Mashayekhi.Sima
Alternating Direction Explicit Method for a Nonlinear Model in Finance
[
Vol.6,
Issue
4
- AutumnYear
2021]
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]
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
[
Vol.6,
Issue
2
- SpringYear
2021]
mirjamali mehrabadi.monir sadat
Factors Affecting Stock Prices Regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange
[
Vol.6,
Issue
3
- SummerYear
2021]
Mirlohi.Seyed Mojtaba
Higher moments portfolio Optimization with unequal weights based on Generalized Capital Asset pricing model with independent and identically asymmetric Power Distribution
[
Vol.6,
Issue
2
- SpringYear
2021]
Mirzaei.Seyed Ahmad
Hybrid Multilayer Perceptron Neural Network with Grey Wolf Optimization for Predicting Stock Market Index
[
Vol.6,
Issue
4
- AutumnYear
2021]
Moazami goudarzi.mohammad reza
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.
[
Vol.6,
Issue
1
- WinterYear
2021]
Mohaghegh Niya.Mohammad Javad
The effect of effective governance and quality of regulations on financial development in the current economic conditions of Iran
[
Vol.6,
Issue
4
- AutumnYear
2021]
Mohamadghasemi.Amir
A CRITIC-based improved version for multiple criteria ABC inventory classification
[
Vol.6,
Issue
4
- AutumnYear
2021]
Mohamadi.Mohamad Mehdi
To Study The Effect of Investor Protection on Future Stock Price Crash Risk
[
Vol.6,
Issue
2
- SpringYear
2021]
mohamadi.yadegar
The Effect of Macroeconomic Variables on Stock Portfolio Performance Based on Traditional and Modern Network
[
Vol.6,
Issue
3
- SummerYear
2021]
mohammaddoost.ahmad
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]
Mohammadi.Esfandiar
The Effect of Macroeconomic Variables on Stock Portfolio Performance Based on Traditional and Modern Network
[
Vol.6,
Issue
3
- SummerYear
2021]
mohammadi.mahmood
Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm
[
Vol.6,
Issue
2
- SpringYear
2021]
mohammadi.mahmoud
Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm
[
Vol.6,
Issue
2
- SpringYear
2021]
mohammadipour.Rahmatolah
Using Contingency Approach to Improve Firms’ Financial Performance Forecasts
[
Vol.6,
Issue
2
- SpringYear
2021]
moslemi.azar
Ranking of Banks’ Risk Reporting Using Data Envelopment Analysis
[
Vol.6,
Issue
4
- AutumnYear
2021]
Motahari Kia.Sahar
Institutional Ownership, Business Cycles and Earnings Informativeness of Income Smoothing: Evidence from Iran
[
Vol.6,
Issue
2
- SpringYear
2021]
Mousanezhad.Saman
Using Contingency Approach to Improve Firms’ Financial Performance Forecasts
[
Vol.6,
Issue
2
- SpringYear
2021]