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Hadi Heidari هادی حیدری
Hadi Heidari هادی حیدری
Central Bank of the Islamic Republic of Iran
Verified email at cbi.ir
Title
Cited by
Cited by
Year
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
62011
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
22017
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
22016
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
22011
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
12020
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 RESEARCHES 8 (25), 331-354, 2015
12015
The Effect of Macroeconomc Conditions on Bank's Profit:(The Case of one of the Private Banks in Iran)
H Heidari, A Ahmadian
Journal of Monetary & Banking Research 4 (12), 71-100, 2012
12012
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
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
Analysis of the Comprehensive Early Warning System for Iranian Banking Network (in Persian)
A Ahmadyan, H Heidari
Journal of Monetary and Banking Research (فصلنامه پژوهش‌های پولی-بانکی) 10 …, 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
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