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 - Winter Year 2022]
  • KAAB OMEIR.aHMAD Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance [ Vol.6, Issue 1 - Winter Year 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 - Spring Year 2023]
  • Kamali.Ehsan A VAR Model for the Macroeconomic Indicators Restatements Predicting : Introduction to Macroaccounting Theory [ Vol.7, Issue 4 - Autumn Year 2022]
  • 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 - Summer Year 2024]
  • Karamverdi.Fatemeh Sustainable Reporting Function and Green Accounting Strategic Consequences (Cross-matrix analysis) [ Vol.8, Issue 1 - Winter Year 2023]
  • Karbasi Yazdi.Hossien Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange [ Vol.2, Issue 3 - Summer Year 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 - Spring Year 2017]
  • kargarpour.khatereh Idiosyncratic Risk and Disclosure of Corporate Social Responsibility: Emphasizing the Role of Corporate Governance [ Vol.6, Issue 1 - Winter Year 2021]
  • karimi.mariam Net Working Capital Investment Policies, the Value of Financial Flexibility and Financial Constraint, Evidence From the Tehran Stock Exchange [ Vol.9, Issue 3 - Summer Year 2024]
  • karimi.tooraj Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank [ Vol.4, Issue 4 - Autumn Year 2019]
  • Karrabi.Amin A new two-phase approach to the portfolio optimization problem based on the prediction of stock price trends [ Vol.7, Issue 4 - Autumn Year 2022]
  • Kashanipour.Mohammad The Effect of CEO Power on Stock Price Delay [ Vol.7, Issue 2 - Spring Year 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 - Autumn Year 2022]
  • KAZEMI.SEYED POURIA Cash Holding Adjustment Speed: The Role of Managerial Ability and Moderating Role of Political Connections in Tehran Stock Exchange [ Vol.7, Issue 3 - Summer Year 2022]
  • Kazempour Dizaji.Fatemeh Identifying and explaining the topics in the financial literacy training using fuzzy Delphi approach [ Vol.7, Issue 3 - Summer Year 2022]
  • Keramati.Abbas Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [ Vol.4, Issue 1 - Winter Year 2019]
  • keramati.mohammadali Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [ Vol.5, Issue 3 - Summer Year 2020]
  • Keramati.Mohammadali Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [ Vol.4, Issue 1 - Winter Year 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 [ Vol.8, Issue 4 - Autumn Year 2023]
  • 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 - Summer Year 2022]
  • Keyghobadi.Amir Reza Presenting an Explanatory Model of Stock Price Using Deep Learning Algorithm [ Vol.9, Issue 3 - Summer Year 2024]
  • Keyghobadi.Amirreza Optimization of the Black-Scholes Equation with the Numerical Method of Local Expansion to Minimize Risk Coverage [ Vol.6, Issue 4 - Autumn Year 2021]
  • Khabazkar Foomani.mohammadreza Investigating the relationship among information asymmetry, dividend policy and ownership structure [ Vol.3, Issue 2 - Spring Year 2018]
  • khaleghi kasbi.parvaneh Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange [ Vol.3, Issue 4 - Autumn Year 2018]
  • Khalil Moghadam.Shadi Multiple portfolio optimization in Tehran Stock Exchange [ Vol.8, Issue 1 - Winter Year 2023]
  • Khalili Araghi.Maryam Portfolio Optimization by Means of Meta Heuristic Algorithms [ Vol.4, Issue 4 - Autumn Year 2019]
  • Khalili Araghi.Maryam Investigating portfolio performance with higher moment considering entropy and rolling window in banking, insurance, and leasing industries [ Vol.9, Issue 1 - Winter Year 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 - Summer Year 2022]
  • 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 - Winter Year 2024]
  • Khaloozadeh.Hamid The Tail Mean-Variance Model and Extended Efficient Frontier [ Vol.6, Issue 1 - Winter Year 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 - Autumn Year 2018]
  • Khamesian.Farzan Insurance Claim Classification: A new Genetic Programming Approach [ Vol.7, Issue 2 - Spring Year 2022]
  • khamseh.Elaheh Common Set of Weights Model in the Presence of Non-homogeneous Outputs [ Vol.7, Issue 4 - Autumn Year 2022]
  • khan mohammadi.Mohammad hamed Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm [ Vol.6, Issue 2 - Spring Year 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 - Summer Year 2021]
  • khan mohammadi.Mohammad hamed Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies [ Vol.9, Issue 2 - Spring Year 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 [ Vol.2, Issue 4 - Autumn Year 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 [ Vol.6, Issue 3 - Summer Year 2021]
  • Khanizadeh.Farbod Insurance Claim Classification: A new Genetic Programming Approach [ Vol.7, Issue 2 - Spring Year 2022]
  • Khazaei Harivanda.Ali Asghar Financial Reporting Readability: A new Artificial Neural Network and Multi-Indicator Decision Making Approach [ Vol.9, Issue 3 - Summer Year 2024]
  • Khazaei.Mahdi Earnings Manipulation and Adjustment Speed towards an Optimal Leverage [ Vol.6, Issue 3 - Summer Year 2021]
  • kheirollahi.farshid Modeling Liquidity Risk Management in Banking Using System Dynamics Approach [ Vol.6, Issue 3 - Summer Year 2021]
  • Kheradyar.Sina Investigating the Relationship between Political Uncertainty and Market Irregularities: With Emphasis on the Risky Information Environment [ Vol.8, Issue 1 - Winter Year 2023]
  • Khodadadi.Davood Application of the two-stage DEA model for evaluating the efficiency and investigating the relationship between managerial ability and firm performance [ Vol.5, Issue 2 - Spring Year 2020]
  • Khodadadi.Mohsen Providing an Optimal Robust Portfolio Model with Mean- CVaR Approach [ Vol.8, Issue 1 - Winter Year 2023]
  • khodaei valahzaghard.mohammad Providing a hybrid strategy based on the theory of turbulence and price acceleration in the Iranian stock market [ Vol.9, Issue 1 - Winter Year 2024]
  • Khojasteh Aliabadi.Hassan Ali Developing a model for managing the risk assessment of import declarations in customs based on data analysis techniques [ Vol.7, Issue 4 - Autumn Year 2022]
  • Khorami.Mohammad Ali Analyzing the performance of DEA models for bankruptcy prediction in the energy sector: with emphasis on Dynamic DEA approach [ Vol.8, Issue 4 - Autumn Year 2023]
  • Khorshidvand.Forogh Examining the Relationship between Corporate Governance and the Corporate Performance Valuation [ Vol.2, Issue 3 - Summer Year 2017]
  • khoshroo.alireza Measuring Economic Efficiency of Kidney Bean Production using Non-Discretionary Data Envelopment Analysis [ Vol.6, Issue 2 - Spring Year 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 - Winter Year 2020]
  • Khosravipoor.Negar Investigating the Relationship between Political Uncertainty and Market Irregularities: With Emphasis on the Risky Information Environment [ Vol.8, Issue 1 - Winter Year 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 - Autumn Year 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 - Spring Year 2022]
  • khozain.ali A Model of Investor Sentiment Based on Grounded Theory Approach [ Vol.8, Issue 4 - Autumn Year 2023]
  • khozain.ali Financial Reporting Readability: A new Artificial Neural Network and Multi-Indicator Decision Making Approach [ Vol.9, Issue 3 - Summer Year 2024]
  • Kiani.Neda Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model [ Vol.8, Issue 1 - Winter Year 2023]
  • 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 [ Vol.7, Issue 2 - Spring Year 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 - Summer Year 2020]
  • 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 - Summer Year 2022]
  • koosha.emad Predicting the Top and Bottom Prices of Bitcoin Using Ensemble Machine Learning [ Vol.8, Issue 3 - Summer Year 2023]
  • kordloei.hamidreza The Effect of Financial Distress on the Investment Behavior of Companies Listed on Tehran Stock Exchange [ Vol.3, Issue 4 - Autumn Year 2018]
  • kordlouie.hamidreza Introduction of New Risk Metric using Kernel Density Estimation Via Linear Diffusion [ Vol.7, Issue 2 - Spring Year 2022]
  • kordlouie.hamidreza Designing and Evaluating Trading Strategies Based on Algorithmic Trading in Iran's Capital Market [ Vol.8, Issue 2 - Spring Year 2023]