rabbani.mohsen
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,
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2025]
rabei.mehdi
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,
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2022]
Radenovic.Stojan
Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior
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2020]
Radfar.Mohammad Reza
Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies
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- SpringYear
2019]
raeespoor.ali
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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2018]
Raei.Reza
Analysis of Stock Market Manipulation using Generative Adversarial Nets and Denoising Auto-Encode Models
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2022]
RAFIEE.NAVID
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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2024]
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Hybrid Multilayer Perceptron Neural Network with Grey Wolf Optimization for Predicting Stock Market Index
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2021]
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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
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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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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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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2021]
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Portfolio Optimization by Means of Meta Heuristic Algorithms
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2019]
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Daily net cash flow analysis and forecasting : Transition from Microscopic to Macroscopic Stochastic Equations
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2023]
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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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The Role of Earnings Management in Economic Growth and Corporate Growth Illusion
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2021]
Rahnamay Roodposhti.Fereydoon
Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran
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2024]
Ramezani.Mehrshad
Evaluating the Impacts of Social Trust and Managers' Overself-confidence on Investment Efficiency
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2024]
Ramezanzadeh Zeidi.Abbas
The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models
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2021]
Ramzi Radchobeh.zeynab
Ambiguity Theory and Asset Pricing: Empirical Evidence from Tehran Stock Exchange
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2018]
Ranjbar.Mohamad Hosein
Providing a model for measuring the impact of economic policy uncertainty on information asymmetry
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2024]
Ranjbar.Mohamad Hosein
Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking
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2024]
Ranjbar.Mohamad Hosein
Implementation of Performance-Based Budgeting Using the Combined Technique of Best-worst Method (BWM) and Robust Optimization
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2022]
Ranjbar.Mohamad Hosein
A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach)
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2024]
Ranjbar.Mohammad Hossein
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]
Ranjbar.Mohammd Hossein
Ranking the Efficiency and Soundness of Business Banks Using a Combined Method of Data Envelopment Analysis and Fuzzy VIKOR
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- SummerYear
2021]
Rashidi.Majid
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]
Rashidi.Mohsen
CEO Risk-Taking Incentives based on Environmental Sustainability
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2020]
Rasoulian.mohsen
Using a Multi-criteria Decision-making Mathematical Tech-nique for the Influential and Interaction Factors in Pension Fund
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- AutumnYear
2022]
Rasoulian.mohsen
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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2020]
razavi ghomi.seyed behrooz
Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches
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Issue
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2024]
razavi ghomi.Seyed behrooz
Experimental Comparison of Financial Distress Prediction Models Using Imbalanced data sets
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2022]
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Improved NARX-ANFIS Network structure with Genetic Algorithm to optimizing Cash Flow of ATM Model
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2023]
Razmian.zahra
The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk
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Vol.8,
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2023]
Rekabdar.Ghasem
Partial Least Squares Analysis to Measure the Impact of Pygmalion Financial Components
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2023]
Rezaei Pitenoei.Yasser
Surplus Free Cash Flow and Earnings Management: The Moderating Role of Auditor Size
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- WinterYear
2020]
Rezaei Aghmashhadi.Masoud
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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- WinterYear
2025]
Rezaei hezaveh.Elham
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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- AutumnYear
2021]
Rezaei.Farzin
Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange
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Issue
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- AutumnYear
2018]
Rezaei.Farzin
The Role of Social Interest Rate Risk Management in the Relationship between Sustainability Performance and Investment Efficiency
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- AutumnYear
2020]
Rezaei.Farzin
Impact of Managers’ Optimism on the Relationship between Patience of Major Shareholders and Information Influence Management
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2019]
rezaei.nader
Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds
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Vol.9,
Issue
3
- SummerYear
2024]
rezaei.nader
Optimization of auditing strategies in companies listed on the Tehran Stock Exchange
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Vol.9,
Issue
1
- WinterYear
2024]
rezaei.nader
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]
rezaei.nader
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]
rezaei.nader
The Predictability Power of Neural Network and Genetic Algorithm from Fiems’ Financial crisis
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Vol.5,
Issue
2
- SpringYear
2020]
rezaei.nader
Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting
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Vol.3,
Issue
4
- AutumnYear
2018]
rezaei.nader
The Evaluation of the Capability of the Regression & Neural Network Models in Predicting Future Cash Flows
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Vol.7,
Issue
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- SpringYear
2022]
Rezaei.Nader
Optimal Banking Performance Model based on ERM
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Vol.8,
Issue
1
- WinterYear
2023]
Riyahinasab.Naser
The role of aggregate cost stickiness in unemployment rate prediction
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1
- WinterYear
2022]
roshan.seyedaligholi
Approach of Maximal Overlap Discrete Wavelet Transforms to Stock Return in the Iran Capital Market
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2
- SpringYear
2023]
Roshandel.Mohammad
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]
rostami.hossein
Impact of Managers’ Optimism on the Relationship between Patience of Major Shareholders and Information Influence Management
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Issue
3
- SummerYear
2019]
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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Issue
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- SpringYear
2016]
Rostamy.Mohsen
Using MODEA and MODM with Different Risk Measures for Portfolio Optimization
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1
- WinterYear
2020]
Rostamy.Mohsen
The sustainability radius of the cost efficiency in Interval Data Envelopment Analysis: A case study from Tehran Stocks
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Vol.7,
Issue
2
- SpringYear
2022]
Rostamy.Mohsen
A New Method for Allocating Fixed Costs with Undesirable Data: Data Envelopment Analysis Approach
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Vol.8,
Issue
1
- WinterYear
2023]
Rostamy.Mohsen
Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies
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Vol.9,
Issue
2
- SpringYear
2024]
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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Vol.9,
Issue
3
- SummerYear
2024]
Rostamy.Mohsen
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]
Rostamy.Mohsen
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]
Rouhani.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]