fadaeemahdi.mahdi
Selecting The Optimal Multi-Period Stock Portfolio with Different Time Horizons in the Credibility Theory Framework
[
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
[
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
[
Vol.6,
Issue
3
- SummerYear
2021]
fakhari.hossein
Predict the Stock price crash risk by using firefly algorithm and comparison with regression
[
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
[
Vol.6,
Issue
1
- WinterYear
2021]
fallah.mirfeiz
Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies
[
Vol.7,
Issue
1
- WinterYear
2022]
fallah.mirfeiz
Profitability evaluation of dynamic investment projects by using ordered fuzzy numbers
[
Vol.8,
Issue
4
- AutumnYear
2023]
fallah.mirfeiz
Portfolio optimization considering cardinality constraints and based on various risk factors using the differential evolution algorithm
[
Vol.9,
Issue
2
- SpringYear
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
[
Vol.8,
Issue
4
- AutumnYear
2023]
fallah.mirfeiz
Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran
[
Vol.9,
Issue
1
- WinterYear
2024]
fallah.mirfeiz
The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk
[
Vol.8,
Issue
3
- SummerYear
2023]
Fallahshams.Mirfeiz
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]
Fallahshams.Mirfeiz
Evaluating the Factors Affecting on Credit Ratings of Accepted Corporates in Tehran Securities Exchange by Using Factor Analysis and AHP
[
Vol.6,
Issue
1
- WinterYear
2021]
Fallahshams.Mirfeiz
Analyzing the Effect of Monetary Volatility on the Iranian Stock Market
[
Vol.9,
Issue
4
- AutumnYear
2024]
Farahani.Hamed
An anticipating class of Fuzzy Stochastic Differential Equations
[
Vol.8,
Issue
2
- SpringYear
2023]
Faraji.Omid
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
[
Vol.6,
Issue
2
- SpringYear
2021]
faraji.somayyeh
A review of meta-heuristic methods for solving location allocation financial problems
[
Vol.8,
Issue
3
- SummerYear
2023]
Farajzadeh.Ali
On Solutions of Generalized Implicit Equilibrium Problems with Application in Game Theory
[
Vol.7,
Issue
2
- SpringYear
2022]
Farajzadeh.Ali
On Vector Equilibrium Problem with Generalized Pseudomonotonicity
[
Vol.4,
Issue
2
- SpringYear
2019]
farhadi sartangi.morteza
Assessing the relationship between balance sheet conservatism and profit and loss conservatism with cost of equity capital
[
Vol.7,
Issue
4
- AutumnYear
2022]
farhadi sartangi.morteza
A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index
[
Vol.4,
Issue
1
- WinterYear
2019]
farjamfar.mohammad
Assessing the relationship between balance sheet conservatism and profit and loss conservatism with cost of equity capital
[
Vol.7,
Issue
4
- AutumnYear
2022]
Farnoosh.rahman
Numerical Solution of Multidimensional Exponential Levy Equation by Block Pulse Function
[
Vol.5,
Issue
2
- SpringYear
2020]
Farsadamanollahi.Gholamreza
Identification and Refinement of Effective Factors of Financial Reporting Transparency of Firms Listed on Iran Stock Exchange
[
Vol.7,
Issue
3
- SummerYear
2022]
Farsadamanollahi.Gholamreza
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]
Farshadfar.Zahra
Improving Stock Return Forecasting by Deep Learning Algorithm
[
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
[
Vol.2,
Issue
2
- SpringYear
2017]
farzin far.ali akbar
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
[
Vol.7,
Issue
4
- AutumnYear
2022]
farzinfar,.Aliakbar
Portfolio Optimization under Varying Market Risk Conditions: Copula Dependence and Marginal Value Approaches
[
Vol.9,
Issue
1
- WinterYear
2024]
Fatemi Moghadam.Marzieh
Using Fuzzy Delphi Technique to Identify Financial Factors Affecting Risk Management in Iranian Banks
[
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
[
Vol.1,
Issue
2
- SpringYear
2016]
fathi vajargah.kianoush
Optimization of estimates and comparison of their efficiency under stochastic methods and its application in financial models
[
Vol.8,
Issue
3
- SummerYear
2023]
fathi vajargah.kianoush
Oil Price estimating Under Dynamic Economic Models Using Markov Chain Monte Carlo Simulation Approach
[
Vol.6,
Issue
3
- SummerYear
2021]
Fathi.Kiamars
A integrated hybrid fuzzy multiple-criteria decision-making model for non-performing Loans collections in the banking system (Case study: Shahr Bank)
[
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
[
Vol.7,
Issue
2
- SpringYear
2022]
Fathi.Mohammad Reza
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
[
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
[
Vol.9,
Issue
1
- WinterYear
2024]
Fazli.Mehdi
A review of meta-heuristic methods for solving location allocation financial problems
[
Vol.8,
Issue
3
- SummerYear
2023]
Feghhi Kashani.Mohammad
Voluntary Disclosure Dynamics under Risk and Ambiguity for Digital Corporates in Tehran Stock Exchange Market
[
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
[
Vol.6,
Issue
2
- SpringYear
2021]
foroghi.dariush
Determining the effect of auditors' skeptical personality traits with considering the characteristics of organizational behaviour on job Audit Durability
[
Vol.5,
Issue
4
- AutumnYear
2020]
foroghi.dariush
Developing the Stock Pricing Model based on Bounded Rationality Theory
[
Vol.8,
Issue
1
- WinterYear
2023]