abasi.hamidreza
Identify and Rank the Factors Affecting Accounting and Auditing Ethics based on Multi-Criteria Decision Making Methods
[
Vol.8,
Issue
2
- SpringYear
2023]
Abasian Naghneh.salman
The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes
[
Vol.6,
Issue
3
- SummerYear
2021]
Abbasi Astamal.Mohammadraza
Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks
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Vol.4,
Issue
1
- WinterYear
2019]
Abbasi Astamal.Mohammadraza
Explain and Prioritize Information Disclosure Factors related to Sustainable Development Accounting with Fuzzy Approach
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Vol.6,
Issue
4
- AutumnYear
2021]
Abbasi.Behzad
An Uncertain Renewal Stock Model for Barrier Options Pricing with Floating Interest Rate
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Vol.9,
Issue
4
- AutumnYear
2024]
abbasi.ebrahim
Performance Evaluation of the Technical Analysis Indicators in Comparison with the Buy and Hold Strategy in Tehran Stock Exchange Indices
[
Vol.5,
Issue
3
- SummerYear
2020]
abbasi.ebrahim
Predicting the Top and Bottom Prices of Bitcoin Using Ensemble Machine Learning
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Vol.8,
Issue
3
- SummerYear
2023]
abdi.rasoul
Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds
[
Vol.9,
Issue
3
- SummerYear
2024]
abdi.rasoul
Optimization of auditing strategies in companies listed on the Tehran Stock Exchange
[
Vol.9,
Issue
1
- WinterYear
2024]
abdi.rasoul
Providing the optimal model for stock selection based on momentum, reverse and hybrid trading strategies
[
Vol.9,
Issue
2
- SpringYear
2024]
abdi.rasoul
Modelling Optimal Predicting Future Cash Flows Using New Data Mining Methods (A Combination of Artificial Intelligence Algorithms)
[
Vol.8,
Issue
3
- SummerYear
2023]
abdi.rasoul
The Evaluation of the Capability of the Regression & Neural Network Models in Predicting Future Cash Flows
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Vol.7,
Issue
2
- SpringYear
2022]
Abdolbaghi Ataabadi.Abdolmajid
The Effectiveness of the Automatic System of Fuzzy Logic-Based Technical Patterns Recognition: Evidence from Tehran Stock Exchange
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Vol.4,
Issue
3
- SummerYear
2019]
Abdolbaghi Ataabadi.Abdolmajid
Designing and evaluating the profitability of linear trading system based on the technical analysis and correctional property
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Vol.7,
Issue
1
- WinterYear
2022]
Abdolbaghi Ataabadi.Abdolmajid
Option pricing with artificial neural network in a time dependent market
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Vol.9,
Issue
2
- SpringYear
2024]
Abdolbaghi Ataabadi.Abdolmajid
Analytical and numerical solutions for the pricing of a combination of two financial derivatives in a market under Hull-White model
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Vol.7,
Issue
4
- AutumnYear
2022]
Abdolbaghi Ataabadi.Abdolmajid
Multi-objective possibility model for selecting the optimal stock portfolio
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Vol.8,
Issue
2
- SpringYear
2023]
Abdoli.Mohammadreza
The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality
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Vol.4,
Issue
4
- AutumnYear
2019]
Abdoli.Mohammadreza
Decline of Auditor's Financial Bias in Decision making by Professionalism in Auditing: Rough Set Analysis
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Vol.8,
Issue
2
- SpringYear
2023]
Abdoli.Mohammadreza
Developing a Measurement Model for the Sensitivity Analysis of Asset Returns with Regard to Beta Index of Exchange Rate in the Context of the Modified Capital Asset Pricing Model
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Vol.6,
Issue
3
- SummerYear
2021]
Abdoli.Mohammadreza
CEO Overconfidence and Over investment: Role of Exchange Rate
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Vol.8,
Issue
3
- SummerYear
2023]
Abdoli.Mohammadreza
Moderating Role of Managerial Entrenchment to Effect of Technology-Based Capabilities on Product Market Competition: Resource-Based View (DEA)
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Vol.9,
Issue
2
- SpringYear
2024]
Abedini.Bijan
A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach)
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Vol.9,
Issue
1
- WinterYear
2024]
Abedini.Bijan
Providing a model for measuring the impact of economic policy uncertainty on information asymmetry
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Vol.9,
Issue
1
- WinterYear
2024]
afruzianazar.ali
Optimal Banking Performance Model based on ERM
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Vol.8,
Issue
1
- WinterYear
2023]
Afshar Kazemi.Mohammad Ali
Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse
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Vol.4,
Issue
3
- SummerYear
2019]
Afshari.Marzieh
Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management
[
Vol.2,
Issue
3
- SummerYear
2017]
afzaliyan Borojeni.Sayyede Elnaz
Evaluation of the Performance of a Dynamic Trading Strategy by Combining the Flag Pattern Detection Technique and an Exponential Moving Average with Cumulative Particle Motion Optimization
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Vol.8,
Issue
1
- WinterYear
2023]
Agah.mahdi
Investigating the Effect of Financial Constraints and Different Levels of Agency Cost on Investment Efficiency
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Vol.2,
Issue
4
- AutumnYear
2017]
Aghaeefar.Negar
Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse
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Vol.4,
Issue
3
- SummerYear
2019]
Aghaeefar.Negar
Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse
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Vol.4,
Issue
3
- SummerYear
2019]
Aghari Ghara.Ehsan
The Co-movement Between Bitcoin, Gold, USD and Oil: DCC-GARCH and Smooth Transition Regression (STR) Model
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Vol.9,
Issue
3
- SummerYear
2024]
Aghayi Bejestan.Hamed
Multiple portfolio optimization in Tehran Stock Exchange
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Vol.8,
Issue
1
- WinterYear
2023]
Aghdam Mazraeh.Yaghoub
Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds
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Vol.9,
Issue
3
- SummerYear
2024]
ahmadi ghoochan atigh.marziyeh
Identify and Rank the Effective Factors of Financial Risks and Efficiency in Insurance Companies Listed on the Stock Exchange using the Delphi Method
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Vol.8,
Issue
1
- WinterYear
2023]
Ahmadi Rad.Mona
Integration of Liability Payment and New Funding Entries in the Optimal Design of a Supply Chain Network
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Vol.7,
Issue
3
- SummerYear
2022]
ahmadi.faegh
Modeling Energy and Steel Price Volatility and Experimental Test of Inter-Market Volatility Spillover: A Multivariate Study Using VECM and Familty GARCH Models
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Vol.8,
Issue
2
- SpringYear
2023]
ahmadi.faegh
A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach)
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Vol.9,
Issue
1
- WinterYear
2024]
ahmadi.faegh
Presenting the smart pattern of credit risk of the real banks’ customers using machine learning algorithm.
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Vol.8,
Issue
4
- AutumnYear
2023]
Ahmadi.Faegh
Asymmetric Cost Behavior, Industry Type, and Levels of Conservatism (Comparative Study of Non-Operating Accrual, Basu, and Market Value Models)
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Vol.9,
Issue
2
- SpringYear
2024]
ahmadi.jila
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
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Vol.9,
Issue
1
- WinterYear
2024]
Ahmadi.Mohamad
Presenting a model of tax non-compliance in Iran based on the network analysis Process (ANP)
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Vol.8,
Issue
2
- SpringYear
2023]
AHMADI.RAMIN
American Option Pricing of Future Contracts in an Effort to Investigate Trading Strategies; Evidence from North Sea Oil Exchange
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Vol.2,
Issue
3
- SummerYear
2017]
Ahmadi.Roya
The Effect of Financial Distress on the Investment Behavior of Companies Listed on Tehran Stock Exchange
[
Vol.3,
Issue
4
- AutumnYear
2018]
ahmadian.Ardeshi
Optimization of Inventory with Fuzzy Multi-Objective Approach
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Vol.10,
Issue
2
- SpringYear
2025]
ahmadvand.alimohamad
Designing a Model for Predicting Corporate Bankruptcy Using Ensemble Learning Techniques
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Vol.9,
Issue
3
- SummerYear
2024]
Ajazm Ekrani.Hamideh
Moderating Role of Managerial Entrenchment to Effect of Technology-Based Capabilities on Product Market Competition: Resource-Based View (DEA)
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Vol.9,
Issue
2
- SpringYear
2024]
Akbari.Sajad
Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran
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Vol.4,
Issue
1
- WinterYear
2019]
Akbaryan fard.maryam
The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO
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Vol.5,
Issue
3
- SummerYear
2020]
Akhavan Niaki.S.T.
An Agri-Fresh Food Supply Chain Network Design with Routing Optimization: A Case Study of ETKA Company
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Vol.7,
Issue
1
- WinterYear
2022]
aksoun.farzin
Evaluating the Asymmetric Effects of Parallel Financial Markets Shocks on Financial and Commercial Risk as well as Cash Returns
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Vol.9,
Issue
4
- AutumnYear
2024]
aksoun.farzin
Multilevel Convergence, Cluster Fluctuations, Price Bubbles and Fractal Structure; an Experimental Investigation by Foundation Factor Simulation
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Vol.9,
Issue
1
- WinterYear
2024]
Alavimoghadam.Zhaleh
Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market
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Vol.1,
Issue
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- SpringYear
2016]
Ali.Soheil
Impact of Speculative Bubble on Stock Returns in Companies Listed on Tehran Stock Exchange
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Vol.3,
Issue
4
- AutumnYear
2018]
aliahamdi.saeid
The Managerial Ability and Value of Cash: Evidence from Iran
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Vol.1,
Issue
1
- WinterYear
2016]
aliahamdi.saeid
Impact of Internal Control Weaknesses on Financial Reporting Risk
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Vol.8,
Issue
1
- WinterYear
2023]
Alibeiki.Esmail
Sustainable Reporting Function and Green Accounting Strategic Consequences (Cross-matrix analysis)
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Vol.8,
Issue
1
- WinterYear
2023]
Alidadi.Hossein
CEO Overconfidence and Over investment: Role of Exchange Rate
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Vol.8,
Issue
3
- SummerYear
2023]
Alifamiana.Mojtaba
Stock Liquidity and Return Predictability; Is There a Connec-tion? (Evidence from an Emerging Market)
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Vol.8,
Issue
3
- SummerYear
2023]
Aligholi.Mansoureh
Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies
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Vol.4,
Issue
2
- SpringYear
2019]
Alijani. Mehrzad
New Criterion For Fractal Parameter In Financial Time Series
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Vol.7,
Issue
4
- AutumnYear
2022]
alijani.mehrzad
Study and Research on the Six-Year Process of Bitcoin Price and Return
[
Vol.4,
Issue
1
- WinterYear
2019]
Alipour.Mohammad Sadegh
The Effect of Fiscal Policies on Labor Demand in Iran
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Vol.9,
Issue
1
- WinterYear
2024]
Alirezaei.Abutorab
Application of Fuzzy DANP for Implementation of FinTechs in Financial-Banking System
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Vol.10,
Issue
3
- SummerYear
2025]
ALIZADEH.HOSSEIN
The Ability of Elliott Waves Theory to Predict the Information Content of Accounting Profit
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Vol.10,
Issue
1
- WinterYear
2025]
alizadeh.reza
Developing a Measurement Model for the Sensitivity Analysis of Asset Returns with Regard to Beta Index of Exchange Rate in the Context of the Modified Capital Asset Pricing Model
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Vol.6,
Issue
3
- SummerYear
2021]
allahyaribeik.neda
A quantum Model for the stock Market
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Vol.7,
Issue
1
- WinterYear
2022]
Allahyaribeik.sara
A quantum Model for the stock Market
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Vol.7,
Issue
1
- WinterYear
2022]
Ameri shahrabi.hossein
Comparing the performance of the Auto-Regressive Integrated Moving Average (ARIMA) method with that of the Recursive Neural Network (RNN) of long-short term memory (LSTM) in forecasting stock price
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Vol.9,
Issue
2
- SpringYear
2024]
amini milani.minoo
The Effect of Fiscal Policies on Labor Demand in Iran
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Vol.9,
Issue
1
- WinterYear
2024]
amini sabgh.zenolabdin
A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study
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Vol.4,
Issue
1
- WinterYear
2019]
Amini.Arash
Investigating portfolio performance with higher moment considering entropy and rolling window in banking, insurance, and leasing industries
[
Vol.9,
Issue
1
- WinterYear
2024]
Aminifard.Abbas
Optimal Inflation Rate Measurement for Minimizing Economic Inequality: The Dynamic Stochastic General Equilibrium Approach
[
Vol.10,
Issue
2
- SpringYear
2025]
Amiri Hosseini.Masoumeh
Impact of Investors' Sentiments on Volatility of Stock Exchange Index in Tehran Stock Exchange
[
Vol.9,
Issue
1
- WinterYear
2024]
Amiri.Ali
Application of the two-stage DEA model for evaluating the efficiency and investigating the relationship between managerial ability and firm performance
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Vol.5,
Issue
2
- SpringYear
2020]
Amiri.Houshang
A Hybrid Entropy-TOPSIS Method to Investigate the Effect of Auditing Team Norms and Peer Personality Components on the Objectivity of Financial Auditors
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Vol.8,
Issue
4
- AutumnYear
2023]
Amiri.Houshang
Presenting a model of tax non-compliance in Iran based on the network analysis Process (ANP)
[
Vol.8,
Issue
2
- SpringYear
2023]
Amiri.Houshang
Investigating the Impact of Financial Managers' Personality Traits on Tax Fraud; Concerning Gender and Type of Firm
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Vol.10,
Issue
3
- SummerYear
2025]
Amiri.Maghsoud
The effect of effective governance and quality of regulations on financial development in the current economic conditions of Iran
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Vol.6,
Issue
4
- AutumnYear
2021]
Amirteimoori.Alireza
A New Method of Sensitivity Analysis of Returns to Scale in Two-Stage Network; A Case Study of the Insurance Industry in Iran
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Vol.9,
Issue
3
- SummerYear
2024]
Amirteimoori.Alireza
Performance Analysis and Sustainability Assessment of International Markets: Iran versus some other countries
[
Vol.8,
Issue
3
- SummerYear
2023]
Amirteimoori.Alireza
Efficiency Analysis of Banking Sector in Presence of Undesirable Factors Using Data Envelopment Analysis
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Vol.8,
Issue
2
- SpringYear
2023]
Ansari.Zinat
Financial Performance Evaluation of Companies Using Decision Trees Algorithm and Multi-Criteria Decision-Making Techniques with an Emphasis on Investor’s Risk-Taking Behavior
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Vol.6,
Issue
3
- SummerYear
2021]
Anvar Khatibi,.Saeed
Recognition and ranking the effective factors on audit quality via the TOPSIS technique
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Vol.9,
Issue
1
- WinterYear
2024]
Anvary Rostami1.ali asghar
Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method
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Vol.2,
Issue
1
- WinterYear
2017]
Anvary Rostamy.Ali Asghar
The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application
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Vol.3,
Issue
3
- SummerYear
2018]
Anvary Rostamy.Ali Asghar
Moderating effect of managerial ability in the relationship between Corporate governance features and financial distress likelihood: (PLS Approach)
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Vol.7,
Issue
3
- SummerYear
2022]
arabzadeh.meysam
Central Bank Transparency and Capital Market Reaction: A Systematic Review
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Vol.9,
Issue
2
- SpringYear
2024]
arabzadeh.meysam
A Mathematical Model for Measuring Corporate Governance using Multi-Criteria Decision Making (MCDM)Technique
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Vol.8,
Issue
3
- SummerYear
2023]
Araghi.Mehran
Option pricing with artificial neural network in a time dependent market
[
Vol.9,
Issue
2
- SpringYear
2024]
arefmanesh.zohreh
The role of effective variables on the relationship between tax avoidance and investment efficiency
[
Vol.8,
Issue
3
- SummerYear
2023]
ariankia.nahal
American Option Pricing of Future Contracts in an Effort to Investigate Trading Strategies; Evidence from North Sea Oil Exchange
[
Vol.2,
Issue
3
- SummerYear
2017]
Arjomandfar.Abbas
Optimization of estimates and comparison of their efficiency under stochastic methods and its application in financial models
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Vol.8,
Issue
3
- SummerYear
2023]
Asadi.Nahid
Impact of Long-term Debt on Overinvestment Problem of Agency
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Vol.2,
Issue
4
- AutumnYear
2017]
Asadnia.Jahanbakhsh
Modeling Energy and Steel Price Volatility and Experimental Test of Inter-Market Volatility Spillover: A Multivariate Study Using VECM and Familty GARCH Models
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Vol.8,
Issue
2
- SpringYear
2023]
asadollahi.seyyed yahya
Modeling Liquidity Risk Management in Banking Using System Dynamics Approach
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Vol.6,
Issue
3
- SummerYear
2021]
Ashrafi.Majid
Investigating the Effect of the CEO's Narcissism on Investment Efficiency and Financing Methods of Companies admit-ted to the Tehran Stock Exchange
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Vol.10,
Issue
1
- WinterYear
2025]
Ashrafi.Majid
Financial Reporting Readability: A new Artificial Neural Network and Multi-Indicator Decision Making Approach
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Vol.9,
Issue
3
- SummerYear
2024]
Aslani.Dorna
Impacts of Cash Dividend Components on Earning Persistence and Return on Stock
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Vol.3,
Issue
1
- WinterYear
2018]
Aslani.Mohammad
Evaluating the Performance and Ability Explain of Market Index Returns by Selected Stock Portfolios Based on Throughput Accounting Criteria in Comparison with the New Network Matrix Model
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Vol.8,
Issue
3
- SummerYear
2023]
Avazzadeh Taziani.Mehdi
Providing a model for measuring the impact of economic policy uncertainty on information asymmetry
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Vol.9,
Issue
1
- WinterYear
2024]
Azadi.Keyhan
Financial Assessment using a Fuzzy Analytical Hierarchical Process Method
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Vol.7,
Issue
1
- WinterYear
2022]
azar.adel
Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method
[
Vol.2,
Issue
1
- WinterYear
2017]
Azar.Adel
Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank
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Vol.4,
Issue
4
- AutumnYear
2019]
azhdar.mohsen
Impact of Internal Control Weaknesses on Financial Reporting Risk
[
Vol.8,
Issue
1
- WinterYear
2023]
azinfar.kaveh
Stock price analysis using machine learning method(Non-sensory-parametric backup regression algorithm in linear and nonlinear mode)
[
Vol.6,
Issue
2
- SpringYear
2021]
Azizi Barani.Sajjad
Optimization of auditing strategies in companies listed on the Tehran Stock Exchange
[
Vol.9,
Issue
1
- WinterYear
2024]
Azizi.Alireza
Optimal Inflation Rate Measurement for Minimizing Economic Inequality: The Dynamic Stochastic General Equilibrium Approach
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Vol.10,
Issue
2
- SpringYear
2025]
Azizi.Asghar
The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange)
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Vol.1,
Issue
2
- SpringYear
2016]
Azizimehr.Ali
A Data Envelopment Analysis Model to Provide a Dynamic Accounting Information System for Measuring the Financial Effectiveness of Management Accounting System
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Vol.7,
Issue
1
- WinterYear
2022]
Azizkhani.Masoud
Fuzzy Goal Programming Model to Rolling Performance Based Budgeting by Productivity Approach (Case Study: Gas Refiner-ies in Iran)
[
Vol.3,
Issue
3
- SummerYear
2018]
B
Badavar Nahandi.Younes
Explain and Prioritize Information Disclosure Factors related to Sustainable Development Accounting with Fuzzy Approach
[
Vol.6,
Issue
4
- AutumnYear
2021]
Badiei.Hossein
Providing a model for measuring the impact of economic policy uncertainty on information asymmetry
[
Vol.9,
Issue
1
- WinterYear
2024]
Badiei.Hossein
Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking
[
Vol.9,
Issue
1
- WinterYear
2024]
Badiei.Hossein
Modeling Energy and Steel Price Volatility and Experimental Test of Inter-Market Volatility Spillover: A Multivariate Study Using VECM and Familty GARCH Models
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Vol.8,
Issue
2
- SpringYear
2023]
Baghban.Mehdi
Application of Clayton Copula in Portfolio Optimization and its Comparison with Markowitz Mean-Variance Analysis
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Vol.3,
Issue
1
- WinterYear
2018]
Bagheri.Alirahim
Design and Formulation of Strategic Liquidity Management Strategies in the Banking Industry (Case study: Rafah Bank)
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Vol.9,
Issue
1
- WinterYear
2024]
baghfalaki.afshin
The Relationship between Risk and Return on Financial Assets (The Panel Vector Auto-Regression and Panel Cointegration Ap-proaches)
[
Vol.7,
Issue
3
- SummerYear
2022]
baghfalaki.afshin
Modeling the Co-Movement of Stocks Between Returns with Negative and Positive Shocks of Sentiment Arising from the Imbalance of Orders Using a Tree-Stage Clustering Approach
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Vol.10,
Issue
1
- WinterYear
2025]
baghfalaki.afshin
A mathematical model to predict corporate bankruptcy using financial, managerial and economic variables And compare it with other models
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Vol.8,
Issue
4
- AutumnYear
2023]
Baghfalaki.Afshin
The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards
[
Vol.6,
Issue
1
- WinterYear
2021]
bagjavany.Fatemeh
Impact of Investors' Sentiments on Volatility of Stock Exchange Index in Tehran Stock Exchange
[
Vol.9,
Issue
1
- WinterYear
2024]
Bahadori.Maryam
Implementation of Performance-Based Budgeting Using the Combined Technique of Best-worst Method (BWM) and Robust Optimization
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Vol.7,
Issue
1
- WinterYear
2022]
Bahiraie.Alireza
Visualized Portfolio Optimization of stock market: Case of TSE
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Vol.9,
Issue
2
- SpringYear
2024]
BAHIRAIE.ALIREZA
Insurance Claim Classification: A new Genetic Programming Approach
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Vol.7,
Issue
2
- SpringYear
2022]
BAHIRAIE.ALIREZA
Option Pricing in the Presence of Operational Risk
[
Vol.5,
Issue
4
- AutumnYear
2020]
Bahmani.Mohammad
Presenting a Model for Predicting Various Types of Stock Movement Trends in Water-Intensive Industries Using a Decision Tree
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Vol.9,
Issue
3
- SummerYear
2024]
Bahraini.Seyed Abdul Hamid
Modeling Energy and Steel Price Volatility and Experimental Test of Inter-Market Volatility Spillover: A Multivariate Study Using VECM and Familty GARCH Models
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Vol.8,
Issue
2
- SpringYear
2023]
Bahrami Seyfabad.Mohammad
Designing an Analytical Model for Assessing Supply Chain Resilience to different Types of Risks: Case Study of Iran Petro-chemical Industries
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Vol.8,
Issue
4
- AutumnYear
2023]
bahri.jamal
Internal Control Quality Assessment based on the Characteristics of the Entity and Auditor and their Expected Goals in the Firm's Listed in Tehran Stock Exchange
[
Vol.5,
Issue
4
- AutumnYear
2020]
bahrisales.jamal
Study of ranking factors affecting the implementation of timely management of goods and equipment and its evaluation criteria in the power distribution company of the whole country using fuzzy AHP and fuzzy DEMATEL
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Vol.8,
Issue
4
- AutumnYear
2023]
Bajalan.Saeed
Analysis of Stock Market Manipulation using Generative Adversarial Nets and Denoising Auto-Encode Models
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Vol.7,
Issue
1
- WinterYear
2022]
bakhshmohammadlou.minoo
Hedging of Options in Jump-Diffusion Markets with Correlated Assets
[
Vol.6,
Issue
1
- WinterYear
2021]
bakhshmohammadlou.minoo
Numerical Solution of Multidimensional Exponential Levy Equation by Block Pulse Function
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Vol.5,
Issue
2
- SpringYear
2020]
baloonezhadnoori.rouzbeh
Impact of Investors' Sentiments on Volatility of Stock Exchange Index in Tehran Stock Exchange
[
Vol.9,
Issue
1
- WinterYear
2024]
Balouei.Esmaeil
The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application
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Vol.3,
Issue
3
- SummerYear
2018]
Banihashemi.Shokoofeh
Using MODEA and MODM with Different Risk Measures for Portfolio Optimization
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Vol.5,
Issue
1
- WinterYear
2020]
Banimahd.Bahman
New Criterion For Fractal Parameter In Financial Time Series
[
Vol.7,
Issue
4
- AutumnYear
2022]
Banimahd.Bahman
The Role of Earnings Management in Economic Growth and Corporate Growth Illusion
[
Vol.6,
Issue
4
- AutumnYear
2021]
Banimahd.Bahman
Study and Research on the Six-Year Process of Bitcoin Price and Return
[
Vol.4,
Issue
1
- WinterYear
2019]
Banimahd.Bahman
The Ranking of Fraudulent Financial Reporting By Using Data Envelopment Analysis: Case of Pharmaceutical Listed Companies
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Vol.5,
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1
- WinterYear
2020]
Banimehri.Saeed
A New Non-monotone Line Search Algorithm to Solve Non-smooth Optimization Finance Problem
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Vol.9,
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- SpringYear
2024]
Banitalebi Dehkordi.Bahareh
A Combined Model for Prediction of Financial Software Learning Rate based on the Accounting Students’ Characteristics
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Vol.7,
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- AutumnYear
2022]
Banitalebi Dehkordi.Bahareh
Applying the ELECTRE Method to Determine the Effects of Calendar Anomalies on the Index Returns of Banks Listed on the Tehran Stock Exchange
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Vol.9,
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- SpringYear
2024]
Banitalebi Dehkordi.Bahareh
Designing a Model to Investigate the Process of Forming Cluster Fluctuations According to the Fractal Structure in Financial Markets
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Vol.9,
Issue
3
- SummerYear
2024]
Baradaran Hasanzadeh.Rasoul
Explain and Prioritize Information Disclosure Factors related to Sustainable Development Accounting with Fuzzy Approach
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Vol.6,
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- AutumnYear
2021]
Baradaran Hasanzadeh.Rasoul
Recognition and ranking the effective factors on audit quality via the TOPSIS technique
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Vol.9,
Issue
1
- WinterYear
2024]
Barati.Saeid
The Effects of Accruals and Cash Flow Anomalies on Net Profit and Abnormal Stock Returns in Accepted Companies in Tehran Securities Exchange
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Vol.2,
Issue
2
- SpringYear
2017]
Barbat.salameh
A Combination of FSAW and DOE Method with an Application to Tehran Stock Exchange
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Vol.7,
Issue
4
- AutumnYear
2022]
Barkhordari.Mahnaz
Implementation of Performance-Based Budgeting Using the Combined Technique of Best-worst Method (BWM) and Robust Optimization
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Vol.7,
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- WinterYear
2022]
baseri.saeid
The Effect of CEO Power on Stock Price Delay
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Vol.7,
Issue
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- SpringYear
2022]
basirat.mehdi
Net Working Capital Investment Policies, the Value of Financial Flexibility and Financial Constraint, Evidence From the Tehran Stock Exchange
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Vol.9,
Issue
3
- SummerYear
2024]
basirat.mehdi
Analyzing the efficiency of capital market relative to the decreas-ing and increasing information of the components of accounting earnings
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Vol.7,
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1
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2022]
Bastam.Hadi
Designing and validating an agile financial marketing capability model for the development of the health tourism industry after Covid-19
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Vol.7,
Issue
4
- AutumnYear
2022]
bavaghar Zaeimi.Mojtaba
Presenting an Explanatory Model of Stock Price Using Deep Learning Algorithm
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Vol.9,
Issue
3
- SummerYear
2024]
behmanesh.reza
Comparison of the Ability of Modern and Conventional Metaheuristic and Regression Models to Predict Stock Returns by Accounting Variables and Presenting an Effective Model
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Vol.7,
Issue
2
- SpringYear
2022]
Behnam.Sepideh
Investigating the effects of time variables of gold, crude oil and foreign exchange markets on herding behavior in Tehran Stock Foreign exchange
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Vol.8,
Issue
4
- AutumnYear
2023]
Beiky.niloofar
Predicting Social Responsibility Reporting using Financial Ratios
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Vol.9,
Issue
2
- SpringYear
2024]
Bekhradi Nasab.Vahid
A VAR Model for the Macroeconomic Indicators Restatements Predicting : Introduction to Macroaccounting Theory
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Vol.7,
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4
- AutumnYear
2022]
Beki Haskooi.Morteza
An Algorithmic Trading system Based on Machine Learning in Tehran Stock Exchange
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Vol.6,
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3
- SummerYear
2021]
Beygi Harchegani.Azam
A Hybrid Entropy-TOPSIS Method to Investigate the Effect of Auditing Team Norms and Peer Personality Components on the Objectivity of Financial Auditors
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Vol.8,
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- AutumnYear
2023]
beytary.JALIL
Applying the GARCH and COPULA Models to Examine the Relationship Between Trading Volume and the Value of Trading with the Bubble Pricing
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Vol.7,
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- SpringYear
2022]
Biglar.Abbas
Integration of Liability Payment and New Funding Entries in the Optimal Design of a Supply Chain Network
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Vol.7,
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3
- SummerYear
2022]
Biglar.Abbas
An Optimization Model for Designing a Supply Chain Network with a Value-Based Management Approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Biglari.Bahram
According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle
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Vol.3,
Issue
1
- WinterYear
2018]
Bijani.Ayat
Investigating the effect of rounding and revision in predicting earnings per share on investors' attention
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Vol.4,
Issue
1
- WinterYear
2019]
Bolfake.Ali
Deep Learning Application in Rainbow Options Pricing
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Vol.8,
Issue
3
- SummerYear
2023]
botshekan.mohammad hashem
Investigating the role of development banks in fixed investment formation in Iran
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Vol.8,
Issue
4
- AutumnYear
2023]
Bozorgi Gerdvisheh.Fatemeh
Efficiency Analysis of Banking Sector in Presence of Undesirable Factors Using Data Envelopment Analysis
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Vol.8,
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- SpringYear
2023]
C
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The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards
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Vol.6,
Issue
1
- WinterYear
2021]
Chavoshani.Mojtaba
The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards
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Vol.6,
Issue
1
- WinterYear
2021]
Chavoshani.Mojtaba
The role of aggregate cost stickiness in unemployment rate prediction
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Vol.7,
Issue
1
- WinterYear
2022]
Chesneau.Christophe
Capsule Network Regression Using Information Measures: An Application in Bitcoin Market
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Vol.7,
Issue
1
- WinterYear
2022]
Chirani.Ebrahim
Identifying the Effective Factors on Investors' Behavior and Developing a Measurement Model
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Vol.9,
Issue
1
- WinterYear
2024]
D
Dadashi.Iman
Investigating the Asymmetric Models of Cash Holding Adjustment Speed: Dummy Variable, Quadratic and Threshold Regression Models
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Vol.8,
Issue
2
- SpringYear
2023]
Dadashi.Iman
Presenting a New Bankruptcy Prediction Model Based on Adjusted Financial Ratios According to the General Price Index
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Vol.6,
Issue
4
- AutumnYear
2021]
Dadashi.Iman
Stock price prediction using the Chaid rule-based algorithm and particle swarm optimization (pso)
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Vol.5,
Issue
2
- SpringYear
2020]
Dadashi.Iman
Stock price analysis using machine learning method(Non-sensory-parametric backup regression algorithm in linear and nonlinear mode)
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Vol.6,
Issue
2
- SpringYear
2021]
Daei-Karimzadeh.SAEED
Developing a model for managing the risk assessment of import declarations in customs based on data analysis techniques
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Vol.7,
Issue
4
- AutumnYear
2022]
Dalvand.Hossein
Identifying and Prioritizing Investment Risks in Sports Projects
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Vol.8,
Issue
1
- WinterYear
2023]
Dalvand.Khosro
Studying the Role of Marketing Intensity on the Relation of Financial Leverage and Firm Function
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Vol.3,
Issue
3
- SummerYear
2018]
Danesh.Elham
Daily net cash flow analysis and forecasting : Transition from Microscopic to Macroscopic Stochastic Equations
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Vol.8,
Issue
4
- AutumnYear
2023]
daneshi.vahid
Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran
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Vol.3,
Issue
3
- SummerYear
2018]
darabi.roya
The power indexes of the CEO and the performance of the company under pressure based on product market competition
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Vol.6,
Issue
1
- WinterYear
2021]
Darabi.Roya
Impact of Momentum on Stock Returns in Different Market Conditions
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Vol.5,
Issue
3
- SummerYear
2020]
Darabi.Roya
Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies
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Vol.7,
Issue
1
- WinterYear
2022]
Darabi.Roya
Application of Clayton Copula in Portfolio Optimization and its Comparison with Markowitz Mean-Variance Analysis
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Vol.3,
Issue
1
- WinterYear
2018]
Darabi.Roya
Replacing IFRS instead of Iranian accounting standard
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Vol.2,
Issue
2
- SpringYear
2017]
Darabpoor.Kiyumars
Designing a Model of Financial Flexibility Functions for Industrial Infrastructure Development of Abadan Oil Refining Company
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Vol.8,
Issue
3
- SummerYear
2023]
Darestani Farahani.Ahmad
Introduction of New Risk Metric using Kernel Density Estimation Via Linear Diffusion
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Vol.7,
Issue
2
- SpringYear
2022]
darvishan.mehdi
To Study The Effect of Investor Protection on Future Stock Price Crash Risk
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Vol.6,
Issue
2
- SpringYear
2021]
Dastranj.Elham
Option pricing with artificial neural network in a time dependent market
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Vol.9,
Issue
2
- SpringYear
2024]
Davarpanah.Seyed Hashem
ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia
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Vol.2,
Issue
1
- WinterYear
2017]
Davoodi.Sayyed Mohammad Reza
Selecting The Optimal Multi-Period Stock Portfolio with Different Time Horizons in the Credibility Theory Framework
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Vol.8,
Issue
3
- SummerYear
2023]
Davoodi.Sayyed Mohammad Reza
Evaluation of the Performance of a Dynamic Trading Strategy by Combining the Flag Pattern Detection Technique and an Exponential Moving Average with Cumulative Particle Motion Optimization
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Vol.8,
Issue
1
- WinterYear
2023]
Davoodi.Sayyed Mohammad Reza
The Effectiveness of the Automatic System of Fuzzy Logic-Based Technical Patterns Recognition: Evidence from Tehran Stock Exchange
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Vol.4,
Issue
3
- SummerYear
2019]
Davoodi.Sayyed Mohammad Reza
Interval Forecasting of Stock Price Changes using the Hybrid of Holt’s Exponential Smoothing and Multi-Output Support Vector Regression
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Vol.7,
Issue
2
- SpringYear
2022]
Davoodi.Sayyed Mohammad Reza
Designing and evaluating the profitability of linear trading system based on the technical analysis and correctional property
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Vol.7,
Issue
1
- WinterYear
2022]
Davoudabadi.mehri
Comparing Relative and Additive Contents of Return with Cash Recovery Rate
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Vol.2,
Issue
1
- WinterYear
2017]
Davoudi Nasr.Majid
The Study of the Effect of Diversification Strategy, Cost Leader-ship Strategies and Product Differentiation on Business Unit Value
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Vol.2,
Issue
1
- WinterYear
2017]
Davoudi Nasr.Majid
The efficiency of innovative techniques in improving new and traditional standards of corporates’ performance
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Vol.9,
Issue
2
- SpringYear
2024]
Davoudi Nasr.Majid
Presenting an Entropy-Based Systemic Risk Warning Model
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Vol.10,
Issue
2
- SpringYear
2025]
Davoudi Nasr.Majid
Evaluating the Impacts of Social Trust and Managers' Overself-confidence on Investment Efficiency
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Vol.9,
Issue
4
- AutumnYear
2024]
Davoudi.Akram
A Model of Investor Sentiment Based on Grounded Theory Approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Dehdast.Z.
On Integral Operator and Argument Estimation of a Novel Subclass of Harmonic Univalent Functions
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Vol.5,
Issue
3
- SummerYear
2020]
Dehghan Manshadi.Saeed
Analysis of the Asymmetric Effect of Exchange and Bank Facility Rates on Labor Productivity in Iran: NARDL Approach
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Vol.7,
Issue
4
- AutumnYear
2022]
dianati dalami.zahra
The Role of Earnings Management in Economic Growth and Corporate Growth Illusion
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Vol.6,
Issue
4
- AutumnYear
2021]
didehkhani.Hossein
Investors' Behavioral Biases in Tehran Stock Exchange by emphasizing the Role of Significant Weaknesses in Internal Control
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Vol.8,
Issue
2
- SpringYear
2023]
Doaei.Meysam
Hybrid Multilayer Perceptron Neural Network with Grey Wolf Optimization for Predicting Stock Market Index
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Vol.6,
Issue
4
- AutumnYear
2021]
Doaei.Meysam
ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia
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Vol.2,
Issue
1
- WinterYear
2017]
Doosti.Hassan
Forecasting the Tehran Stock market by Machine Learning Methods using a New Loss Function
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Vol.6,
Issue
2
- SpringYear
2021]
Doosti.Hassan
Capsule Network Regression Using Information Measures: An Application in Bitcoin Market
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Vol.7,
Issue
1
- WinterYear
2022]
E
Ebadian.Ali
Evaluating the Factors Affecting on Credit Ratings of Accepted Corporates in Tehran Securities Exchange by Using Factor Analysis and AHP
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Vol.6,
Issue
1
- WinterYear
2021]
Ebrahimi Kahrizsangi.Khadije
A VAR Model for the Macroeconomic Indicators Restatements Predicting : Introduction to Macroaccounting Theory
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Vol.7,
Issue
4
- AutumnYear
2022]
Ebrahimi Moghaddam.Mahdi
Designing and Evaluating Trading Strategies Based on Algorithmic Trading in Iran's Capital Market
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Vol.8,
Issue
2
- SpringYear
2023]
eghbali.hossein
Designing a Model for Predicting Corporate Bankruptcy Using Ensemble Learning Techniques
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Vol.9,
Issue
3
- SummerYear
2024]
ehsanifar.mohammad
Development of a New SWOT-MCDM Model to Create Marketing and Financial Strategies in Conditions of Uncertainty (Case Study of Iralco Company)
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Vol.9,
Issue
3
- SummerYear
2024]
Eibakabadi.Mahbobeh
The Study of the Effect of Fraction Resulted of Bad News on Stock Returns Emphasizing the Regulatory Power of Information Disclosure Policies
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Vol.2,
Issue
2
- SpringYear
2017]
eisazadeh saravani.adeleh
Performance Analysis and Sustainability Assessment of International Markets: Iran versus some other countries
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Vol.8,
Issue
3
- SummerYear
2023]
elhaei sahar.mehdi
Stock Price Momentum Modeling: A Grounded Theory Approach
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Vol.5,
Issue
2
- SpringYear
2020]
elmi.zahra
Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting
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Vol.3,
Issue
4
- AutumnYear
2018]
Emamgholipour Archi.Milad
Investigating the Asymmetric Models of Cash Holding Adjustment Speed: Dummy Variable, Quadratic and Threshold Regression Models
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Vol.8,
Issue
2
- SpringYear
2023]
Emami.Ahmad
Investigating the Relationships between Managerial Abilities, Financial Distress and Auditing Fees in Companies Listed on the Tehran Stock Exchange
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Vol.10,
Issue
1
- WinterYear
2025]
enayayi taebi.reyhaneh
Chaotic Test and Non-Linearity of Abnormal Stock Returns: Selecting an Optimal Chaos Model in Explaining Abnormal Stock Returns around the Release Date of Annual Financial Statements
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Vol.6,
Issue
2
- SpringYear
2021]
Entezari.Mehdi
Application of Fuzzy DANP for Implementation of FinTechs in Financial-Banking System
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Vol.10,
Issue
3
- SummerYear
2025]
Esamailzadeh mogry.Ali
Investigating the Relationships between Managerial Abilities, Financial Distress and Auditing Fees in Companies Listed on the Tehran Stock Exchange
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Vol.10,
Issue
1
- WinterYear
2025]
esfandiar.mehdi
Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique
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Vol.3,
Issue
2
- SpringYear
2018]
Esfandiyar Pour.Mahdihe
Evaluating and Ranking the Firms in Chemical Industry Listed in Tehran Stock Exchange with TOPSIS
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Vol.2,
Issue
2
- SpringYear
2017]
Eshaghzadeh.Ali
Stock Liquidity and Return Predictability; Is There a Connec-tion? (Evidence from an Emerging Market)
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Vol.8,
Issue
3
- SummerYear
2023]
eshghiaraghi.mahtab
Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange
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Vol.3,
Issue
3
- SummerYear
2018]
Eslami Mofid Abadi.Hossein
Oil Price estimating Under Dynamic Economic Models Using Markov Chain Monte Carlo Simulation Approach
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Vol.6,
Issue
3
- SummerYear
2021]
esmaeili.bahman
Higher moments portfolio Optimization with unequal weights based on Generalized Capital Asset pricing model with independent and identically asymmetric Power Distribution
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Vol.6,
Issue
2
- SpringYear
2021]
Esmaeili.Hamid
A New Non-monotone Line Search Algorithm to Solve Non-smooth Optimization Finance Problem
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Vol.9,
Issue
2
- SpringYear
2024]
Esmaili kia.Gharibeh
The Effect of Macroeconomic Variables on Stock Portfolio Performance Based on Traditional and Modern Network
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Vol.6,
Issue
3
- SummerYear
2021]
etebar.shokoufeh
Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies
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Vol.7,
Issue
1
- WinterYear
2022]
ezazi.mohammad esmaeil
Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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Vol.8,
Issue
2
- SpringYear
2023]
F
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Selecting The Optimal Multi-Period Stock Portfolio with Different Time Horizons in the Credibility Theory Framework
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Vol.8,
Issue
3
- SummerYear
2023]
Faghani Makrani.Khosro
Developing an Integrated ISM and DEMATEL Method for Eco-nomic and Political Factors Influencing Investors' Decision-Making in Investing in the Stock Exchange
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Vol.9,
Issue
1
- WinterYear
2024]
Faghani Makrani.Khosro
The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models
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Vol.6,
Issue
3
- SummerYear
2021]
fakhari.hossein
Predict the Stock price crash risk by using firefly algorithm and comparison with regression
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Vol.3,
Issue
2
- SpringYear
2018]
Fallah.Hajar
An Investigation into the Effect of CEO’s Perceptual Biases on Investment Efficiency and Financing Constraints of the Iranian Listed Firms
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Vol.6,
Issue
1
- WinterYear
2021]
fallah.mirfeiz
Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies
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Vol.7,
Issue
1
- WinterYear
2022]
fallah.mirfeiz
Profitability evaluation of dynamic investment projects by using ordered fuzzy numbers
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Vol.8,
Issue
4
- AutumnYear
2023]
fallah.mirfeiz
The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk
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Vol.8,
Issue
3
- SummerYear
2023]
fallah.mirfeiz
Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran
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Vol.9,
Issue
1
- WinterYear
2024]
fallah.mirfeiz
Providing an intelligent credit risk management system of the bank based on the macroeconomic indicators in the country's stock exchange banks
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Vol.8,
Issue
4
- AutumnYear
2023]
fallah.mirfeiz
Portfolio optimization considering cardinality constraints and based on various risk factors using the differential evolution algorithm
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Vol.9,
Issue
2
- SpringYear
2024]
Fallahshams.Mirfeiz
Evaluating the Factors Affecting on Credit Ratings of Accepted Corporates in Tehran Securities Exchange by Using Factor Analysis and AHP
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Vol.6,
Issue
1
- WinterYear
2021]
Fallahshams.Mirfeiz
Investigating the Impact of Financial Development Indicators and Economic and International Trade Performance on the Stock and Financial Markets
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Vol.9,
Issue
3
- SummerYear
2024]
Fallahshams.Mirfeiz
Analyzing the Effect of Monetary Volatility on the Iranian Stock Market
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Vol.9,
Issue
4
- AutumnYear
2024]
Farahani.Hamed
An anticipating class of Fuzzy Stochastic Differential Equations
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Vol.8,
Issue
2
- SpringYear
2023]
Faraji.Omid
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
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Vol.6,
Issue
2
- SpringYear
2021]
faraji.somayyeh
A review of meta-heuristic methods for solving location allocation financial problems
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Vol.8,
Issue
3
- SummerYear
2023]
Farajzadeh.Ali
On Solutions of Generalized Implicit Equilibrium Problems with Application in Game Theory
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Vol.7,
Issue
2
- SpringYear
2022]
Farajzadeh.Ali
On Vector Equilibrium Problem with Generalized Pseudomonotonicity
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Vol.4,
Issue
2
- SpringYear
2019]
farhadi sartangi.morteza
A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index
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Vol.4,
Issue
1
- WinterYear
2019]
farhadi sartangi.morteza
Assessing the relationship between balance sheet conservatism and profit and loss conservatism with cost of equity capital
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Vol.7,
Issue
4
- AutumnYear
2022]
farjamfar.mohammad
Assessing the relationship between balance sheet conservatism and profit and loss conservatism with cost of equity capital
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Vol.7,
Issue
4
- AutumnYear
2022]
Farnoosh.rahman
Numerical Solution of Multidimensional Exponential Levy Equation by Block Pulse Function
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Vol.5,
Issue
2
- SpringYear
2020]
Farsadamanollahi.Gholamreza
Development of data envelopment analysis model for financial and social evaluation of companies based on stock returns and accounting value
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Vol.7,
Issue
3
- SummerYear
2022]
Farsadamanollahi.Gholamreza
Identification and Refinement of Effective Factors of Financial Reporting Transparency of Firms Listed on Iran Stock Exchange
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Vol.7,
Issue
3
- SummerYear
2022]
Farshadfar.Zahra
Improving Stock Return Forecasting by Deep Learning Algorithm
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Vol.4,
Issue
3
- SummerYear
2019]
Farshidpour.Alireza
The Relationship Between Non-Transparent Financial Reporting and Risk Stock Futures Fall Due to the Size and Performance
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Vol.2,
Issue
2
- SpringYear
2017]
farzin far.ali akbar
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
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Vol.7,
Issue
4
- AutumnYear
2022]
farzinfar,.Aliakbar
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
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Vol.9,
Issue
1
- WinterYear
2024]
Fatemi Moghadam.Marzieh
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
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Vol.7,
Issue
4
- AutumnYear
2022]
fatemi.adel
Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market
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Vol.1,
Issue
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- SpringYear
2016]
fathi vajargah.kianoush
Oil Price estimating Under Dynamic Economic Models Using Markov Chain Monte Carlo Simulation Approach
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Vol.6,
Issue
3
- SummerYear
2021]
fathi vajargah.kianoush
Optimization of estimates and comparison of their efficiency under stochastic methods and its application in financial models
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Vol.8,
Issue
3
- SummerYear
2023]
Fathi.Kiamars
A integrated hybrid fuzzy multiple-criteria decision-making model for non-performing Loans collections in the banking system (Case study: Shahr Bank)
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Vol.8,
Issue
1
- WinterYear
2023]
Fathi.Mohammad Reza
Financial Distress of Companies Listed on the Tehran Stock Exchange using the Dynamic Worst Practice Frontier-based DEA Model
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Vol.7,
Issue
2
- SpringYear
2022]
Fathi.Mohammad Reza
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
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Vol.6,
Issue
2
- SpringYear
2021]
Fazeli.Naghi
Developing an Integrated ISM and DEMATEL Method for Eco-nomic and Political Factors Influencing Investors' Decision-Making in Investing in the Stock Exchange
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Vol.9,
Issue
1
- WinterYear
2024]
Fazli.Mehdi
A review of meta-heuristic methods for solving location allocation financial problems
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Vol.8,
Issue
3
- SummerYear
2023]
Feghhi Kashani.Mohammad
Voluntary Disclosure Dynamics under Risk and Ambiguity for Digital Corporates in Tehran Stock Exchange Market
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Vol.9,
Issue
2
- SpringYear
2024]
Feizollahi.Sadegh
Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm
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Vol.6,
Issue
2
- SpringYear
2021]
foroghi.dariush
Developing the Stock Pricing Model based on Bounded Rationality Theory
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Vol.8,
Issue
1
- WinterYear
2023]
foroghi.dariush
Determining the effect of auditors' skeptical personality traits with considering the characteristics of organizational behaviour on job Audit Durability
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Vol.5,
Issue
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- AutumnYear
2020]
G
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Modelling Robust Optimization in DEA With Ratio Data: A Case Study of Commercial Banks
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Vol.9,
Issue
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- SummerYear
2024]
Gerami.Javad
Fixed Cost Allocation Based on DEA Cross Efficiency Considering Semi-Additive Production Technology: An Application to Bank Branches
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Vol.9,
Issue
2
- SpringYear
2024]
Gerveib.Fatemeh
Optimization of the Black-Scholes Equation with the Numerical Method of Local Expansion to Minimize Risk Coverage
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Vol.6,
Issue
4
- AutumnYear
2021]
ghaemi.Mohammad Hossein
Measurement of Economics to Scale in Corporates of Tehran Stock Exchange
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Vol.4,
Issue
4
- AutumnYear
2019]
ghafari ashtiani.peyman
Investigating the Effect of FinTech Implementation Components in the Banking Industry of Iran
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Vol.8,
Issue
2
- SpringYear
2023]
ghafari ashtiani.peyman
Factors Affecting Stock Prices Regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange
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Vol.6,
Issue
3
- SummerYear
2021]
ghafari ashtiani.peyman
Development of a New SWOT-MCDM Model to Create Marketing and Financial Strategies in Conditions of Uncertainty (Case Study of Iralco Company)
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Vol.9,
Issue
3
- SummerYear
2024]
Ghanbari.Mehrdad
Providing a model of earning transparency with emphasis on the criteria of the govermance system and performance: an artificial intelligence approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Ghanbari.Mehrdad
A mathematical model to predict corporate bankruptcy using financial, managerial and economic variables And compare it with other models
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Vol.8,
Issue
4
- AutumnYear
2023]
ghanbari.mohammadreza
Support Vector Regression Parameters Optimization using Golden Sine Algorithm and Its Application in Stock Market
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Vol.7,
Issue
2
- SpringYear
2022]
GHASEMI.AHMAD
Effect of Corporate Governance on Banking Failure
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Vol.7,
Issue
2
- SpringYear
2022]
ghasemi.jamal
Predict the Stock price crash risk by using firefly algorithm and comparison with regression
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Vol.3,
Issue
2
- SpringYear
2018]
Ghasemi.Marzieh
A New Method for Allocating Fixed Costs with Undesirable Data: Data Envelopment Analysis Approach
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Vol.8,
Issue
1
- WinterYear
2023]
Ghasemi.Saeideh
Investigating the Impact of the Financial Crisis on Conservative Accounting and Transparency of Banking Information
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Vol.3,
Issue
3
- SummerYear
2018]
Ghazi Fini.Seyed Reza
Modelling and Investigating the Differences and Similarities in the Volatility of the Stocks Return in Tehran Stock Exchange Using the Hybrid Model PANEL-GARCH
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Vol.3,
Issue
2
- SpringYear
2018]
gheysari.rouhallah
Presenting and explaining the model of the role of behavioral characteristics and financial literacy of real investors on their financial management components in the Iranian capital market
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Vol.8,
Issue
4
- AutumnYear
2023]
Ghiasi.Sakineh
A Kurganov-Tadmor numerical method for option pricing under the constant elasticity of variance model
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Vol.7,
Issue
3
- SummerYear
2022]
Ghilavi.Mona
Application of Resource-Based View Theory in Assessing of Efficiency of Companies Accepted in Tehran Stock Exchange by Data Envelopment Analysis
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Vol.6,
Issue
3
- SummerYear
2021]
ghiyasvand.alireza
Impact of Momentum on Stock Returns in Different Market Conditions
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Vol.5,
Issue
3
- SummerYear
2020]
ghodrati ghezaani,.hasan
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
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Vol.9,
Issue
1
- WinterYear
2024]
GHODRATI.HASAN
The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation
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Vol.4,
Issue
2
- SpringYear
2019]
Ghodrati.Hassan
Making Decision on Selection of Optimal Stock Portfolio Employing Meta Heuristic Algorithms for Multi-Objective Functions Subject to Real-Life Constraints
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Vol.8,
Issue
2
- SpringYear
2023]
Ghodrati.Hassan
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
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Vol.7,
Issue
4
- AutumnYear
2022]
Gholami Jamkarani.Reza
The Effect of CEO Power on Stock Price Delay
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Vol.7,
Issue
2
- SpringYear
2022]
Gholami Jamkarani.Reza
Effect of Information Delay on Joint Investment Fund's Performance
[
Vol.1,
Issue
2
- SpringYear
2016]
gholami.amir
Daily net cash flow analysis and forecasting : Transition from Microscopic to Macroscopic Stochastic Equations
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Vol.8,
Issue
4
- AutumnYear
2023]
Gholami.Mohammad
Investigating the Effect of FinTech Implementation Components in the Banking Industry of Iran
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Vol.8,
Issue
2
- SpringYear
2023]
Gholamrezapoor.Mohammad
Cash Holding Adjustment Speed: The Role of Managerial Ability and Moderating Role of Political Connections in Tehran Stock Exchange
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Vol.7,
Issue
3
- SummerYear
2022]
Gholamrezapoor.Mohammad
The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency
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Vol.5,
Issue
2
- SpringYear
2020]
Gioki.Ibrahim
Design and Formulation of Strategic Liquidity Management Strategies in the Banking Industry (Case study: Rafah Bank)
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Vol.9,
Issue
1
- WinterYear
2024]
godini.maryam
The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance
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Vol.4,
Issue
1
- WinterYear
2019]
goldani.mahdi
Support Vector Regression Parameters Optimization using Golden Sine Algorithm and Its Application in Stock Market
[
Vol.7,
Issue
2
- SpringYear
2022]
golkar.mahsa
Predicting Social Responsibility Reporting using Financial Ratios
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Vol.9,
Issue
2
- SpringYear
2024]
Golmohammadi.MH
On a Generalized Subclass of p-Valent Meromorphic Functions by Defined q-Derivative Operator
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Vol.6,
Issue
4
- AutumnYear
2021]
Golshani.Mohammad Amir
Information Asymmetry with Emphasis on the Role of Financial and Managerial Criteria Based on Fuzzy Logic and Artificial Neural Networks
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Vol.9,
Issue
3
- SummerYear
2024]
Goodarzi.Atousa
Early Warning Model for Solvency of Insurance Companies Using Machine Learning: Case Study of Iranian Insurance Companies
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Vol.9,
Issue
3
- SummerYear
2024]
gorganli davaji.jomadoordi
The Effect of Industry Type on the Relationship between Financial Reporting Transparency and Financial Health in Tehran Stock Exchange
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Vol.7,
Issue
2
- SpringYear
2022]
gorganli davaji.jomadoordi
Investigating the Effect of the CEO's Narcissism on Investment Efficiency and Financing Methods of Companies admit-ted to the Tehran Stock Exchange
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Vol.10,
Issue
1
- WinterYear
2025]
gudarzi farahani.yazdan
The Co-movement Between Bitcoin, Gold, USD and Oil: DCC-GARCH and Smooth Transition Regression (STR) Model
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Vol.9,
Issue
3
- SummerYear
2024]
H
Habibollahi.Marjan
Investigating the Effect of Institution's Financial Development on the Economic Growth in MENA Countries Using PSVAR and Markov Switching Models
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Vol.8,
Issue
4
- AutumnYear
2023]
Haddadian.Hamid Reza
An Algorithmic Trading system Based on Machine Learning in Tehran Stock Exchange
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Vol.6,
Issue
3
- SummerYear
2021]
Hadian.Seyed Sadegh
Examining Financial Performance and Corporate Governance in Tehran Stock Exchange: A Hybrid Machine Learning and Data Envelopment Analysis Approach
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Vol.9,
Issue
3
- SummerYear
2024]
Hadipour.Sadegh
Evaluation of the association between company performance and Iran’s stock market liquidity
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Vol.3,
Issue
2
- SpringYear
2018]
haerinasab.zahra
Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran
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Vol.3,
Issue
4
- AutumnYear
2018]
haerinasab.zahra
The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017)
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Vol.4,
Issue
3
- SummerYear
2019]
Hafezalkotob.Ashkan
Determining the interest rate on deposits in the Iranian banking system: cooperative or competitive game between the central bank and followers?
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Vol.7,
Issue
3
- SummerYear
2022]
Hafezalkotob.Ashkan
Determining the appropriate weights of criteria in multi-criteria decision-making using cooperative game: A case study of bank
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Vol.8,
Issue
3
- SummerYear
2023]
Hafezalkotob.Ashkan
Modelling the effect of monetary policies of central bank on macroeco-nomic indicators in Iran using system dynamics and fuzzy multi-criteria decision-making techniques
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Vol.9,
Issue
1
- WinterYear
2024]
Haghighat monfared.Jalal
Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network
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Vol.5,
Issue
3
- SummerYear
2020]
Haghtalab.Mnasour
The Co-movement Between Bitcoin, Gold, USD and Oil: DCC-GARCH and Smooth Transition Regression (STR) Model
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Vol.9,
Issue
3
- SummerYear
2024]
Haj Ebrahimi.Mehdi
Investigating the effect of managers' emotional and spiritual intelligence on the concurrence of stock prices and stock returns
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Vol.8,
Issue
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- SpringYear
2023]
Haj Seyyed Javadi.Hamid
Measuring the Efficiency of Financial Cloud Services in the Banking Industry Using the Modified Dynamic DEA with Network Structure: The Case of Iran E-Banking.
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Vol.6,
Issue
1
- WinterYear
2021]
Haji.Gholamali
Investigation And Evaluation Of Monetary Policy Transmission Channels In The Iranian Economy
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Vol.9,
Issue
1
- WinterYear
2024]
Haji.Gholamali
Bank Lending Channel Reaction to Financial Suppression Policies
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Vol.7,
Issue
3
- SummerYear
2022]
Hajiha.Zohreh
Modelling Optimal Predicting Future Cash Flows Using New Data Mining Methods (A Combination of Artificial Intelligence Algorithms)
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Vol.8,
Issue
3
- SummerYear
2023]
Hajiha.Zohreh
The Evaluation of the Capability of the Regression & Neural Network Models in Predicting Future Cash Flows
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Vol.7,
Issue
2
- SpringYear
2022]
Hajiha.Zohreh
Optimal Banking Performance Model based on ERM
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Vol.8,
Issue
1
- WinterYear
2023]
Hajiha.Zohreh
Application of Resource-Based View Theory in Assessing of Efficiency of Companies Accepted in Tehran Stock Exchange by Data Envelopment Analysis
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Vol.6,
Issue
3
- SummerYear
2021]
Hajiha.Zohreh
Forecasting Stock Trend by Data Mining Algorithm
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Vol.3,
Issue
1
- WinterYear
2018]
Hajiha.Zohreh
Optimization of Inventory with Fuzzy Multi-Objective Approach
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Vol.10,
Issue
2
- SpringYear
2025]
hakaki.amir
Analysis of Financial Leverage, Operating Leverage and Capital Venture Effect on Tobin's Q Ratio of Investment and Holding Companies Listed in Tehran Stock Exchange
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Vol.3,
Issue
1
- WinterYear
2018]
Halimi.Syyedeh Marzieh
On Vector Equilibrium Problem with Generalized Pseudomonotonicity
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Vol.4,
Issue
2
- SpringYear
2019]
Hamedinia.Hamed
Analysis of Stock Market Manipulation using Generative Adversarial Nets and Denoising Auto-Encode Models
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Vol.7,
Issue
1
- WinterYear
2022]
Hamid.Esmaeil
Presenting a model of tax non-compliance in Iran based on the network analysis Process (ANP)
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Vol.8,
Issue
2
- SpringYear
2023]
Hamidi.Rohollah
Providing a hybrid strategy based on the theory of turbulence and price acceleration in the Iranian stock market
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Vol.9,
Issue
1
- WinterYear
2024]
hamidian.mohsen
Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method
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Vol.2,
Issue
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- WinterYear
2017]
hamidian.mohsen
Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network
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Vol.1,
Issue
2
- SpringYear
2016]
hamidian.mohsen
Evaluating and Ranking the Firms in Chemical Industry Listed in Tehran Stock Exchange with TOPSIS
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Vol.2,
Issue
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- SpringYear
2017]
Hamidian.Mohsen
Impact of Momentum on Stock Returns in Different Market Conditions
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Vol.5,
Issue
3
- SummerYear
2020]
Hamidian.Mohsen
Forecasting Stock Trend by Data Mining Algorithm
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Vol.3,
Issue
1
- WinterYear
2018]
Hamidian.Mohsen
Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies
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Vol.7,
Issue
1
- WinterYear
2022]
Hamta.Nima
Integration of Liability Payment and New Funding Entries in the Optimal Design of a Supply Chain Network
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Vol.7,
Issue
3
- SummerYear
2022]
Hamta.Nima
An Optimization Model for Designing a Supply Chain Network with a Value-Based Management Approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Hasani.Mohammad
Investigating the Effect of Business Strategy and Stock Price Synchronicity on Stock Price Crash Risk
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Vol.6,
Issue
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- SpringYear
2021]
hasani.pejman
Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior
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Vol.5,
Issue
2
- SpringYear
2020]
hasani.seyed reza
Designing a Sustainable Supply Chain Model with an Emphasis on Behavioral Factors for Foodstuffs in Kermanshah Province
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Vol.4,
Issue
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- AutumnYear
2019]
Hashemipour.Abolghasem
Does Economic Freedom Affect Stock Returns? (Case study: Selected Countries of the Organization of the Islamic Conference)
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Vol.8,
Issue
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- WinterYear
2023]
Hashemzadeh.Gholamreza
Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry
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Vol.5,
Issue
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- WinterYear
2020]
heidari.seyedali
Identifying and Ranking the Factors Affecting Customer Financial Behavior Using Multi-Criteria Decision Making Technic (TOPSIS)
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Vol.6,
Issue
3
- SummerYear
2021]
Heidarzadeh Hanzaei.Alireza
Investigating the Effect of Business Strategy and Stock Price Synchronicity on Stock Price Crash Risk
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Vol.6,
Issue
2
- SpringYear
2021]
Hematfar.Mahmmoud
Evaluating the Performance and Ability Explain of Market Index Returns by Selected Stock Portfolios Based on Throughput Accounting Criteria in Comparison with the New Network Matrix Model
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Vol.8,
Issue
3
- SummerYear
2023]
Hematfar.Mahmmoud
Designing the Optimal Model of Banking Assets and Liabilities Management based on System Dynamics Approach
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Vol.8,
Issue
1
- WinterYear
2023]
Hematfar.Mahmmoud
Comparative evaluation of the performance of selected portfoli-os based on AHP and Topsis multi-criteria decision-making techniques with Markowitz mean-variance model
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Vol.8,
Issue
3
- SummerYear
2023]
Hematfar.Mahmoud
An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange
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Vol.2,
Issue
2
- SpringYear
2017]
Heydari.Hosseinali
A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm
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Vol.4,
Issue
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- AutumnYear
2019]
Heydari.Mohsen
The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality
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Vol.4,
Issue
4
- AutumnYear
2019]
Heydari.Nasser
Designing a Trading Strategy to Buy and Sell the Stock of Companies Listed on the New York Stock Exchange Based on Classification Learning Algorithms
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Vol.9,
Issue
3
- SummerYear
2024]
Homayounfar.Mahdi
Efficiency Analysis of Banking Sector in Presence of Undesirable Factors Using Data Envelopment Analysis
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Issue
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- SpringYear
2023]
Hoseini.Ahmad
Investigation of Effects of Corporate Reporting Quality, Timeliness and Quantity for Disclosure and Reliability of Financial Reports on Stock Price Delay
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Vol.1,
Issue
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- WinterYear
2016]
hoseiny.seyyed saadat
Providing the optimal model for stock selection based on momentum, reverse and hybrid trading strategies
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Vol.9,
Issue
2
- SpringYear
2024]
Hosseinbeigi.sobhan
Presenting financial and non-financial indices model affecting the credit risk on the Maskan Bank.
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Vol.8,
Issue
3
- SummerYear
2023]
Hosseini.Mohammad Mehdi
Sustainable Reporting Function and Green Accounting Strategic Consequences (Cross-matrix analysis)
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Issue
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- WinterYear
2023]
Hosseinzadeh Kassani.Sara
A Combined Model for Prediction of Financial Software Learning Rate based on the Accounting Students’ Characteristics
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Vol.7,
Issue
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- AutumnYear
2022]
Hosseinzadeh Kassani.Sara
Designing a Model to Investigate the Process of Forming Cluster Fluctuations According to the Fractal Structure in Financial Markets
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Vol.9,
Issue
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- SummerYear
2024]
Hosseinzadeh Lotfi.Farhad
Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange
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Vol.4,
Issue
1
- WinterYear
2019]
Hosseinzadeh Lotfi.Farhad
A New Method for Allocating Fixed Costs with Undesirable Data: Data Envelopment Analysis Approach
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Vol.8,
Issue
1
- WinterYear
2023]
Hosseinzadeh Lotfi.Farhad
A New Method of Sensitivity Analysis of Returns to Scale in Two-Stage Network; A Case Study of the Insurance Industry in Iran
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Vol.9,
Issue
3
- SummerYear
2024]
Hosseinzadeh Lotfi.Farhad
Computing the Efficiency of Bank Branches with Financial Indexes, an Application of Data Envelopment Analysis (DEA) and Big Data
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Vol.9,
Issue
3
- SummerYear
2024]
Hosseinzadeh Zoroufchi.Ghazal
Investigating the Effect of Business Strategy and Stock Price Synchronicity on Stock Price Crash Risk
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Vol.6,
Issue
2
- SpringYear
2021]
Husseinzadeh Kashan.Ali
Jump Identification as a Proxy of Information Shocks, In Tehran Stock Exchange.
[
Vol.9,
Issue
2
- SpringYear
2024]
Husseinzadeh Kashan.Ali
An Agri-Fresh Food Supply Chain Network Design with Routing Optimization: A Case Study of ETKA Company
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Vol.7,
Issue
1
- WinterYear
2022]
I
Imani.Zakvan
Asymmetric Cost Behavior, Industry Type, and Levels of Conservatism (Comparative Study of Non-Operating Accrual, Basu, and Market Value Models)
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Vol.9,
Issue
2
- SpringYear
2024]
Iranpour Mobarakeh.Majid
Developing a model for managing the risk assessment of import declarations in customs based on data analysis techniques
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Vol.7,
Issue
4
- AutumnYear
2022]
Izadikhah.Mohammad
DEA Approaches for Financial Evaluation - A Literature Review
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Vol.7,
Issue
1
- WinterYear
2022]
Izadikhah.Mohammad
Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model
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Vol.3,
Issue
2
- SpringYear
2018]
Izadikhah.Mohammad
Financial Assessment of Banks and Financial Institutes in Stock Exchange by Means of an Enhanced Two stage DEA Model
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Vol.6,
Issue
2
- SpringYear
2021]
Izadikhah.Mohammad
Foresight of Financial Resilience of Entrepreneurial Businesses Using Causal Layered Analysis (CLA)
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Vol.10,
Issue
1
- WinterYear
2025]
izi.roya
Reporting Quality of Financial Information Based On Behavioral and Value Accounting
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Vol.5,
Issue
1
- WinterYear
2020]
J
Jaafar Nodeh.Ali
Political Connections and Related-Party Transactions: Evidence from Iranian Firms
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Vol.5,
Issue
3
- SummerYear
2020]
jabbari,.hossein
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
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Vol.9,
Issue
1
- WinterYear
2024]
Jabbari.Hossein
Making Decision on Selection of Optimal Stock Portfolio Employing Meta Heuristic Algorithms for Multi-Objective Functions Subject to Real-Life Constraints
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Vol.8,
Issue
2
- SpringYear
2023]
Jabbari-Moghadam.fahimeh
Computing the Efficiency of Bank Branches with Financial Indexes, an Application of Data Envelopment Analysis (DEA) and Big Data
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Vol.9,
Issue
3
- SummerYear
2024]
jafari.Ali
The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models
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Vol.6,
Issue
3
- SummerYear
2021]
Jafari.Hossein
An anticipating class of Fuzzy Stochastic Differential Equations
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Vol.8,
Issue
2
- SpringYear
2023]
Jafari.Mahboobeh
Forecasting Stock Trend by Data Mining Algorithm
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Vol.3,
Issue
1
- WinterYear
2018]
Jafari.Mohammad Ali
Confidence Interval for Solutions of the Black-Scholes Model
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Vol.4,
Issue
3
- SummerYear
2019]
Jahangir nia.Hossein
Identifying and Prioritizing Investment Risks in Sports Projects
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Vol.8,
Issue
1
- WinterYear
2023]
Jahangir nia.Hossein
The Effect of CEO Power on Stock Price Delay
[
Vol.7,
Issue
2
- SpringYear
2022]
Jahangir nia.Hossein
The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation
[
Vol.4,
Issue
2
- SpringYear
2019]
Jahangir nia.Hossein
Meta-analysis of auditor characteristics and profit quality (Considering auditor characteristics indicators)
[
Vol.8,
Issue
4
- AutumnYear
2023]
jahangiri nia.hossein
Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique
[
Vol.3,
Issue
2
- SpringYear
2018]
jahangiri.mohammad
Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange
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Vol.3,
Issue
3
- SummerYear
2018]
Jahanian.Fahime
Portfolio optimization using gray wolf algorithm and modified Markowitz model based on CO-GARCH modeling
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Vol.9,
Issue
1
- WinterYear
2024]
Jahanseir Khararoudi.farzaneh
Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank
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Vol.4,
Issue
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- AutumnYear
2019]
Jalaee.Abdolmajid
Investigating the Impact of National Currency Value Shocks on the Inflation Structure and Unemployment of the New Keynesian Model Using a Dynamically Computable General Equilibrium Approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Jalaee.Abdolmajid
Analysis of the Asymmetric Effect of Exchange and Bank Facility Rates on Labor Productivity in Iran: NARDL Approach
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Vol.7,
Issue
4
- AutumnYear
2022]
Jalali.Fatemeh
To Study The Effect of Investor Protection on Future Stock Price Crash Risk
[
Vol.6,
Issue
2
- SpringYear
2021]
Jalilian.Jamil
Profitability evaluation of dynamic investment projects by using ordered fuzzy numbers
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Vol.8,
Issue
4
- AutumnYear
2023]
Jamei.Reza
Investigating the Mathematical Models (TOPSIS, SAW) to Prioritize the Investments in the Accepted Pharmaceutical
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Vol.5,
Issue
2
- SpringYear
2020]
Jamshidi Eini.Esmat
The Tail Mean-Variance Model and Extended Efficient Frontier
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Vol.6,
Issue
1
- WinterYear
2021]
Jamshidi Navid.Babak
The improved Semi-parametric Markov switching models for predicting Stocks Prices
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Vol.9,
Issue
2
- SpringYear
2024]
Jamshidi Navid.Babak
The Improved Semi-Parametric Markov Switching Models for Predicting Stocks Prices
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Vol.9,
Issue
2
- SpringYear
2024]
jamshidi.ali
The Managerial Ability and Value of Cash: Evidence from Iran
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Vol.1,
Issue
1
- WinterYear
2016]
jamshidinavid.babak
Providing a model of earning transparency with emphasis on the criteria of the govermance system and performance: an artificial intelligence approach
[
Vol.8,
Issue
4
- AutumnYear
2023]
jamshidinavid.babak
A mathematical model to predict corporate bankruptcy using financial, managerial and economic variables And compare it with other models
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Vol.8,
Issue
4
- AutumnYear
2023]
jamshidinavid.babak
Modeling the Co-Movement of Stocks Between Returns with Negative and Positive Shocks of Sentiment Arising from the Imbalance of Orders Using a Tree-Stage Clustering Approach
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Vol.10,
Issue
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- WinterYear
2025]
Jamshidinavid.Babak
Information Asymmetry with Emphasis on the Role of Financial and Managerial Criteria Based on Fuzzy Logic and Artificial Neural Networks
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Vol.9,
Issue
3
- SummerYear
2024]
Jamshidinavid.Babak
Designing and Developing a Model for Calculating the Cost of Each Student in Islamic Azad University of Kermanshah Using Time-Driven-Activity-Based-Costing (TDABC)
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Vol.10,
Issue
1
- WinterYear
2025]
Janalizadeh.Mohammad
Investigating the Effect of the CEO's Narcissism on Investment Efficiency and Financing Methods of Companies admit-ted to the Tehran Stock Exchange
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Vol.10,
Issue
1
- WinterYear
2025]
Javaheri.Maryam
The Predictability Power of Neural Network and Genetic Algorithm from Fiems’ Financial crisis
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Vol.5,
Issue
2
- SpringYear
2020]
Javanmard.Habibollah
Effect of Carbon Tax Policies in Logistics Systems (Study: Pulp and Paper Industries)
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Vol.10,
Issue
2
- SpringYear
2025]
javid.daryoush
Investigating Factors Affecting the Financial Wealth of Insurance Companies in Iran
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Vol.10,
Issue
2
- SpringYear
2025]
Johari.fateme
Bank Lending Channel Reaction to Financial Suppression Policies
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Vol.7,
Issue
3
- SummerYear
2022]
Johari.Fatemeh
The Analysis of the Existence of the Hypothesis of Adverse Selection on the Relationship between Off-balance Sheet Items and the Bank's Risk
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Vol.1,
Issue
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- WinterYear
2016]
jokar.Hossein
Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran
[
Vol.3,
Issue
3
- SummerYear
2018]
jorjorzadeh.alireza
Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance
[
Vol.6,
Issue
1
- WinterYear
2021]
Joulaei.Maryam
Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange
[
Vol.5,
Issue
1
- WinterYear
2020]
jouzbarkand.mohammad
Investigating the Market Efficiency in Tehran Stock Exchange through Artificial Intelligence
[
Vol.8,
Issue
4
- AutumnYear
2023]
Jowkar.Mohammad Mahdi
Improving Stock Return Forecasting by Deep Learning Algorithm
[
Vol.4,
Issue
3
- SummerYear
2019]
K
KAAB OMEIR.aHMAD
Analyzing the efficiency of capital market relative to the decreas-ing and increasing information of the components of accounting earnings
[
Vol.7,
Issue
1
- WinterYear
2022]
KAAB OMEIR.aHMAD
Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance
[
Vol.6,
Issue
1
- WinterYear
2021]
Kairabome.Ahmad
Evaluate the Impact of the Type of Business Strategy on the Readability of Disclosure of Financial Statements of Companies Listed on the Tehran Stock Exchange
[
Vol.8,
Issue
2
- SpringYear
2023]
kalantari.Nouraldin
Fuzzy Goal Programming Model to Rolling Performance Based Budgeting by Productivity Approach (Case Study: Gas Refiner-ies in Iran)
[
Vol.3,
Issue
3
- SummerYear
2018]
Kamali.Ehsan
A VAR Model for the Macroeconomic Indicators Restatements Predicting : Introduction to Macroaccounting Theory
[
Vol.7,
Issue
4
- AutumnYear
2022]
Karami.Rasoul
The Impact of Effective Corporate Governance on the Relationship between Tax Gap and Future Profit Changes in Iranian Economy
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Vol.7,
Issue
2
- SpringYear
2022]
Karami.Rasoul
The Impact of Effective Corporate Governance on the Relationship between Tax Gap and Future Profit Changes in Iranian Economy
[
Vol.5,
Issue
4
- AutumnYear
2020]
Karami.Rasoul
Net Working Capital Investment Policies, the Value of Financial Flexibility and Financial Constraint, Evidence From the Tehran Stock Exchange
[
Vol.9,
Issue
3
- SummerYear
2024]
Karamverdi.Fatemeh
Sustainable Reporting Function and Green Accounting Strategic Consequences (Cross-matrix analysis)
[
Vol.8,
Issue
1
- WinterYear
2023]
Karbasi Yazdi.Hossien
Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange
[
Vol.2,
Issue
3
- SummerYear
2017]
Karbasiyazdi.Hossein
The Effects of Accruals and Cash Flow Anomalies on Net Profit and Abnormal Stock Returns in Accepted Companies in Tehran Securities Exchange
[
Vol.2,
Issue
2
- SpringYear
2017]
kargarpour.khatereh
Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance
[
Vol.6,
Issue
1
- WinterYear
2021]
Karimi khorami.Asghar
Investigate the Economic Consequences to the Timing of Earnings News Forecast for Accepted Corporates in Tehran Securities Exchange
[
Vol.7,
Issue
4
- AutumnYear
2022]
karimi.mariam
Net Working Capital Investment Policies, the Value of Financial Flexibility and Financial Constraint, Evidence From the Tehran Stock Exchange
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Vol.9,
Issue
3
- SummerYear
2024]
karimi.tooraj
Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank
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Vol.4,
Issue
4
- AutumnYear
2019]
Karrabi.Amin
A new two-phase approach to the portfolio optimization problem based on the prediction of stock price trends
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Vol.7,
Issue
4
- AutumnYear
2022]
Kashanipour.Mohammad
The Effect of CEO Power on Stock Price Delay
[
Vol.7,
Issue
2
- SpringYear
2022]
kashi.mohammad
Using a Multi-criteria Decision-making Mathematical Tech-nique for the Influential and Interaction Factors in Pension Fund
[
Vol.7,
Issue
4
- AutumnYear
2022]
Kazemi.Hossein
Measurement of Economics to Scale in Corporates of Tehran Stock Exchange
[
Vol.4,
Issue
4
- AutumnYear
2019]
Kazemi.Hossein
Ambiguity Theory and Asset Pricing: Empirical Evidence from Tehran Stock Exchange
[
Vol.3,
Issue
4
- AutumnYear
2018]
KAZEMI.SEYED POURIA
Cash Holding Adjustment Speed: The Role of Managerial Ability and Moderating Role of Political Connections in Tehran Stock Exchange
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Vol.7,
Issue
3
- SummerYear
2022]
Kazempour Dizaji.Fatemeh
Identifying and explaining the topics in the financial literacy training using fuzzy Delphi approach
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Vol.7,
Issue
3
- SummerYear
2022]
Keramati.Abbas
Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran
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Vol.4,
Issue
1
- WinterYear
2019]
keramati.mohammadali
Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network
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Vol.5,
Issue
3
- SummerYear
2020]
Keramati.Mohammadali
Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran
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Vol.4,
Issue
1
- WinterYear
2019]
Keshipour.Babak
Study of ranking factors affecting the implementation of timely management of goods and equipment and its evaluation criteria in the power distribution company of the whole country using fuzzy AHP and fuzzy DEMATEL
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Vol.8,
Issue
4
- AutumnYear
2023]
Keyghobadi.Amir Reza
Presenting an Explanatory Model of Stock Price Using Deep Learning Algorithm
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Vol.9,
Issue
3
- SummerYear
2024]
Keyghobadi.Amir Reza
Development of data envelopment analysis model for financial and social evaluation of companies based on stock returns and accounting value
[
Vol.7,
Issue
3
- SummerYear
2022]
Keyghobadi.Amirreza
Optimization of the Black-Scholes Equation with the Numerical Method of Local Expansion to Minimize Risk Coverage
[
Vol.6,
Issue
4
- AutumnYear
2021]
Khabazkar Foomani.mohammadreza
Investigating the relationship among information asymmetry, dividend policy and ownership structure
[
Vol.3,
Issue
2
- SpringYear
2018]
khalajestani.Saeid
The Relationship Between Non-Transparent Financial Reporting and Risk Stock Futures Fall Due to the Size and Performance
[
Vol.2,
Issue
2
- SpringYear
2017]
khaleghi kasbi.parvaneh
Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange
[
Vol.3,
Issue
4
- AutumnYear
2018]
Khalil Moghadam.Shadi
Multiple portfolio optimization in Tehran Stock Exchange
[
Vol.8,
Issue
1
- WinterYear
2023]
Khalili Araghi.Maryam
Investigating portfolio performance with higher moment considering entropy and rolling window in banking, insurance, and leasing industries
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Vol.9,
Issue
1
- WinterYear
2024]
Khalili Araghi.Maryam
Portfolio Optimization by Means of Meta Heuristic Algorithms
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Vol.4,
Issue
4
- AutumnYear
2019]
Khalilzadeh.Mohammad
Modelling the effect of monetary policies of central bank on macroeco-nomic indicators in Iran using system dynamics and fuzzy multi-criteria decision-making techniques
[
Vol.9,
Issue
1
- WinterYear
2024]
Khalilzadeh.Mohammad
Determining the interest rate on deposits in the Iranian banking system: cooperative or competitive game between the central bank and followers?
[
Vol.7,
Issue
3
- SummerYear
2022]
Khaloozadeh.Hamid
The Tail Mean-Variance Model and Extended Efficient Frontier
[
Vol.6,
Issue
1
- WinterYear
2021]
Khamaki.Ali
The Relationship between Capital Investment Choice and Capital Productivity: A Test of Firm Life Cycle Theory (A Comparative Investigation of Cyclical and Non-Cyclical Companies)
[
Vol.3,
Issue
4
- AutumnYear
2018]
Khamesian.Farzan
Insurance Claim Classification: A new Genetic Programming Approach
[
Vol.7,
Issue
2
- SpringYear
2022]
khamseh.Elaheh
Common Set of Weights Model in the Presence of Non-homogeneous Outputs
[
Vol.7,
Issue
4
- AutumnYear
2022]
khan mohammadi.Mohammad hamed
Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm
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Vol.6,
Issue
2
- SpringYear
2021]
khan mohammadi.Mohammad hamed
Application of Resource-Based View Theory in Assessing of Efficiency of Companies Accepted in Tehran Stock Exchange by Data Envelopment Analysis
[
Vol.6,
Issue
3
- SummerYear
2021]
khan mohammadi.Mohammad hamed
Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies
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Vol.9,
Issue
2
- SpringYear
2024]
khani farahani.Akram
Studying the Expected Returns Based on Carhart Model Com-pared to CAPM Model and Implicit Capital Cost Model Based on Cash and Capital Flow of Growth and Value stocks
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Vol.2,
Issue
4
- AutumnYear
2017]
Khani masoum abadi.Zabihallah
Financial Performance Evaluation of Companies Using Decision Trees Algorithm and Multi-Criteria Decision-Making Techniques with an Emphasis on Investor’s Risk-Taking Behavior
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Vol.6,
Issue
3
- SummerYear
2021]
Khanizadeh.Farbod
Insurance Claim Classification: A new Genetic Programming Approach
[
Vol.7,
Issue
2
- SpringYear
2022]
Khanmohammadi.Mohammadhamed
Identifying and explaining the topics in the financial literacy training using fuzzy Delphi approach
[
Vol.7,
Issue
3
- SummerYear
2022]
Khazaei Harivanda.Ali Asghar
Financial Reporting Readability: A new Artificial Neural Network and Multi-Indicator Decision Making Approach
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Vol.9,
Issue
3
- SummerYear
2024]
Khazaei.Mahdi
Earnings Manipulation and Adjustment Speed towards an Optimal Leverage
[
Vol.6,
Issue
3
- SummerYear
2021]
kheirollahi.farshid
Modeling Liquidity Risk Management in Banking Using System Dynamics Approach
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Vol.6,
Issue
3
- SummerYear
2021]
Kheradyar.Sina
Investigating the Relationship between Political Uncertainty and Market Irregularities: With Emphasis on the Risky Information Environment
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Vol.8,
Issue
1
- WinterYear
2023]
Khodadadi.Davood
Application of the two-stage DEA model for evaluating the efficiency and investigating the relationship between managerial ability and firm performance
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Vol.5,
Issue
2
- SpringYear
2020]
Khodadadi.Mohsen
Providing an Optimal Robust Portfolio Model with Mean- CVaR Approach
[
Vol.8,
Issue
1
- WinterYear
2023]
khodaei valahzaghard.mohammad
Providing a hybrid strategy based on the theory of turbulence and price acceleration in the Iranian stock market
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Vol.9,
Issue
1
- WinterYear
2024]
Khodaparast Shirazi.Jalil
Optimal Inflation Rate Measurement for Minimizing Economic Inequality: The Dynamic Stochastic General Equilibrium Approach
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Vol.10,
Issue
2
- SpringYear
2025]
Khojasteh Aliabadi.Hassan Ali
Developing a model for managing the risk assessment of import declarations in customs based on data analysis techniques
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Vol.7,
Issue
4
- AutumnYear
2022]
Khorami.Mohammad Ali
Analyzing the performance of DEA models for bankruptcy prediction in the energy sector: with emphasis on Dynamic DEA approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Khorshidvand.Forogh
Examining the Relationship between Corporate Governance and the Corporate Performance Valuation
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Vol.2,
Issue
3
- SummerYear
2017]
Khoshnava.Bahamin
Designing and Developing a Model for Calculating the Cost of Each Student in Islamic Azad University of Kermanshah Using Time-Driven-Activity-Based-Costing (TDABC)
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Vol.10,
Issue
1
- WinterYear
2025]
khoshroo.alireza
Measuring Economic Efficiency of Kidney Bean Production using Non-Discretionary Data Envelopment Analysis
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Vol.6,
Issue
2
- SpringYear
2021]
Khosravipoor.Negar
To study the effect of audit market concentration on auditors' job stress and audit quality of Tehran Stock Exchange (TSE) Listed Companies
[
Vol.5,
Issue
1
- WinterYear
2020]
Khosravipoor.Negar
Investigating the Relationship between Political Uncertainty and Market Irregularities: With Emphasis on the Risky Information Environment
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Vol.8,
Issue
1
- WinterYear
2023]
khosrowzadeh.ALIREZA
Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry
[
Vol.5,
Issue
1
- WinterYear
2020]
khozain.ali
Financial Reporting Readability: A new Artificial Neural Network and Multi-Indicator Decision Making Approach
[
Vol.9,
Issue
3
- SummerYear
2024]
khozain.ali
A Model of Investor Sentiment Based on Grounded Theory Approach
[
Vol.8,
Issue
4
- AutumnYear
2023]
khozain.ali
The Relationship between Capital Investment Choice and Capital Productivity: A Test of Firm Life Cycle Theory (A Comparative Investigation of Cyclical and Non-Cyclical Companies)
[
Vol.3,
Issue
4
- AutumnYear
2018]
khozain.ali
The Effect of Industry Type on the Relationship between Financial Reporting Transparency and Financial Health in Tehran Stock Exchange
[
Vol.7,
Issue
2
- SpringYear
2022]
Kiani.Neda
Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
[
Vol.8,
Issue
1
- WinterYear
2023]
KOHANSAL KAFSHGARI.MAHMOOD
Investigating the Effects of Large Block Transactions and Owner-ship Nature on Non-Financial Disclosure
[
Vol.2,
Issue
3
- SummerYear
2017]
Kohansal kafshgari.mahmoud
Comparison of the Ability of Modern and Conventional Metaheuristic and Regression Models to Predict Stock Returns by Accounting Variables and Presenting an Effective Model
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Vol.7,
Issue
2
- SpringYear
2022]
koosha.emad
Measurement of Bitcoin Daily and Monthly Price Prediction Error Using Grey Model, Back Propagation Artificial Neural Network and Integrated model of Grey Neural Network
[
Vol.7,
Issue
3
- SummerYear
2022]
koosha.emad
Performance Evaluation of the Technical Analysis Indicators in Comparison with the Buy and Hold Strategy in Tehran Stock Exchange Indices
[
Vol.5,
Issue
3
- SummerYear
2020]
koosha.emad
Predicting the Top and Bottom Prices of Bitcoin Using Ensemble Machine Learning
[
Vol.8,
Issue
3
- SummerYear
2023]
kordloei.hamidreza
The Effect of Financial Distress on the Investment Behavior of Companies Listed on Tehran Stock Exchange
[
Vol.3,
Issue
4
- AutumnYear
2018]
kordlouie.hamidreza
Introduction of New Risk Metric using Kernel Density Estimation Via Linear Diffusion
[
Vol.7,
Issue
2
- SpringYear
2022]
kordlouie.hamidreza
Designing and Evaluating Trading Strategies Based on Algorithmic Trading in Iran's Capital Market
[
Vol.8,
Issue
2
- SpringYear
2023]
L
Laalbar.Ali
Presenting a Model for Predicting Various Types of Stock Movement Trends in Water-Intensive Industries Using a Decision Tree
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Vol.9,
Issue
3
- SummerYear
2024]
Laalbar.Ali
The effect of information disclosure on market reaction with meta-analysis approach
[
Vol.7,
Issue
3
- SummerYear
2022]
Laalbar.Ali
Designing a Trading Strategy to Buy and Sell the Stock of Companies Listed on the New York Stock Exchange Based on Classification Learning Algorithms
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Vol.9,
Issue
3
- SummerYear
2024]
Laalbar.Ali
Evaluating the Impacts of Social Trust and Managers' Overself-confidence on Investment Efficiency
[
Vol.9,
Issue
4
- AutumnYear
2024]
Lakzaie.Fatemeh
Visualized Portfolio Optimization of stock market: Case of TSE
[
Vol.9,
Issue
2
- SpringYear
2024]
Lalbar.Ali
Studying the Relationship between the Financial Incentives of Board Members and Disclosure of Corporate Risk, Emphasizing the Levels of Corporate Performance and Risk
[
Vol.3,
Issue
1
- WinterYear
2018]
Lalbar.Ali
Remuneration of Non-Executive Independent Directors Review the View of Representation Theory
[
Vol.2,
Issue
2
- SpringYear
2017]
Lalbar.Ali
Explaining the Relationship Between Sticky of Expenses with Prediction Error of Profit in Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
2016]
Lalbar.Ali
Effect of Information Delay on Joint Investment Fund's Performance
[
Vol.1,
Issue
2
- SpringYear
2016]
Lotfi Ghahroud.Majid
Past-oriented behavioral bias: A study on S&P & TEPIX index-es
[
Vol.7,
Issue
1
- WinterYear
2022]
lotfollah hamadani.mohammad hossein
Identifying and Ranking the Factors Affecting Customer Financial Behavior Using Multi-Criteria Decision Making Technic (TOPSIS)
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Vol.6,
Issue
3
- SummerYear
2021]
M
Maaboudi.Reza
Investigating the effect of risk on the return of the insurance industry in the Iranian economy using generalized conditional autoregression models, ARIMA-GARCH / TARCH and beta coefficient
[
Vol.8,
Issue
2
- SpringYear
2023]
Maaboudi.Reza
Investigating the Effect of Institution's Financial Development on the Economic Growth in MENA Countries Using PSVAR and Markov Switching Models
[
Vol.8,
Issue
4
- AutumnYear
2023]
Madadian Moez.Reza
Investigating the Relationship between Earnings Management and the Stock price bubble of the Firms Accepted in Tehran Stock Exchange
[
Vol.7,
Issue
3
- SummerYear
2022]
Madahi.Zahra
The Role of Managers' Information Interpretation on Cost Behavior
[
Vol.9,
Issue
4
- AutumnYear
2024]
Madahi.Zahra
A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index
[
Vol.4,
Issue
1
- WinterYear
2019]
Madanchi Zaj.Mahdi
Study and Research on the Six-Year Process of Bitcoin Price and Return
[
Vol.4,
Issue
1
- WinterYear
2019]
Madanchi Zaj.Mahdi
Measurement of Bitcoin Daily and Monthly Price Prediction Error Using Grey Model, Back Propagation Artificial Neural Network and Integrated model of Grey Neural Network
[
Vol.7,
Issue
3
- SummerYear
2022]
madanchi zaj.mehdi
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
[
Vol.7,
Issue
4
- AutumnYear
2022]
madanchi zaj.Mehdi
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
[
Vol.9,
Issue
1
- WinterYear
2024]
maetoofi.alireza
Investors' Behavioral Biases in Tehran Stock Exchange by emphasizing the Role of Significant Weaknesses in Internal Control
[
Vol.8,
Issue
2
- SpringYear
2023]
Maghsoudi.MirJamal
Past-oriented behavioral bias: A study on S&P & TEPIX index-es
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Vol.7,
Issue
1
- WinterYear
2022]
mahjoub.mohamadreza
Identification the Periods of Formation and Bursting of Speculative Bubbles in Iranian Stock Market Using Quantitative Models
[
Vol.4,
Issue
4
- AutumnYear
2019]
mahmoodikhoshroo.omid
The Modeling the Fixed Asset Investing with a Machine Learning Approach by Emphasizing the Role of Financial Criteria
[
Vol.9,
Issue
3
- SummerYear
2024]
mahmoodvandgharahshiran.Mahsa
Uncertain Entropy as a Risk Measure in Multi-Objective Portfolio Optimization
[
Vol.9,
Issue
1
- WinterYear
2024]
mahmoodzadeh.Alireza
The Effect of Fiscal Policies on Labor Demand in Iran
[
Vol.9,
Issue
1
- WinterYear
2024]
Maleki.Sara
Investigating the Impact of Financial Development Indicators and Economic and International Trade Performance on the Stock and Financial Markets
[
Vol.9,
Issue
3
- SummerYear
2024]
Malekian.Esfandiar
Predict the Stock price crash risk by using firefly algorithm and comparison with regression
[
Vol.3,
Issue
2
- SpringYear
2018]
Maleknia.Abdolkarim
Stock Liquidity and Return Predictability; Is There a Connec-tion? (Evidence from an Emerging Market)
[
Vol.8,
Issue
3
- SummerYear
2023]
Malekpoor.Hossein
Investigating the Effect of Financial Constraints and Different Levels of Agency Cost on Investment Efficiency
[
Vol.2,
Issue
4
- AutumnYear
2017]
Mami.Masome
Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
2016]
mansouri.fatemeh
Investigating the Effect of Management Entrenchment on Speed of Cash Holding Adjustment in Companies Listed in Tehran Stock Exchange
[
Vol.2,
Issue
4
- AutumnYear
2017]
mansouri.Kefsan
The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance
[
Vol.4,
Issue
1
- WinterYear
2019]
mansouri.Kefsan
Opaque Information, Deviation from Target Leverage and Speed of Adjustment
[
Vol.4,
Issue
2
- SpringYear
2019]
Mansouri.Mojdeh
Investigating the role of arbitrage costs and feelings in the relation-ship between fundamental power strategy and stock returns
[
Vol.8,
Issue
2
- SpringYear
2023]
mansourian.reza
The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange)
[
Vol.1,
Issue
2
- SpringYear
2016]
Mansourkhani.Kianoosh
The efficiency of innovative techniques in improving new and traditional standards of corporates’ performance
[
Vol.9,
Issue
2
- SpringYear
2024]
mardani.mahdieh
The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange
[
Vol.3,
Issue
1
- WinterYear
2018]
Mashayekhi.Sima
Alternating Direction Explicit Method for a Nonlinear Model in Finance
[
Vol.6,
Issue
4
- AutumnYear
2021]
Mashayekhi.Sima
Deep Learning Application in Rainbow Options Pricing
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Vol.8,
Issue
3
- SummerYear
2023]
Masih Abadi.Abolghasem
Stock Price Drift from the Content of Projected Earnings Information Resulting from Quarterly Operations: Evidence of the Contradiction Between Timeliness and Profitability
[
Vol.9,
Issue
4
- AutumnYear
2024]
Masihabadi.Abolghasem
Experimental Comparison of Financial Distress Prediction Models Using Imbalanced data sets
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Vol.7,
Issue
3
- SummerYear
2022]
Masihabadi.Abolghasem
Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches
[
Vol.9,
Issue
3
- SummerYear
2024]
Masoudi Alavi.Seyed Hasan
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
[
Vol.6,
Issue
2
- SpringYear
2021]
Masoudi.Javad
An Entropy/TOPSIS based Model for Financial prioritization of professional ethics teaching methods in accounting
[
Vol.6,
Issue
4
- AutumnYear
2021]
Massihabadee.Abolghassem
Firm Value, Tax Evasion, Tax Planning Opportunity and Financial Crisis of Firms
[
Vol.9,
Issue
2
- SpringYear
2024]
matoofi.alireza
Reporting Quality of Financial Information Based On Behavioral and Value Accounting
[
Vol.5,
Issue
1
- WinterYear
2020]
Mazroui Nasrabadi.Esmail
Central Bank Transparency and Capital Market Reaction: A Systematic Review
[
Vol.9,
Issue
2
- SpringYear
2024]
Mehrabanpour.Mohammadreza
A Feasibility Study of Dissecting Stock Price Momentum Using Financial Statement Analysis
[
Vol.8,
Issue
4
- AutumnYear
2023]
Mehrara.Mohsen
Past-oriented behavioral bias: A study on S&P & TEPIX index-es
[
Vol.7,
Issue
1
- WinterYear
2022]
Mehrara.Mohsen
Comparison of profitability of speculation in the foreign exchange market and investment in Tehran Stock Exchange during Iran's currency crisis using conditional Sharpe ratio
[
Vol.5,
Issue
3
- SummerYear
2020]
Mehrazeen.Ali Reza
Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches
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Vol.9,
Issue
3
- SummerYear
2024]
Mehrazeen.Ali Reza
Stock Price Drift from the Content of Projected Earnings Information Resulting from Quarterly Operations: Evidence of the Contradiction Between Timeliness and Profitability
[
Vol.9,
Issue
4
- AutumnYear
2024]
Mehrazeen.Ali Reza
Experimental Comparison of Financial Distress Prediction Models Using Imbalanced data sets
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Vol.7,
Issue
3
- SummerYear
2022]
Mehrazeen.Ali Reza
Chaotic Test and Non-Linearity of Abnormal Stock Returns: Selecting an Optimal Chaos Model in Explaining Abnormal Stock Returns around the Release Date of Annual Financial Statements
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Vol.6,
Issue
2
- SpringYear
2021]
Memarnejad.Abbas
Investigating the role of development banks in fixed investment formation in Iran
[
Vol.8,
Issue
4
- AutumnYear
2023]
Memarpour.Mehdi
Determining the interest rate on deposits in the Iranian banking system: cooperative or competitive game between the central bank and followers?
[
Vol.7,
Issue
3
- SummerYear
2022]
Memarpour.Mehdi
Modelling the effect of monetary policies of central bank on macroeco-nomic indicators in Iran using system dynamics and fuzzy multi-criteria decision-making techniques
[
Vol.9,
Issue
1
- WinterYear
2024]
Minooi.Mehrzad
Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse
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2019]
Minooi.Mehrzad
Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies
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Minooi.Mehrzad
Investigating the Impact of Financial Development Indicators and Economic and International Trade Performance on the Stock and Financial Markets
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2024]
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Presenting an Explanatory Model of Stock Price Using Deep Learning Algorithm
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2024]
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Financial Distress of Companies Listed on the Tehran Stock Exchange using the Dynamic Worst Practice Frontier-based DEA Model
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2022]
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Development of data envelopment analysis model for financial and social evaluation of companies based on stock returns and accounting value
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2022]
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Identifying the Effective Factors on Investors' Behavior and Developing a Measurement Model
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2024]
Miri Lavasani.Ahmad
Introduction of New Risk Metric using Kernel Density Estimation Via Linear Diffusion
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2022]
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Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies
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2024]
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Comparison of Portfolio Optimization for Investors at Different Levels of Investors' Risk Aversion in Tehran Stock Exchange with Meta-Heuristic Algorithms
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Comparison of Portfolio Optimization for Investors at Different Levels of Investors' Risk Aversion in Tehran Stock Exchange with Meta-Heuristic Algorithms
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Factors Affecting Stock Prices Regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange
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Higher moments portfolio Optimization with unequal weights based on Generalized Capital Asset pricing model with independent and identically asymmetric Power Distribution
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Investigating the Impact of National Currency Value Shocks on the Inflation Structure and Unemployment of the New Keynesian Model Using a Dynamically Computable General Equilibrium Approach
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Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange
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Hybrid Multilayer Perceptron Neural Network with Grey Wolf Optimization for Predicting Stock Market Index
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Measuring the Efficiency of Financial Cloud Services in the Banking Industry Using the Modified Dynamic DEA with Network Structure: The Case of Iran E-Banking.
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2021]
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Central Bank Transparency and Capital Market Reaction: A Systematic Review
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Application of Fuzzy DANP for Implementation of FinTechs in Financial-Banking System
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A integrated hybrid fuzzy multiple-criteria decision-making model for non-performing Loans collections in the banking system (Case study: Shahr Bank)
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Partial Least Squares Analysis to Measure the Impact of Pygmalion Financial Components
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Identification and Refinement of Effective Factors of Financial Reporting Transparency of Firms Listed on Iran Stock Exchange
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2022]
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The effect of effective governance and quality of regulations on financial development in the current economic conditions of Iran
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A CRITIC-based improved version for multiple criteria ABC inventory classification
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2021]
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To Study The Effect of Investor Protection on Future Stock Price Crash Risk
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The Effect of Macroeconomic Variables on Stock Portfolio Performance Based on Traditional and Modern Network
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Meta-analysis of auditor characteristics and profit quality (Considering auditor characteristics indicators)
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Evaluating the Factors Affecting on Credit Ratings of Accepted Corporates in Tehran Securities Exchange by Using Factor Analysis and AHP
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2021]
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Application of meta-heuristic algorithms in portfolio optimization with capital market bubble conditions
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The Role of Social Interest Rate Risk Management in the Relationship between Sustainability Performance and Investment Efficiency
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Information Asymmetry with Emphasis on the Role of Financial and Managerial Criteria Based on Fuzzy Logic and Artificial Neural Networks
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The Modeling the Fixed Asset Investing with a Machine Learning Approach by Emphasizing the Role of Financial Criteria
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Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange
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The Effect of Macroeconomic Variables on Stock Portfolio Performance Based on Traditional and Modern Network
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Application of meta-heuristic algorithms in portfolio optimization with capital market bubble conditions
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Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm
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Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm
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Using A Multivariate Statistical Method of Factor Analysis and Grounded Theory to Review the Theory of Agency in Developing Countries (A Case Study of Iran)
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Investigating the Effect of Management Entrenchment on Speed of Cash Holding Adjustment in Companies Listed in Tehran Stock Exchange
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The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency
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Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange
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Visualized Portfolio Optimization of stock market: Case of TSE
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Portfolio optimization using gray wolf algorithm and modified Markowitz model based on CO-GARCH modeling
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Using Contingency Approach to Improve Firms’ Financial Performance Forecasts
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Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market
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Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange
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Using A Multivariate Statistical Method of Factor Analysis and Grounded Theory to Review the Theory of Agency in Developing Countries (A Case Study of Iran)
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Foresight of Financial Resilience of Entrepreneurial Businesses Using Causal Layered Analysis (CLA)
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Machine learning algorithms for time series in financial markets
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Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange
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Remuneration of Non-Executive Independent Directors Review the View of Representation Theory
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The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange
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Application of Panel Regression Model in Examining the Effect of Monetary Policy on Bank Profitability
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Generalized Krasnoselskii-Mann Type Iterations for Two Nonexpansive Mappings in Real Hilbert Spaces
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Multiple portfolio optimization in Tehran Stock Exchange
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Jump Identification as a Proxy of Information Shocks, In Tehran Stock Exchange.
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Effect of Conservative Reporting on Investors' Opinion Divergence at the Time of Earnings Announcement
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Designing a Model of Financial Flexibility Functions for Industrial Infrastructure Development of Abadan Oil Refining Company
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An Optimization Model for Designing a Supply Chain Network with a Value-Based Management Approach
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The sustainability radius of the cost efficiency in Interval Data Envelopment Analysis: A case study from Tehran Stocks
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A Combination of FSAW and DOE Method with an Application to Tehran Stock Exchange
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The role of aggregate cost stickiness in unemployment rate prediction
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The investigation of the affectivity of various types of cash flows in a diversified capital structure based on the type of strategy
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Presenting a Conceptual Framework to Increase the Return and Reduce Risk (A case study: customers of Mellat Bank of Arak)
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Presenting a Conceptual Framework to Increase the Return and Reduce Risk (A case study: customers of Mellat Bank of Arak)
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Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking
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A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences
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Ranking of Banks’ Risk Reporting Using Data Envelopment Analysis
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Design and Formulation of Strategic Liquidity Management Strategies in the Banking Industry (Case study: Rafah Bank)
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Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
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A Long-term Casual Nexus between Stock Price and Dividends: Empirical Evidence from the Accepted Firms in Tehran Stock Exchange
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Development of a New SWOT-MCDM Model to Create Marketing and Financial Strategies in Conditions of Uncertainty (Case Study of Iralco Company)
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Optimization of estimates and comparison of their efficiency under stochastic methods and its application in financial models
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Recognition and ranking the effective factors on audit quality via the TOPSIS technique
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Portfolio optimization using gray wolf algorithm and modified Markowitz model based on CO-GARCH modeling
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2024]
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Using Contingency Approach to Improve Firms’ Financial Performance Forecasts
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Performance Analysis and Rating of Insurance Companies Using DEA in Iran Capital Market
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- SummerYear
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The Managerial Ability and Value of Cash: Evidence from Iran
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Deep Learning Application in Rainbow Options Pricing
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Determining the appropriate weights of criteria in multi-criteria decision-making using cooperative game: A case study of bank
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A New Method for Allocating Fixed Costs with Undesirable Data: Data Envelopment Analysis Approach
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The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange)
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Identification the Periods of Formation and Bursting of Speculative Bubbles in Iranian Stock Market Using Quantitative Models
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Pattern Explanation of Micro and Macro variables on Return of Stock Trading Strategies
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Investigating the Asymmetric Models of Cash Holding Adjustment Speed: Dummy Variable, Quadratic and Threshold Regression Models
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A Model of Investor Sentiment Based on Grounded Theory Approach
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The Role of Earnings Management in Economic Growth and Corporate Growth Illusion
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Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds
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Performance Analysis of Global Hedge Funds
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Investigating the Impact of Financial Managers' Personality Traits on Tax Fraud; Concerning Gender and Type of Firm
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Effect of Carbon Tax Policies in Logistics Systems (Study: Pulp and Paper Industries)
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Common Set of Weights Model in the Presence of Non-homogeneous Outputs
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Evaluating the Asymmetric Effects of Parallel Financial Markets Shocks on Financial and Commercial Risk as well as Cash Returns
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Multilevel Convergence, Cluster Fluctuations, Price Bubbles and Fractal Structure; an Experimental Investigation by Foundation Factor Simulation
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A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index
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An Agri-Fresh Food Supply Chain Network Design with Routing Optimization: A Case Study of ETKA Company
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Presenting an Entropy-Based Systemic Risk Warning Model
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Using MODEA and MODM with Different Risk Measures for Portfolio Optimization
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Partial Least Squares Analysis to Measure the Impact of Pygmalion Financial Components
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Multi-objective possibility model for selecting the optimal stock portfolio
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Examining Financial Performance and Corporate Governance in Tehran Stock Exchange: A Hybrid Machine Learning and Data Envelopment Analysis Approach
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Examining Financial Performance and Corporate Governance in Tehran Stock Exchange: A Hybrid Machine Learning and Data Envelopment Analysis Approach
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Developing the Stock Pricing Model based on Bounded Rationality Theory
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An Uncertain Renewal Stock Model for Barrier Options Pricing with Floating Interest Rate
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Mean-AVaR-Skewness-Kurtosis Optimization Portfolio Selection Model in Uncertain Environments
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Selecting The Optimal Multi-Period Stock Portfolio with Different Time Horizons in the Credibility Theory Framework
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Designing and validating an agile financial marketing capability model for the development of the health tourism industry after Covid-19
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Mean-AVaR-Skewness-Kurtosis Optimization Portfolio Selection Model in Uncertain Environments
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Effect of the Financial Dominance of Financial Institutions on the Risk-taking Level of Managers
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Firm Value, Tax Evasion, Tax Planning Opportunity and Financial Crisis of Firms
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Optimal Banking Performance Model based on ERM
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Optimization of auditing strategies in companies listed on the Tehran Stock Exchange
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Providing the optimal model for stock selection based on momentum, reverse and hybrid trading strategies
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An anticipating class of Fuzzy Stochastic Differential Equations
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Investigation And Evaluation Of Monetary Policy Transmission Channels In The Iranian Economy
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Impact of the Management Performance Evaluation Methods on the Data Quality in Accounting
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Portfolio optimization using gray wolf algorithm and modified Markowitz model based on CO-GARCH modeling
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Confidence Interval for Solutions of the Black-Scholes Model
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Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange
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Voluntary Disclosure Dynamics under Risk and Ambiguity for Digital Corporates in Tehran Stock Exchange Market
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The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards
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Evaluating the Asymmetric Effects of Parallel Financial Markets Shocks on Financial and Commercial Risk as well as Cash Returns
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Multilevel Convergence, Cluster Fluctuations, Price Bubbles and Fractal Structure; an Experimental Investigation by Foundation Factor Simulation
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Presenting financial and non-financial indices model affecting the credit risk on the Maskan Bank.
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Measuring the Efficiency of Financial Cloud Services in the Banking Industry Using the Modified Dynamic DEA with Network Structure: The Case of Iran E-Banking.
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Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model
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Designing and validating an agile financial marketing capability model for the development of the health tourism industry after Covid-19
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Providing an Optimal Robust Portfolio Model with Mean- CVaR Approach
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Ranking of Banks’ Risk Reporting Using Data Envelopment Analysis
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Determining the Investment Portfolio Selection Model based on Investor Information using Multi-Criteria Decision Making in the Presence of Uncertainty
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Interval Forecasting of Stock Price Changes using the Hybrid of Holt’s Exponential Smoothing and Multi-Output Support Vector Regression
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Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior
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Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies
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Effective strategies for the establishment of integration model for succession planning and career progression path of iranian azad universities administrators (Qualitative Research Based Grounded Theory Approach)
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Analysis of Stock Market Manipulation using Generative Adversarial Nets and Denoising Auto-Encode Models
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Effects of Various Influential Factors in the Realization of Social Responsibilities Based on Corporate Governance with an Emphasis on Financial Transparency
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Hybrid Multilayer Perceptron Neural Network with Grey Wolf Optimization for Predicting Stock Market Index
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2021]
rahbarimoghadm.akbar
The Role of Managers' Information Interpretation on Cost Behavior
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2024]
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Financial Distress of Companies Listed on the Tehran Stock Exchange using the Dynamic Worst Practice Frontier-based DEA Model
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2022]
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Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks
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2019]
Rahimzadeh.Ayub
Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm
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2021]
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A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm
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Effect of Peer Performance, Future Competitive Performance, and Factors of Correlation with Peer Companies on Manipulation of Abnormal Real Operations
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2021]
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Measuring the Efficiency of Financial Cloud Services in the Banking Industry Using the Modified Dynamic DEA with Network Structure: The Case of Iran E-Banking.
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Portfolio Optimization by Means of Meta Heuristic Algorithms
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Daily net cash flow analysis and forecasting : Transition from Microscopic to Macroscopic Stochastic Equations
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Predicting Stock Price Crash Risk with a Deep Learning Approach from Artificial Intelligence and Comparing its Efficiency with Classical Predicting Methods.
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2024]
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Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran
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2024]
Rahnamay Roodposhti.Fereydoon
The Role of Earnings Management in Economic Growth and Corporate Growth Illusion
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2021]
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Evaluating the Impacts of Social Trust and Managers' Overself-confidence on Investment Efficiency
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2024]
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The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models
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2021]
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Ambiguity Theory and Asset Pricing: Empirical Evidence from Tehran Stock Exchange
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2018]
Ranjbar.Mohamad Hosein
Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking
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2024]
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Providing a model for measuring the impact of economic policy uncertainty on information asymmetry
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2024]
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A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach)
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2024]
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Implementation of Performance-Based Budgeting Using the Combined Technique of Best-worst Method (BWM) and Robust Optimization
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2022]
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Asymmetric Cost Behavior, Industry Type, and Levels of Conservatism (Comparative Study of Non-Operating Accrual, Basu, and Market Value Models)
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2024]
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Ranking the Efficiency and Soundness of Business Banks Using a Combined Method of Data Envelopment Analysis and Fuzzy VIKOR
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2021]
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A integrated hybrid fuzzy multiple-criteria decision-making model for non-performing Loans collections in the banking system (Case study: Shahr Bank)
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2023]
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CEO Risk-Taking Incentives based on Environmental Sustainability
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Using a Multi-criteria Decision-making Mathematical Tech-nique for the Influential and Interaction Factors in Pension Fund
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2022]
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Central Bank Transparency and Capital Market Reaction: A Systematic Review
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2024]
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Comparative Approach to the Backward Elimination and for-ward Selection Methods in Modeling the Systematic Risk Based on the ARFIMA-FIGARCH Model
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Application of the two-stage DEA model for evaluating the efficiency and investigating the relationship between managerial ability and firm performance
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razavi ghomi.seyed behrooz
Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches
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2024]
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Experimental Comparison of Financial Distress Prediction Models Using Imbalanced data sets
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Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
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2023]
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The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk
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2023]
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Partial Least Squares Analysis to Measure the Impact of Pygmalion Financial Components
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Surplus Free Cash Flow and Earnings Management: The Moderating Role of Auditor Size
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2020]
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The Use of Multi-Objective Meta-Heuristic Algorithm GENETIC-ANFIS in Rating the Loans Granted to Real Customers of Bank Melli Iran
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2025]
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Cost Malmquist Productivity index in non competitive environment of price in Data Envelopment Analysis and the use of it in the dealings of the Iranian Stock Exchange
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2021]
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Impact of Managers’ Optimism on the Relationship between Patience of Major Shareholders and Information Influence Management
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2019]
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Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange
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- AutumnYear
2018]
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The Role of Social Interest Rate Risk Management in the Relationship between Sustainability Performance and Investment Efficiency
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rezaei.nader
Providing the optimal model for stock selection based on momentum, reverse and hybrid trading strategies
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2024]
rezaei.nader
Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds
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- SummerYear
2024]
rezaei.nader
Optimization of auditing strategies in companies listed on the Tehran Stock Exchange
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- WinterYear
2024]
rezaei.nader
The Evaluation of the Capability of the Regression & Neural Network Models in Predicting Future Cash Flows
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2022]
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Modelling Optimal Predicting Future Cash Flows Using New Data Mining Methods (A Combination of Artificial Intelligence Algorithms)
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2023]
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The Predictability Power of Neural Network and Genetic Algorithm from Fiems’ Financial crisis
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2020]
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Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting
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- AutumnYear
2018]
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Optimal Banking Performance Model based on ERM
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2023]
Riyahinasab.Naser
The role of aggregate cost stickiness in unemployment rate prediction
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- WinterYear
2022]
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Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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2023]
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Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran
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- WinterYear
2024]
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Impact of Managers’ Optimism on the Relationship between Patience of Major Shareholders and Information Influence Management
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- SummerYear
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Rostami.Mohammad Reza
Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network
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A New Method for Allocating Fixed Costs with Undesirable Data: Data Envelopment Analysis Approach
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2023]
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Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange
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2019]
Rostamy.Mohsen
Using MODEA and MODM with Different Risk Measures for Portfolio Optimization
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2020]
Rostamy.Mohsen
Computing the Efficiency of Bank Branches with Financial Indexes, an Application of Data Envelopment Analysis (DEA) and Big Data
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2024]
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A New Method of Sensitivity Analysis of Returns to Scale in Two-Stage Network; A Case Study of the Insurance Industry in Iran
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- SummerYear
2024]
Rostamy.Mohsen
Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies
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2024]
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The sustainability radius of the cost efficiency in Interval Data Envelopment Analysis: A case study from Tehran Stocks
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2022]
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Analysis of Stock Market Manipulation using Generative Adversarial Nets and Denoising Auto-Encode Models
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2022]
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Taylor Rule: A Model for the Mechanism of Monetary Policy and Inflation Control in the Framework of the Interest-Free Banking Act
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Application of Panel Regression Model in Examining the Effect of Monetary Policy on Bank Profitability
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2023]
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Evaluating and Ranking the Firms in Chemical Industry Listed in Tehran Stock Exchange with TOPSIS
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Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network
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Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies
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2024]
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A Mathematical Model for Measuring Corporate Governance using Multi-Criteria Decision Making (MCDM)Technique
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2023]
sadeghzadeh.mohammad
Network Analysis of Interpersonal Relationships in Tehran Stock Exchange
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2021]
sadeh.ehsan
A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study
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2019]
sadeh.ehsan
Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange
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2017]
sadigh behzadi.shadan
Optimization of the Black-Scholes Equation with the Numerical Method of Local Expansion to Minimize Risk Coverage
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2021]
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Option Pricing in the Presence of Operational Risk
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saedi.rahman
A Mathematical Model for Measuring Corporate Governance using Multi-Criteria Decision Making (MCDM)Technique
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2023]
saeidi.parviz
Investigating the Relationship between Accounting Earning and Gross Domestic Product in Companies Listed in Tehran Stock Exchange
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The Relationship between Capital Investment Choice and Capital Productivity: A Test of Firm Life Cycle Theory (A Comparative Investigation of Cyclical and Non-Cyclical Companies)
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2018]
saeidi.parviz
According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle
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2018]
saeidi.parviz
Reporting Quality of Financial Information Based On Behavioral and Value Accounting
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2020]
Saemipour.Mehdi
Developing an Integrated ISM and DEMATEL Method for Eco-nomic and Political Factors Influencing Investors' Decision-Making in Investing in the Stock Exchange
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2024]
safa.mojgan
Identifying and Prioritizing Investment Risks in Sports Projects
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2023]
safa.mojgan
Meta-analysis of auditor characteristics and profit quality (Considering auditor characteristics indicators)
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2023]
Safari Bideskan.Saeed
Stock Price Drift from the Content of Projected Earnings Information Resulting from Quarterly Operations: Evidence of the Contradiction Between Timeliness and Profitability
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2024]
Safari.Hossein
Designing a Sustainable Supply Chain Model with an Emphasis on Behavioral Factors for Foodstuffs in Kermanshah Province
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Safari.Hossein
An Entropy/TOPSIS based Model for Financial prioritization of professional ethics teaching methods in accounting
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2021]
Safari.Jalal
Determining the appropriate weights of criteria in multi-criteria decision-making using cooperative game: A case study of bank
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Saghaei.Abbas
Determining the interest rate on deposits in the Iranian banking system: cooperative or competitive game between the central bank and followers?
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2022]
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Modelling the effect of monetary policies of central bank on macroeco-nomic indicators in Iran using system dynamics and fuzzy multi-criteria decision-making techniques
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2024]
Sahebi Fard.Hossein
Option pricing with artificial neural network in a time dependent market
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2024]
Sahebi Fard.Hossein
Analytical and numerical solutions for the pricing of a combination of two financial derivatives in a market under Hull-White model
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- AutumnYear
2022]
saki.masoumeh
Multi-objective possibility model for selecting the optimal stock portfolio
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2023]
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Economic Appraisal of Investment Projects in Solar Energy under Uncertainty via Fuzzy Real Option Approach (Case Study: a 2-MW Photovoltaic Plant in South of Isfahan, Iran)
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- AutumnYear
2018]
Salehi fard.Abbas
Designing and Evaluating Trading Strategies Based on Algorithmic Trading in Iran's Capital Market
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2023]
Salehi.Akaram
Net Working Capital Investment Policies, the Value of Financial Flexibility and Financial Constraint, Evidence From the Tehran Stock Exchange
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2024]
salehi.aleh karam
Analyzing the efficiency of capital market relative to the decreas-ing and increasing information of the components of accounting earnings
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- WinterYear
2022]
salehi.aleh karam
Presenting a model of tax non-compliance in Iran based on the network analysis Process (ANP)
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2023]
salehi.aleh karam
Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance
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- WinterYear
2021]
salehi.aleh karam
Stock Price Momentum Modeling: A Grounded Theory Approach
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salehi.aleh karam
Designing a Model of Financial Flexibility Functions for Industrial Infrastructure Development of Abadan Oil Refining Company
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2023]
salehi.aleh karam
Investigating the Effect of Profitability and Operating Cash Flow on Trademarks Value
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2017]
Salehi.Allah Karam
Presenting and explaining the model of the role of behavioral characteristics and financial literacy of real investors on their financial management components in the Iranian capital market
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2023]
Salehi.Allah Karam
The Impact of Institutional Ownership on the Relationship between Tax and Capital Structure
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Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management
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Salehi.Allahkaram
Investigating the Impact of Financial Managers' Personality Traits on Tax Fraud; Concerning Gender and Type of Firm
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2025]
Salimi Bani.Mohammad
The Effectiveness of the Automatic System of Fuzzy Logic-Based Technical Patterns Recognition: Evidence from Tehran Stock Exchange
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2019]
salimi dermenaki.mojtaba
Assessment of Transparency Impact of Accounting Information on the Cost of the Audit for each Type of Industry
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salimi.saba
Ranking and evaluation of financial efficiency of pharmaceutical companies accepted in Tehran Stock Exchange with the approach of data envelopment analysis and multi-criteria decision making
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2023]
samadi tirandazi.roghaye
Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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2023]
Sanei.M.
Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
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2023]
sanei.masoud
Computing the Efficiency of Bank Branches with Financial Indexes, an Application of Data Envelopment Analysis (DEA) and Big Data
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2024]
Saraj.Mansour
The sustainability radius of the cost efficiency in Interval Data Envelopment Analysis: A case study from Tehran Stocks
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2022]
Saremi.Mahmood
Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique
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sarhangi.kamran
The effect of effective governance and quality of regulations on financial development in the current economic conditions of Iran
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- AutumnYear
2021]
sarlak.ahmad
Investigating the relationship among information asymmetry, dividend policy and ownership structure
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sarlak.ahmad
The Analysis of the Existence of the Hypothesis of Adverse Selection on the Relationship between Off-balance Sheet Items and the Bank's Risk
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Sarlak.Ahmad
Bank Lending Channel Reaction to Financial Suppression Policies
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2022]
Sarlak.Ahmad
Effect of Carbon Tax Policies in Logistics Systems (Study: Pulp and Paper Industries)
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2025]
Sarlak.Ahmad
Examining the Relationship between Corporate Governance and the Corporate Performance Valuation
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Sarlak.Ahmad
Investigating the Impact of the Financial Crisis on Conservative Accounting and Transparency of Banking Information
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Sarlak.Ahmad
The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange
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- WinterYear
2018]
Sarlak.Ahmad
The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange
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Sarparast.Maryam
A New Method of Sensitivity Analysis of Returns to Scale in Two-Stage Network; A Case Study of the Insurance Industry in Iran
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2024]
Sarraf.Fatemeh
The power indexes of the CEO and the performance of the company under pressure based on product market competition
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2021]
Sarraf.Fatemeh
Optimization of Inventory with Fuzzy Multi-Objective Approach
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- SpringYear
2025]
Sarraf.Fatemeh
Financial Statement Comparability and the Expected Crash Risk of Stock Prices
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2018]
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Application of Fuzzy DANP for Implementation of FinTechs in Financial-Banking System
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2025]
sehat.said
Identify and Rank the Effective Factors of Financial Risks and Efficiency in Insurance Companies Listed on the Stock Exchange using the Delphi Method
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2023]
Seidi.Masoud
Fuzzy Goal Programming Model to Rolling Performance Based Budgeting by Productivity Approach (Case Study: Gas Refiner-ies in Iran)
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2018]
Seif Barghy.Mehdi
An Agri-Fresh Food Supply Chain Network Design with Routing Optimization: A Case Study of ETKA Company
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- WinterYear
2022]
Seighaly.Mohsen
Predicting the Top and Bottom Prices of Bitcoin Using Ensemble Machine Learning
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2023]
Sepehri.Ali
Making Decision on Selection of Optimal Stock Portfolio Employing Meta Heuristic Algorithms for Multi-Objective Functions Subject to Real-Life Constraints
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2023]
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Does Economic Freedom Affect Stock Returns? (Case study: Selected Countries of the Organization of the Islamic Conference)
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2023]
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Designing the Optimal Model of Banking Assets and Liabilities Management based on System Dynamics Approach
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2023]
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Providing an Optimal Robust Portfolio Model with Mean- CVaR Approach
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2023]
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Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
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2023]
Shafeie.Eslam
Identifying the Effective Factors on Investors' Behavior and Developing a Measurement Model
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2024]
Shahiki Tash.M.N.
Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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2023]
Shahriari.Mohsen
Ranking and evaluation of financial efficiency of pharmaceutical companies accepted in Tehran Stock Exchange with the approach of data envelopment analysis and multi-criteria decision making
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2023]
shahveisi.farhad
Modeling Liquidity Risk Management in Banking Using System Dynamics Approach
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- SummerYear
2021]
Shahverdi.Reza
Determining the Investment Portfolio Selection Model based on Investor Information using Multi-Criteria Decision Making in the Presence of Uncertainty
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2025]
Shakibaiee.Alireza
An Analysis of the Repeated Financial Earthquakes
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- SummerYear
2019]
shammakhi.hamidreza
Developing a Paradigm for Fair Valuation in Tehran Stock Exchange
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SHams Doost.FARZANEH
The Modeling the Fixed Asset Investing with a Machine Learning Approach by Emphasizing the Role of Financial Criteria
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2024]
Sharifirad.Hossin
Investigating the Relationship between Political Uncertainty and Market Irregularities: With Emphasis on the Risky Information Environment
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- WinterYear
2023]
Sheikhahmadi.Amiri
The Modeling the Fixed Asset Investing with a Machine Learning Approach by Emphasizing the Role of Financial Criteria
[
Vol.9,
Issue
3
- SummerYear
2024]
sheikhi mehrabadi.ali
Effect of Bank Facilities on Employment: an Approach based on STR Model
[
Vol.8,
Issue
2
- SpringYear
2023]
Sheikhrabori.Reza
Assessing the relationship between balance sheet conservatism and profit and loss conservatism with cost of equity capital
[
Vol.7,
Issue
4
- AutumnYear
2022]
Sheshmani.Majid
Studying the Expected Returns Based on Carhart Model Com-pared to CAPM Model and Implicit Capital Cost Model Based on Cash and Capital Flow of Growth and Value stocks
[
Vol.2,
Issue
4
- AutumnYear
2017]
Sheybani Tezerji.Abbas
Investigating the effect of managers' emotional and spiritual intelligence on the concurrence of stock prices and stock returns
[
Vol.8,
Issue
2
- SpringYear
2023]
Shiri.Ardeshir
Pattern Explanation of Micro and Macro variables on Return of Stock Trading Strategies
[
Vol.7,
Issue
4
- AutumnYear
2022]
shokrian.heshmatallah
Determining the Investment Portfolio Selection Model based on Investor Information using Multi-Criteria Decision Making in the Presence of Uncertainty
[
Vol.10,
Issue
2
- SpringYear
2025]
Shokrollahi.Serveh
Forecasting Stock Trend by Data Mining Algorithm
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Vol.3,
Issue
1
- WinterYear
2018]
Shourvarzi.Mohammad Reza
Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches
[
Vol.9,
Issue
3
- SummerYear
2024]
Shourvarzi.Mohammad Reza
Experimental Comparison of Financial Distress Prediction Models Using Imbalanced data sets
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Vol.7,
Issue
3
- SummerYear
2022]
Singh.Sanjeet
Measuring Economic Efficiency of Kidney Bean Production using Non-Discretionary Data Envelopment Analysis
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Vol.6,
Issue
2
- SpringYear
2021]
Sobhani.Ali
Foresight of Financial Resilience of Entrepreneurial Businesses Using Causal Layered Analysis (CLA)
[
Vol.10,
Issue
1
- WinterYear
2025]
sohaili.kiomars
The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017)
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Vol.4,
Issue
3
- SummerYear
2019]
Sohaili.Kiomars
Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran
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Vol.3,
Issue
4
- AutumnYear
2018]
Soheili.Hossein
An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange
[
Vol.2,
Issue
2
- SpringYear
2017]
soleimanivareki.mohammad
Determining the Investment Portfolio Selection Model based on Investor Information using Multi-Criteria Decision Making in the Presence of Uncertainty
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Vol.10,
Issue
2
- SpringYear
2025]
Soltani.Roya
Determining the interest rate on deposits in the Iranian banking system: cooperative or competitive game between the central bank and followers?
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Vol.7,
Issue
3
- SummerYear
2022]
Soltani.Roya
Modelling the effect of monetary policies of central bank on macroeco-nomic indicators in Iran using system dynamics and fuzzy multi-criteria decision-making techniques
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Vol.9,
Issue
1
- WinterYear
2024]
Soltanpanah.Heresh
A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm
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Vol.4,
Issue
4
- AutumnYear
2019]
Soltanpanah.Heresh
Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm
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Vol.6,
Issue
2
- SpringYear
2021]
soofizadeh.sharifeh
Identifying the Effective Factors in Banking Sector using Data Envelopment Analysis Considering System Efficiency
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Vol.8,
Issue
1
- WinterYear
2023]
sorouri.elahe
Which Currency Will Evolve?
[
Vol.7,
Issue
4
- AutumnYear
2022]
soufi.mansour
Efficiency Analysis of Banking Sector in Presence of Undesirable Factors Using Data Envelopment Analysis
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Vol.8,
Issue
2
- SpringYear
2023]
Souri.Ali
Higher moments portfolio Optimization with unequal weights based on Generalized Capital Asset pricing model with independent and identically asymmetric Power Distribution
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Vol.6,
Issue
2
- SpringYear
2021]
Souri.Ali
Provide an improved factor pricing model using neural networks and the gray wolf optimization algorithm
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Vol.8,
Issue
1
- WinterYear
2023]
T
Tabani.Ayub
Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking
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Vol.9,
Issue
1
- WinterYear
2024]
tabatabaei.seyed jalal
Investigating Randomness By Walsh-Hadamard Transform in Financial Series
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Vol.9,
Issue
4
- AutumnYear
2024]
Tabrizian.Bita
Investigating the effects of time variables of gold, crude oil and foreign exchange markets on herding behavior in Tehran Stock Foreign exchange
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Vol.8,
Issue
4
- AutumnYear
2023]
Taghaddosi.Hadis
Jump Identification as a Proxy of Information Shocks, In Tehran Stock Exchange.
[
Vol.9,
Issue
2
- SpringYear
2024]
Taghizadeh.Reza
Network Analysis of Interpersonal Relationships in Tehran Stock Exchange
[
Vol.6,
Issue
1
- WinterYear
2021]
taherabadi.ali asghar
Modeling Liquidity Risk Management in Banking Using System Dynamics Approach
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Vol.6,
Issue
3
- SummerYear
2021]
Taheri Nia.Masoud
Prediction the Return Fluctuations with Artificial Neural Networks' Approach
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Vol.4,
Issue
2
- SpringYear
2019]
Taheri.fatemeh
Designing the Optimal Model of Banking Assets and Liabilities Management based on System Dynamics Approach
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Vol.8,
Issue
1
- WinterYear
2023]
Taheri.Isa
Does Economic Freedom Affect Stock Returns? (Case study: Selected Countries of the Organization of the Islamic Conference)
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Vol.8,
Issue
1
- WinterYear
2023]
taherinejad.faegheh
A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences
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Vol.4,
Issue
4
- AutumnYear
2019]
taherinia.masoud
The Impact of Investment Inefficiency and Cash Holding on CEO Turnover
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Vol.5,
Issue
4
- AutumnYear
2020]
Taherinia.Masoud
Design and Formulation of Strategic Liquidity Management Strategies in the Banking Industry (Case study: Rafah Bank)
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Vol.9,
Issue
1
- WinterYear
2024]
Taherpour.gholam reza
The Effect of Industry Type on the Relationship between Financial Reporting Transparency and Financial Health in Tehran Stock Exchange
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Vol.7,
Issue
2
- SpringYear
2022]
Tajdini.Saeid
Past-oriented behavioral bias: A study on S&P & TEPIX index-es
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Vol.7,
Issue
1
- WinterYear
2022]
Tajik.Hojjat
Presenting the smart pattern of credit risk of the real banks’ customers using machine learning algorithm.
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Vol.8,
Issue
4
- AutumnYear
2023]
talebi.bahman
The Evaluation of the Capability of the Regression & Neural Network Models in Predicting Future Cash Flows
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Vol.7,
Issue
2
- SpringYear
2022]
talebi.bahman
Modelling Optimal Predicting Future Cash Flows Using New Data Mining Methods (A Combination of Artificial Intelligence Algorithms)
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Vol.8,
Issue
3
- SummerYear
2023]
Talebnia.Ghodratallah
Introduction of New Risk Metric using Kernel Density Estimation Via Linear Diffusion
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Vol.7,
Issue
2
- SpringYear
2022]
Talebnia.Ghodratollah
Presenting the smart pattern of credit risk of the real banks’ customers using machine learning algorithm.
[
Vol.8,
Issue
4
- AutumnYear
2023]
Taleby.Yousef
Financial Assessment using a Fuzzy Analytical Hierarchical Process Method
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Vol.7,
Issue
1
- WinterYear
2022]
Taleghani.Fateme
An Analysis of the Repeated Financial Earthquakes
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Vol.4,
Issue
3
- SummerYear
2019]
tamimi.mohammad
The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes
[
Vol.6,
Issue
3
- SummerYear
2021]
tavakoli.mahsa
Capsule Network Regression Using Information Measures: An Application in Bitcoin Market
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Vol.7,
Issue
1
- WinterYear
2022]
tavakoli.mahsa
Forecasting the Tehran Stock market by Machine Learning Methods using a New Loss Function
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Vol.6,
Issue
2
- SpringYear
2021]
tavakolipour.hamed
A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach)
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Vol.9,
Issue
1
- WinterYear
2024]
Tayebi sani., Ehsan
Comparing the performance of the Auto-Regressive Integrated Moving Average (ARIMA) method with that of the Recursive Neural Network (RNN) of long-short term memory (LSTM) in forecasting stock price
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Vol.9,
Issue
2
- SpringYear
2024]
Tayebi sani., Ehsan
Predicting Stock Price Crash Risk with a Deep Learning Approach from Artificial Intelligence and Comparing its Efficiency with Classical Predicting Methods.
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Vol.9,
Issue
4
- AutumnYear
2024]
tehrani.reza
Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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Vol.8,
Issue
2
- SpringYear
2023]
tehrani.reza
Provide an improved factor pricing model using neural networks and the gray wolf optimization algorithm
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Vol.8,
Issue
1
- WinterYear
2023]
tehrani.reza
Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry
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Vol.5,
Issue
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- WinterYear
2020]
tehrani.reza
Effect of Business Groups Affiliation on Cash Holdings and Return on Equity
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Vol.2,
Issue
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- AutumnYear
2017]
tehrani.reza
Portfolio Optimization Based on Semi Variance and Another Perspective of Value at Risk Using NSGA II, MOACO, and MOABC Algorithms
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Vol.7,
Issue
1
- WinterYear
2022]
tehrani.reza
The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes
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Vol.6,
Issue
3
- SummerYear
2021]
Tehrani.Reza
Investigating the effects of time variables of gold, crude oil and foreign exchange markets on herding behavior in Tehran Stock Foreign exchange
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Vol.8,
Issue
4
- AutumnYear
2023]
Teimouri.Hossein
An Integrated Entropy/VIKOR Model for Customer Clustering in Targeted Marketing Model Design (Case Study: IoT Technology Services Companies)
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Vol.6,
Issue
4
- AutumnYear
2021]
Tohidi.Ghasem
Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
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Vol.8,
Issue
1
- WinterYear
2023]
Tohidi.Ghasem
Measuring the Interval industry cost efficiency score in DEA
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Vol.7,
Issue
2
- SpringYear
2022]
toraj.elyas
The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency
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Vol.5,
Issue
2
- SpringYear
2020]
Torkamani.Esmael
Comparison of Public Investment Approaches on Social Welfare Function: A Case Study of Iran
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Issue
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- SpringYear
2019]
Torkzadeh.Leila
Mean-AVaR-Skewness-Kurtosis Optimization Portfolio Selection Model in Uncertain Environments
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Vol.10,
Issue
2
- SpringYear
2025]
TRIPATHI.SANJAY
Application of Mathematics in Financial Management
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Issue
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- SpringYear
2019]
V
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Applying the ELECTRE Method to Determine the Effects of Calendar Anomalies on the Index Returns of Banks Listed on the Tehran Stock Exchange
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Vol.9,
Issue
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- SpringYear
2024]
vakilifard.hamidreza
Presenting the smart pattern of credit risk of the real banks’ customers using machine learning algorithm.
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Vol.8,
Issue
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- AutumnYear
2023]
vakilifard.hamidreza
A Data Envelopment Analysis Model to Provide a Dynamic Accounting Information System for Measuring the Financial Effectiveness of Management Accounting System
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Vol.7,
Issue
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- WinterYear
2022]
vakilifard.hamidreza
The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO
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Issue
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- SummerYear
2020]
Vakilifard.Hamidreza
Asymmetric Cost Behavior, Industry Type, and Levels of Conservatism (Comparative Study of Non-Operating Accrual, Basu, and Market Value Models)
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Vol.9,
Issue
2
- SpringYear
2024]
Valian.Hassan
To Study The Effect of Investor Protection on Future Stock Price Crash Risk
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Vol.6,
Issue
2
- SpringYear
2021]
Vatanchi.Nafiseh
Analyzing the Effect of Monetary Volatility on the Iranian Stock Market
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Vol.9,
Issue
4
- AutumnYear
2024]
Vatanparast.Mohammadreza
Financial Assessment using a Fuzzy Analytical Hierarchical Process Method
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Vol.7,
Issue
1
- WinterYear
2022]
Y
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Pattern Explanation of Micro and Macro variables on Return of Stock Trading Strategies
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Vol.7,
Issue
4
- AutumnYear
2022]
Yazdi.hadi
Impact of Speculative Bubble on Stock Returns in Companies Listed on Tehran Stock Exchange
[
Vol.3,
Issue
4
- AutumnYear
2018]
Younesi Motie.Fatemeh
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
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Vol.6,
Issue
2
- SpringYear
2021]
Yousefzadeh.Hamid Reza
A new two-phase approach to the portfolio optimization problem based on the prediction of stock price trends
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Vol.7,
Issue
4
- AutumnYear
2022]
Z
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Developing a model for managing the risk assessment of import declarations in customs based on data analysis techniques
[
Vol.7,
Issue
4
- AutumnYear
2022]
Zamani moghadam.Afsaneh
Predicting financial statement fraud using fuzzy neural networks
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Vol.6,
Issue
1
- WinterYear
2021]
zamani.shiva
The effect of information disclosure on market reaction with meta-analysis approach
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Vol.7,
Issue
3
- SummerYear
2022]
Zamanian.Mohammad Reza
A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study
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Vol.4,
Issue
1
- WinterYear
2019]
zanjirdar.Majid
Designing a Trading Strategy to Buy and Sell the Stock of Companies Listed on the New York Stock Exchange Based on Classification Learning Algorithms
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Vol.9,
Issue
3
- SummerYear
2024]
zanjirdar.Majid
Investigating the effect of stock tendency of stock collision to fluctuation limit and price fluctuation threshold and change the basis of fluctuation limit in creating returns fluctuations
[
Vol.9,
Issue
1
- WinterYear
2024]
zanjirdar.Majid
The Impact of Peer Performance on the Bendford's Law and Cosmetic Earnings Management
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Vol.7,
Issue
4
- AutumnYear
2022]
zanjirdar.Majid
Effects of Various Influential Factors in the Realization of Social Responsibilities Based on Corporate Governance with an Emphasis on Financial Transparency
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Vol.9,
Issue
4
- AutumnYear
2024]
zanjirdar.Majid
The Ability of Elliott Waves Theory to Predict the Information Content of Accounting Profit
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Vol.10,
Issue
1
- WinterYear
2025]
zanjirdar.Majid
Meta-analysis of auditor characteristics and profit quality (Considering auditor characteristics indicators)
[
Vol.8,
Issue
4
- AutumnYear
2023]
zanjirdar.Majid
Presenting an Entropy-Based Systemic Risk Warning Model
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Vol.10,
Issue
2
- SpringYear
2025]
zanjirdar.Majid
The effect of information disclosure on market reaction with meta-analysis approach
[
Vol.7,
Issue
3
- SummerYear
2022]
zanjirdar.Majid
A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences
[
Vol.4,
Issue
4
- AutumnYear
2019]
zanjirdar.Majid
The efficiency of innovative techniques in improving new and traditional standards of corporates’ performance
[
Vol.9,
Issue
2
- SpringYear
2024]
Zare.Hashem
Optimal Inflation Rate Measurement for Minimizing Economic Inequality: The Dynamic Stochastic General Equilibrium Approach
[
Vol.10,
Issue
2
- SpringYear
2025]
Zarei.Alireza
Investigate the Economic Consequences to the Timing of Earnings News Forecast for Accepted Corporates in Tehran Securities Exchange
[
Vol.7,
Issue
4
- AutumnYear
2022]
zarin.jafar
A mathematical model to predict corporate bankruptcy using financial, managerial and economic variables And compare it with other models
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Vol.8,
Issue
4
- AutumnYear
2023]
Zayandehroodi.Mohsen
Investigating the Impact of National Currency Value Shocks on the Inflation Structure and Unemployment of the New Keynesian Model Using a Dynamically Computable General Equilibrium Approach
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Vol.8,
Issue
4
- AutumnYear
2023]
Ziaee Bidhendi.Mohsen
Providing an intelligent credit risk management system of the bank based on the macroeconomic indicators in the country's stock exchange banks
[
Vol.8,
Issue
4
- AutumnYear
2023]
ziaee Bidhendy.Mohsen
Providing an intelligent credit risk management system of the bank based on the macroeconomic indicators in the country's stock exchange banks
[
Vol.8,
Issue
4
- AutumnYear
2023]
zohrabi.ardeshir
Provide an improved factor pricing model using neural networks and the gray wolf optimization algorithm
[
Vol.8,
Issue
1
- WinterYear
2023]
Zolfaghari.Mehdi
Investigating the Effect of Tax Avoidance on Investment Efficiency: Interactive Effect of Ownership Structure
[
Vol.10,
Issue
1
- WinterYear
2025]
Zomorodian.Gholamreza
Analyzing the Effect of Monetary Volatility on the Iranian Stock Market
[
Vol.9,
Issue
4
- AutumnYear
2024]
Zomorodian.Gholamreza
Portfolio optimization considering cardinality constraints and based on various risk factors using the differential evolution algorithm
[
Vol.9,
Issue
2
- SpringYear
2024]
Zomorodian.Gholamreza
An Algorithmic Trading system Based on Machine Learning in Tehran Stock Exchange
[
Vol.6,
Issue
3
- SummerYear
2021]
Zomorodian.Gholamreza
Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model
[
Vol.1,
Issue
2
- SpringYear
2016]
Zomorodian.Gholamreza
Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies
[
Vol.4,
Issue
2
- SpringYear
2019]
Zomorodian.Gholamreza
Presenting an Explanatory Model of Stock Price Using Deep Learning Algorithm
[
Vol.9,
Issue
3
- SummerYear
2024]