OF THE OPTIMAL METHOD IN CALCULATING THE VALUE AT RISK OF INVESTMENT FUND. FINANCIAL ENGINEERING AND SECURITIES MANAGEMENT (PORTFOLIO MANAGEMENT)[Internet]. 2017;8(31 ):237-265. Available from: https://sid.ir/paper/197720/en
IEEE:
CopyALI NAJAFI MOGHADAM, “SELECTION OF THE OPTIMAL METHOD IN CALCULATING THE VALUE AT RISK OF INVESTMENT FUND,” FINANCIAL ENGINEERING AND SECURITIES MANAGEMENT (PORTFOLIO MANAGEMENT), vol. 8, no. 31 , pp. 237–265, 2017, [Online]. Available: https://sid.ir/paper/197720/en