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  • RAFIEE.NAVID Effects of Various Influential Factors in the Realization of Social Responsibilities Based on Corporate Governance with an Emphasis on Financial Transparency [ Vol.9, Issue 4 - Autumn Year 2024]
  • rahbarimoghadm.akbar The Role of Managers' Information Interpretation on Cost Behavior [ Vol.9, Issue 4 - Autumn Year 2024]
  • rahmati.meysam Predicting Stock Price Crash Risk with a Deep Learning Approach from Artificial Intelligence and Comparing its Efficiency with Classical Predicting Methods. [ Vol.9, Issue 4 - Autumn Year 2024]
  • Rahnamay Roodposhti.Fereydoon Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran [ Vol.9, Issue 1 - Winter Year 2024]
  • Ramezani.Mehrshad Evaluating the Impacts of Social Trust and Managers' Overself-confidence on Investment Efficiency [ Vol.9, Issue 4 - Autumn Year 2024]
  • Ranjbar.Mohamad Hosein Presenting a model of the relationship between monetary policies, capital structure and banks' risk-taking [ Vol.9, Issue 1 - Winter Year 2024]
  • Ranjbar.Mohamad Hosein Providing a model for measuring the impact of economic policy uncertainty on information asymmetry [ Vol.9, Issue 1 - Winter Year 2024]
  • Ranjbar.Mohamad Hosein A Study of the Effective Factors on Error of Forecasting Technical Analysis Indicators in Iran Stock Exchange (NNARX Approach) [ Vol.9, Issue 1 - Winter Year 2024]
  • Ranjbar.Mohammad Hossein Asymmetric Cost Behavior, Industry Type, and Levels of Conservatism (Comparative Study of Non-Operating Accrual, Basu, and Market Value Models) [ Vol.9, Issue 2 - Spring Year 2024]
  • Rasoulian.mohsen Central Bank Transparency and Capital Market Reaction: A Systematic Review [ Vol.9, Issue 2 - Spring Year 2024]
  • razavi ghomi.seyed behrooz Developing Financial Distress Prediction Models Based on Imbalanced Dataset: Random Undersampling and Clustering Based Undersampling Approaches [ Vol.9, Issue 3 - Summer Year 2024]
  • rezaei.nader Optimization of auditing strategies in companies listed on the Tehran Stock Exchange [ Vol.9, Issue 1 - Winter Year 2024]
  • rezaei.nader Comparing the Performance of Machine Learning Techniques in Detecting Financial Frauds [ Vol.9, Issue 3 - Summer Year 2024]
  • rezaei.nader Providing the optimal model for stock selection based on momentum, reverse and hybrid trading strategies [ Vol.9, Issue 2 - Spring Year 2024]
  • Roshandel.Mohammad Measuring the Credit Risk of Bank Based on Z-Score And KMV- Merton Models: Evidence from Iran [ Vol.9, Issue 1 - Winter Year 2024]
  • Rostamy.Mohsen Patterning Mergers and Acquisitions by Network Data Envelopment Analysis in the Iranian Insurance Companies [ Vol.9, Issue 2 - Spring Year 2024]
  • 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 [ Vol.9, Issue 3 - Summer Year 2024]
  • Rostamy.Mohsen Computing the Efficiency of Bank Branches with Financial Indexes, an Application of Data Envelopment Analysis (DEA) and Big Data [ Vol.9, Issue 3 - Summer Year 2024]