abbasi.ebrahim
Designing and explaining the structural model of the financial agility of the supply chain process of companies through the structural equation modeling approach
[
Vol.3,
Issue
7
- SummerYear
1401]
abbedi.mohammad
Investigating the effect of economic uncertainty on the relationship between comparability of financial statements and the stock price crash riskon Tehran Stock Exchange
[
Vol.2,
Issue
4
- AutumnYear
1400]
Abdi.Majid
Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters
[
Vol.3,
Issue
8
- AutumnYear
1401]
abdi.rasoul
The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment
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Vol.4,
Issue
4
- WinterYear
1402]
abdigolzar.bahman
The Effect of Moral Hazard of Managers on the Stock Illiquidity and Firm Value with Emphasis on Corporate Governance Mechanisms
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Vol.2,
Issue
5
- WinterYear
1400]
afsharian.mojtaba
Designing a native model for the development of the country's banking industry: a qualitative analysis based on foundational data theorizing
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Vol.5,
Issue
4
- WinterYear
1403]
Aghdam Mazraeh.Yaghoub
The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment
[
Vol.4,
Issue
4
- WinterYear
1402]
Ahadi Serkani.Seyed Yousef
The quality and effectiveness of the proceedings of official judicial experts in the field of accounting and auditing
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Vol.5,
Issue
3
- AutumnYear
1403]
Ahmadian.Davood
Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers
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Vol.5,
Issue
3
- AutumnYear
1403]
ahmadian.vahid
The effect of personality traits on investment decisions with the mediating role of risk tolerance
[
Vol.5,
Issue
1
- SpringYear
1403]
Ahmadian.Vahid
Improving the performance of Fama - French models in predicting expected returns by offering new definitions of risk factors in the Tehran stock exchange
[
Vol.3,
Issue
9
- WinterYear
1401]
Ahmadian.Vahid
Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers
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Vol.5,
Issue
3
- AutumnYear
1403]
ahmadikhatir.hossein
Factors to identify the financial effect in the social security organization's performance evaluation system with a textual analytical approach
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Vol.4,
Issue
3
- AutumnYear
1402]
Akbari Moghaddam.Hossein
The role of research and development costs on the relationship between financial constraints and profit sharing on the value of pharmaceutical companies accepted in Tehran Stock Exchange
[
Vol.3,
Issue
7
- SummerYear
1401]
aliahamdi.saeid
Investigating the impact of financial fallacies on the judgment of financial analysts
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Vol.5,
Issue
3
- AutumnYear
1403]
ALIAHMADI.SAEED
Comparison of the Power of Explaining Theory of Clean Surplus and Prospect Theory in Companies Listed of Tehran Stock Exchange
[
Vol.4,
Issue
3
- AutumnYear
1402]
Alimoradi.Mohamad
Investigating the impact of financial fallacies on the judgment of financial analysts
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Vol.5,
Issue
3
- AutumnYear
1403]
alizadeh.heidar
Auditor rotation, disclosure of key audit issues and financial reporting quality
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Vol.5,
Issue
4
- WinterYear
1403]
ALIZADEH.HOSSEIN
Ability of Machine Learning Algorithms and Artificial Neural Networks in Predicting Accounting Profit Information Content Before Announcing
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Vol.4,
Issue
2
- SummerYear
1402]
Allami.Mahshid
The Effect of Momentum on the Disposition Effect and Expected Stock Returns in the Framework of Prospect Theory and Mental Accounting Theory
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Vol.2,
Issue
5
- WinterYear
1400]
aminizadeh.mohammadmahdi
Investigating the effect of perceived past returns on investing in risky stocks considering the role mediation by the ostrich
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Vol.5,
Issue
2
- SummerYear
1403]
asadollahi.seyyed yahya
The effect of dividend policy on the financial stability of Iranian banks
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Vol.4,
Issue
2
- SummerYear
1402]
Askarzadeh.Azizollah
Designing a wisdom model in promoting thick decision-making in the capital market
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Vol.5,
Issue
2
- SummerYear
1403]
Askarzadeh.Gholamreza
Information ambiguity and its effect on stock price synchronicity during the life cycle stages of companies
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Vol.5,
Issue
3
- AutumnYear
1403]
aslizadeh.ahmad
Dynamic analysis of the performance of the iranian banking system in uncertainty condition
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Vol.3,
Issue
8
- AutumnYear
1401]
Azadeh.Soheila
Dynamic analysis of the performance of the iranian banking system in uncertainty condition
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Vol.3,
Issue
8
- AutumnYear
1401]
Azadi.Keyhan
Investigating the efficiency internal capital markets of business groups in allocating resources and performance; the effect of ownership-control wedge and product Market competition
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Vol.4,
Issue
2
- SummerYear
1402]
azarberahman.alireza
Examining the relationship between the characteristics and expertise of the board of directors and sustainability performance in companies listed on the Tehran stock exchange
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Vol.4,
Issue
1
- SpringYear
1402]
azarberahman.alireza
Investigating the Relationship between herding Behavior Bias and Value of Companies in the Chemical Products Industry of Tehran Stock Exchange
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Vol.1,
Issue
1
- WinterYear
1399]
Azinfar.Arash
Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality.
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Vol.2,
Issue
5
- WinterYear
1400]
B
Badeie.Afshin
Comparison of the Power of Explaining Theory of Clean Surplus and Prospect Theory in Companies Listed of Tehran Stock Exchange
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Vol.4,
Issue
3
- AutumnYear
1402]
Bagheri.atefeh
Clarification of a profitable trading system based on dynamic analysis
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Vol.3,
Issue
6
- SpringYear
1401]
Bagherzadeh.Mohammad Reza
Factors to identify the financial effect in the social security organization's performance evaluation system with a textual analytical approach
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Vol.4,
Issue
3
- AutumnYear
1402]
bahreini.adeleh
Developing an LSTM neural network model for predicting blocktrade transaction valuation
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Vol.4,
Issue
4
- WinterYear
1402]
bahri.jamal
Presenting the developed model of benish model with emphasis on audit quality fea-tures using neural network, vector machine and random forest
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Vol.3,
Issue
6
- SpringYear
1401]
bahrisales.jamal
Effective specific corporate characteristics on the stock price crash risk
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Vol.4,
Issue
2
- SummerYear
1402]
Bakhshian.Asal
Assessing the credibility of auditors using artificial neural network
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Vol.5,
Issue
1
- SpringYear
1403]
Bakhtiarian.Farideh
Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model
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Vol.4,
Issue
3
- AutumnYear
1402]
Banitalebi Dehkordi.Bahareh
The role of digital innovation in financial markets from the perspective of knowledge and presentation of the proposed model
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Vol.4,
Issue
1
- SpringYear
1402]
Bavarsad.Belqis
Investigating the relationship between green management and economic performance, environmental performance and social performance (a study of companies active in the petrochemical industry)
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Vol.2,
Issue
4
- AutumnYear
1400]
Bekhradi Nasab.Vahid
Investigating the Mediating Role of Dividend Policy on the Relationship Between Corporate Governance and Free Cash Flow
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Vol.1,
Issue
1
- WinterYear
1399]
Boostani.Abtin
Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment
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Vol.4,
Issue
1
- SpringYear
1402]
D
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Investigating the effect of emotional tendency and mass behavior of shareholders on the risk of falling stock prices
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Vol.4,
Issue
3
- AutumnYear
1402]
Davani.Abdollah
Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model
[
Vol.4,
Issue
3
- AutumnYear
1402]
Davoodi.Sayyed Mohammad Reza
Clarification of a profitable trading system based on dynamic analysis
[
Vol.3,
Issue
6
- SpringYear
1401]
Davoodi.Sayyed Mohammad Reza
Optimal hedging of quantitative risk based on Markov regime change in coin futures contract
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Vol.4,
Issue
2
- SummerYear
1402]
Davoodifar.Nasim
Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm
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Vol.2,
Issue
5
- WinterYear
1400]
Davoudi Nasr.Majid
The role of mutual information content of profit from market indices in the synchronicity of returns and portfolio performance with the mutual entropy approach
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Vol.4,
Issue
4
- WinterYear
1402]
Dehnad.Kazem
Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment
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Vol.4,
Issue
1
- SpringYear
1402]
Dehnad.Kazem
Analytical investigation in the evolution of financial literacy and financial behavior: a bibliometric approach
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Vol.3,
Issue
7
- SummerYear
1401]
Doaei.Meysam
Modeling investor tendencies with emphasis on psychological factors by fuzzy Delphi and DEMATEL methods
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Vol.2,
Issue
5
- WinterYear
1400]
Doaei.Meysam
Growth opportunity and investment policy considering the role of managerial incentives in Iran's capital market
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Vol.5,
Issue
2
- SummerYear
1403]
E
Ebadati.Omid Mahdi
Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm
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Vol.2,
Issue
5
- WinterYear
1400]
ebrahimi sarve olia.mohammad hasan
Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries
[
Vol.2,
Issue
2
- SpringYear
1400]
Ebrahimi Shaghaghi.Marzieh
Investigation relationship between stock liquidity, empire building and firms’ value
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Vol.5,
Issue
2
- SummerYear
1403]
Ebrahimi.Mousa
The role of research and development costs on the relationship between financial constraints and profit sharing on the value of pharmaceutical companies accepted in Tehran Stock Exchange
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Vol.3,
Issue
7
- SummerYear
1401]
emamverdi,.Ghodrat alah
Modeling Solvency of insurance companies over time
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Vol.5,
Issue
4
- WinterYear
1403]
Enayatpour Shiadeh.Ebrahim
Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality.
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Vol.2,
Issue
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- WinterYear
1400]
Enayatpour Shiadeh.Ebrahim
Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality.
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Vol.2,
Issue
5
- WinterYear
1400]
Eskandari.Rasol
Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
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Vol.5,
Issue
2
- SummerYear
1403]
Eskandari.Raziyeh
Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
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Vol.5,
Issue
2
- SummerYear
1403]
Eslami Mofid Abadi.Hossein
Investigation relationship between stock liquidity, empire building and firms’ value
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Vol.5,
Issue
2
- SummerYear
1403]
F
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Regime Dependent Effects and Cyclical Volatility Spillover of Exchange Rate and Stock Prices in Iran
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Vol.2,
Issue
4
- AutumnYear
1400]
fallah.mirfeiz
Investigating the dynamic contagion effect of the turbulence cycle between the gold futures market and the exchange rate using GARCH-BEKK, markov switching, and structural VAR models
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Vol.4,
Issue
4
- WinterYear
1402]
Fallahshams.Mirfeiz
Designing And Explaining the Assessment Model of Banks' Risk-taking From the Conditions of Monetary Policy Uncertainty
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Vol.5,
Issue
4
- WinterYear
1403]
Fathi.Kiamars
Dentify the factors financial risk management in the automotive industry using the dimatel technique
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Vol.2,
Issue
3
- SummerYear
1400]
fazlzadeh.alireza
Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers
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Vol.5,
Issue
3
- AutumnYear
1403]
Fazlzadeh.Alireza
Improving the performance of Fama - French models in predicting expected returns by offering new definitions of risk factors in the Tehran stock exchange
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Vol.3,
Issue
9
- WinterYear
1401]
Fazlzadeh.Alireza
The effect of personality traits on investment decisions with the mediating role of risk tolerance
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Vol.5,
Issue
1
- SpringYear
1403]
Filsaraei.Mahdi
Examining the effect of product market competition on capital structure adjustment speed considering the moderating role of CEO extroversion
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Vol.4,
Issue
2
- SummerYear
1402]
G
gavara.Maryam
An analysis of the volatility and return spillover of venture capital ETFs in the Tehran Stock Exchange
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Vol.5,
Issue
1
- SpringYear
1403]
Ghadimi.Fatemeh
Investigating the impact of financial fallacies on the judgment of financial analysts
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Vol.5,
Issue
3
- AutumnYear
1403]
ghafari ashtiani.peyman
Presenting a model for the implementation of fintech in the banking industry of Iran
[
Vol.3,
Issue
7
- SummerYear
1401]
ghamari moghaddam.amin
The relationship among the cash components of profit, the stability of profit and the probability of bankruptcy of companies listed in Tehran Stock Exchange
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Vol.3,
Issue
8
- AutumnYear
1401]
Ghandi.Hamid
Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment
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Vol.4,
Issue
1
- SpringYear
1402]
Ghasemi.Ghasem
The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry
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Vol.3,
Issue
6
- SpringYear
1401]
Ghayour.Seyed moteza
Investigating the effect of technical, organizational, and environmental factors on financial performance with the mediating role of social media in Toos Industrial Zone companies in Mashhad
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Vol.3,
Issue
8
- AutumnYear
1401]
Ghodrati.قدرتی
Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
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Vol.5,
Issue
2
- SummerYear
1403]
Gholam Abri.Amir
Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters
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Vol.3,
Issue
8
- AutumnYear
1401]
Gholami Jamkarani.Reza
Investigating the dynamic contagion effect of the turbulence cycle between the gold futures market and the exchange rate using GARCH-BEKK, markov switching, and structural VAR models
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Vol.4,
Issue
4
- WinterYear
1402]
Gholami.Mohammad
Presenting a model for the implementation of fintech in the banking industry of Iran
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Vol.3,
Issue
7
- SummerYear
1401]
Ghorbani.Dariush
Developing a model to improve the credit of companies based on financial reporting and social responsibilities
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Vol.4,
Issue
1
- SpringYear
1402]
ghorbani.marjan
The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk
[
Vol.5,
Issue
2
- SummerYear
1403]
Ghoroghi.Majid
The role of operational risk events database in bank risk management
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Vol.3,
Issue
6
- SpringYear
1401]
Golami-Jamkarani.Reza
Disclosure of information in the capital market, challenges and harms
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Vol.4,
Issue
1
- SpringYear
1402]
Golami-Jamkarani.Reza
Analytical investigation in the evolution of financial literacy and financial behavior: a bibliometric approach
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Vol.3,
Issue
7
- SummerYear
1401]
Golsorkh Abadi.Fatemeh
Investigating the effect of technical, organizational, and environmental factors on financial performance with the mediating role of social media in Toos Industrial Zone companies in Mashhad
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Vol.3,
Issue
8
- AutumnYear
1401]
Gorganli Davaji. Jomadoordi
Identify and rank the components of social responsibility disclosure and provide an indigenous model
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Vol.5,
Issue
1
- SpringYear
1403]
Gorganli Doji.Jamadordi
Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach
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Vol.5,
Issue
2
- SummerYear
1403]
Gorjizadeh.Davoud
Future studies the role of factors determining of managers' fraud through the use of the fraud diamond model
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Vol.4,
Issue
2
- SummerYear
1402]
Goudarzi.Mahsa
Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries
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Vol.2,
Issue
2
- SpringYear
1400]
H
hajatpour.pjman
Presenting the development model of technological start-ups in companies admitted to the Tehran Stock Exchange for the dynamics of extra-organizational management mechanisms
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Vol.5,
Issue
1
- SpringYear
1403]
Hajiha.Zohreh
Auditor rotation, disclosure of key audit issues and financial reporting quality
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Vol.5,
Issue
4
- WinterYear
1403]
hallaji.shiva
Forecasting volatility in Exchange Traded Funds in the Tehran Exchange (ETF) using realized volatility jump models (HAR, HAR-J, HARQ, HARQ-J)
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Vol.5,
Issue
3
- AutumnYear
1403]
hashemi.sayed amir reza
Optimal hedging of quantitative risk based on Markov regime change in coin futures contract
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Vol.4,
Issue
2
- SummerYear
1402]
Hashemizadeh.Elhamsadat
Examining the efficiency of optimization models of multi objective genetic algorithm and particle swarm algorithm under the risk criteria of conditional value at risk and mean smai variance in determining the optimal stock portfolio
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Vol.4,
Issue
4
- WinterYear
1402]
hashemzadeh.ghalamreza
Dentify the factors financial risk management in the automotive industry using the dimatel technique
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Vol.2,
Issue
3
- SummerYear
1400]
Hassani.Mohammad
The Mediator role of Information Asymmetry in Imperfect Competition Market on the relation between Earnings Forecast Bias & Idiosyncratic Risk derived from Capital Assets Pricing Model
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Vol.1,
Issue
1
- WinterYear
1399]
Hassani.Mohammad
Cost of equity capital: the role of stakeholders’ rights protection in moderating financial information risk
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Vol.4,
Issue
1
- SpringYear
1402]
hazaveh.ali
A review of investment ethics with the approach of financial crises
[
Vol.3,
Issue
9
- WinterYear
1401]
heidari haratemeh.mostafa
The Miderating Effect of Bilateral Investment Treaty Stringency on the Relationship between Political Instability and Subsidiary Ownership
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Vol.2,
Issue
5
- WinterYear
1400]
heidari.nima
The use of support vector machine and Naive Bayes algorithms and its combination with risk measure and fuzzy theory in the selection of stock portfolio
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Vol.4,
Issue
4
- WinterYear
1402]
Hesari.Javad
Investigating The Relationship between XBRL Voluntary Disclosure and Stock Market Valuation and The Role of Corporate Governance of listed companies in Tehran Stock Exchange (TSE)
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Vol.1,
Issue
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- WinterYear
1399]
Hoseini.Hosein
The effect of Business intelligence tools on raising the efficiency of modern management accounting
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Vol.2,
Issue
2
- SpringYear
1400]
hoseinimasoom.mohammadreza
The moderating effect of research and development costs on the relationship between environmental performance and financial performance Tehran Stock Exchange companies
[
Vol.3,
Issue
7
- SummerYear
1401]
Hosseini.Seyedeh Atefeh
Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters
[
Vol.3,
Issue
8
- AutumnYear
1401]
I
Imani.Somayyeh
Explanation of the comprehensive pattern of bankruptcy
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Vol.4,
Issue
3
- AutumnYear
1402]
Izadi.Hosein
Dynamic multi-scale expected shortfall in Tehran Stock Exchange: a spectral decomposition of tail risk across time horizons
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Vol.3,
Issue
9
- WinterYear
1401]
J
Jabari Khouzani.arezo
Designing the behavioral bias pattern of investors with theme analysis and fuzzy interpretive-Delphi structural approach
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Vol.3,
Issue
9
- WinterYear
1401]
Jabari Khouzani.arezo
Investigating the effect of economic uncertainty on the relationship between comparability of financial statements and the stock price crash riskon Tehran Stock Exchange
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Vol.2,
Issue
4
- AutumnYear
1400]
Jabarvand Behrouz.Maryam
Cost of equity capital: the role of stakeholders’ rights protection in moderating financial information risk
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Vol.4,
Issue
1
- SpringYear
1402]
jabbarzadeh kangarluei.saeid
Effective specific corporate characteristics on the stock price crash risk
[
Vol.4,
Issue
2
- SummerYear
1402]
Jafari.Ali
The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment
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Vol.4,
Issue
4
- WinterYear
1402]
Jafari.Ali
Presenting model audit report credibility: A qualitative approach
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Vol.5,
Issue
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- WinterYear
1403]
jafari.mahbobeh
Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies
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Vol.3,
Issue
9
- WinterYear
1401]
Jafari.Mohammad Ali
Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm
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Vol.2,
Issue
5
- WinterYear
1400]
Jahangir nia.Hossein
Investigating the dynamic contagion effect of the turbulence cycle between the gold futures market and the exchange rate using GARCH-BEKK, markov switching, and structural VAR models
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Vol.4,
Issue
4
- WinterYear
1402]
Jahanshad.Azita
Experimental test of contingency theory and political economy: development of a model to explain the impact of the main factors of development on the effectiveness of management accounting techniques
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Vol.5,
Issue
1
- SpringYear
1403]
Jamshidinavid.Babak
Corporate Social Responsibility and Compare Financial Statements
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Vol.2,
Issue
2
- SpringYear
1400]
K
Kaab Omeir.Ahmad,
Designing the behavioral bias pattern of investors with theme analysis and fuzzy interpretive-Delphi structural approach
[
Vol.3,
Issue
9
- WinterYear
1401]
kamali.hamideh
Study of identifying barriers to the optimal establishment of activity-based pricing systems in listed companies
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Vol.2,
Issue
3
- SummerYear
1400]
karami chamgordani.marzieh
Optimal hedging of quantitative risk based on Markov regime change in coin futures contract
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Vol.4,
Issue
2
- SummerYear
1402]
karami taleghani.Faramarz
Investigating the efficiency internal capital markets of business groups in allocating resources and performance; the effect of ownership-control wedge and product Market competition
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Vol.4,
Issue
2
- SummerYear
1402]
Karami.Ahmad
The role of operational risk events database in bank risk management
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Vol.3,
Issue
6
- SpringYear
1401]
kargar.omid
Information ambiguity and its effect on stock price synchronicity during the life cycle stages of companies
[
Vol.5,
Issue
3
- AutumnYear
1403]
Karimi Khorrami.Asghar
The effect of institutional quality on the relationship between corruption control and stock market development in selected countries
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Vol.5,
Issue
4
- WinterYear
1403]
Khajavi.shokrollah
Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance
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Vol.2,
Issue
3
- SummerYear
1400]
khakzar Bafruei.Morteza
Dynamic analysis of the performance of the iranian banking system in uncertainty condition
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Vol.3,
Issue
8
- AutumnYear
1401]
khan mohammadi.Mohammad hamed
The role of operational risk events database in bank risk management
[
Vol.3,
Issue
6
- SpringYear
1401]
khan mohammadi.Mohammad hamed
Future studies the role of factors determining of managers' fraud through the use of the fraud diamond model
[
Vol.4,
Issue
2
- SummerYear
1402]
Khani.Reza
The Relationship between Audit Quality and Stock Price Delay with Moderating Role of Information Asymmetry
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Vol.2,
Issue
2
- SpringYear
1400]
Khlilzade.Reza
Designing and explaining the structural model of the financial agility of the supply chain process of companies through the structural equation modeling approach
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Vol.3,
Issue
7
- SummerYear
1401]
Khodamipour.Ahmad
The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry
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Vol.3,
Issue
6
- SpringYear
1401]
Khodamipour.Ahmad
Investigating the effect of perceived past returns on investing in risky stocks considering the role mediation by the ostrich
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Vol.5,
Issue
2
- SummerYear
1403]
Khorramabadi.Mehdi
A review of foreign researches in the field of auditor independence and audit quality
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Vol.2,
Issue
4
- AutumnYear
1400]
Kiani deh kiani.Masoud
Presenting model audit report credibility: A qualitative approach
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Vol.5,
Issue
4
- WinterYear
1403]
kiyani.fatemeh
Investigating the effect of economic uncertainty on the relationship between comparability of financial statements and the stock price crash risk in Tehran Stock Exchange
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Vol.2,
Issue
4
- AutumnYear
1400]
kohandel.zahra
The role of management accounting in banks
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Vol.3,
Issue
8
- AutumnYear
1401]
L
Laalbar.Ali
Meta-analysis of the effect of information disclosure on market reaction
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Vol.3,
Issue
9
- WinterYear
1401]
M
Madanchi Zaj.Mahdi
Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards
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Vol.3,
Issue
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- AutumnYear
1401]
Madanchi Zaj.Mahdi
Dynamic GAS Based Modeling for Predicting and Assessing the Value at Risk of Tehran Stock Exchange Index and Bitcoin
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Vol.3,
Issue
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- SummerYear
1401]
Madanchi Zaj.Mahdi
Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
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Vol.5,
Issue
2
- SummerYear
1403]
Madanchi Zaj.Mahdi
A review of investment ethics with the approach of financial crises
[
Vol.3,
Issue
9
- WinterYear
1401]
Madanchi Zaj.Mahdi
Forecasting volatility in Exchange Traded Funds in the Tehran Exchange (ETF) using realized volatility jump models (HAR, HAR-J, HARQ, HARQ-J)
[
Vol.5,
Issue
3
- AutumnYear
1403]
mahmoodikhoshroo.omid
The modeling the fixed asset investing with a machine learning approach by emphasizing the role of regulatory criteria
[
Vol.5,
Issue
3
- AutumnYear
1403]
Mahmoodirad.Ali
Evaluation of the optimal portfolio portfolio using market criteria using multi-criteria decision criteria under conditions of uncertanty in the Iranian capital market
[
Vol.3,
Issue
6
- SpringYear
1401]
Mahmoodirad.Ali
Investigating the contrarian trading strategy performance in the Tehran stock exchange based on the firm's risk criteria
[
Vol.4,
Issue
1
- SpringYear
1402]
Mansouri.Maryam
Corporate Social Responsibility and Compare Financial Statements
[
Vol.2,
Issue
2
- SpringYear
1400]
maryami yaghoubian.morteza
Designing paradigmatic model of investors' behavior at the capital market with an emphasis on local indicators
[
Vol.4,
Issue
3
- AutumnYear
1402]
matin.somayeh
The effect of dividend policy on the financial stability of Iranian banks
[
Vol.4,
Issue
2
- SummerYear
1402]
Memari.Hadi
Investigating the effect of macroeconomic factors on cash holding in Tehran stock exchange
[
Vol.4,
Issue
3
- AutumnYear
1402]
MIRANI.ABDOLAZIZ
Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards
[
Vol.3,
Issue
8
- AutumnYear
1401]
mirbargkar.seyed mozafar
Investigating the effect of macroeconomic factors on cash holding in Tehran stock exchange
[
Vol.4,
Issue
3
- AutumnYear
1402]
Mohammadi Noodeh.Fazel
Designing a native model for the development of the country's banking industry: a qualitative analysis based on foundational data theorizing
[
Vol.5,
Issue
4
- WinterYear
1403]
mohammadi.danial
The use of support vector machine and Naive Bayes algorithms and its combination with risk measure and fuzzy theory in the selection of stock portfolio
[
Vol.4,
Issue
4
- WinterYear
1402]
mohammadi.emran
The use of support vector machine and Naive Bayes algorithms and its combination with risk measure and fuzzy theory in the selection of stock portfolio
[
Vol.4,
Issue
4
- WinterYear
1402]
Mohammadnejad Aghdam.Ali
Improving the performance of Fama - French models in predicting expected returns by offering new definitions of risk factors in the Tehran stock exchange
[
Vol.3,
Issue
9
- WinterYear
1401]
mola alizade zavardehi.saber
Evaluation of the optimal portfolio portfolio using market criteria using multi-criteria decision criteria under conditions of uncertanty in the Iranian capital market
[
Vol.3,
Issue
6
- SpringYear
1401]
mola alizade zavardehi.saber
Investigating the relationship between green management and economic performance, environmental performance and social performance (a study of companies active in the petrochemical industry)
[
Vol.2,
Issue
4
- AutumnYear
1400]
mola alizade zavardehi.saber
Presenting the development model of technological start-ups in companies admitted to the Tehran Stock Exchange for the dynamics of extra-organizational management mechanisms
[
Vol.5,
Issue
1
- SpringYear
1403]
mola alizade zavardehi.saber
Designing a wisdom model in promoting thick decision-making in the capital market
[
Vol.5,
Issue
2
- SummerYear
1403]
moradi. majid
The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk
[
Vol.5,
Issue
2
- SummerYear
1403]
Moradi.Sanaz
The Mediator role of Information Asymmetry in Imperfect Competition Market on the relation between Earnings Forecast Bias & Idiosyncratic Risk derived from Capital Assets Pricing Model
[
Vol.1,
Issue
1
- WinterYear
1399]
mosavian.abbas
Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards
[
Vol.3,
Issue
8
- AutumnYear
1401]
Mousavi Sarhadi.Seyed Ali
Dynamic multi-scale expected shortfall in Tehran Stock Exchange: a spectral decomposition of tail risk across time horizons
[
Vol.3,
Issue
9
- WinterYear
1401]
mousavi shiri.mahmud
Income Distribution Management using Logistics and Fermi-Dirac Distribution in iran
[
Vol.2,
Issue
4
- AutumnYear
1400]
N
nafari.neda
The role of management accounting in banks
[
Vol.3,
Issue
8
- AutumnYear
1401]
naghdi.sajad
The effect of personality traits on investment decisions with the mediating role of risk tolerance
[
Vol.5,
Issue
1
- SpringYear
1403]
Najafi Moghadam.Ali
Designing paradigmatic model of investors' behavior at the capital market with an emphasis on local indicators
[
Vol.4,
Issue
3
- AutumnYear
1402]
najafy.somayeh
Investigation relationship between stock liquidity, empire building and firms’ value
[
Vol.5,
Issue
2
- SummerYear
1403]
nakhae.samane
The effect of zombie firms on the cost of debt financing with emphasis on the role of state ownership
[
Vol.3,
Issue
8
- AutumnYear
1401]
Nakhaei.Habibollah
The relationship among the cash components of profit, the stability of profit and the probability of bankruptcy of companies listed in Tehran Stock Exchange
[
Vol.3,
Issue
8
- AutumnYear
1401]
navidi.ensieh
The effect of managers' experience and influence on the relationship between fraudulent financial statements and the quality of financial reporting of companies listed on the Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
Nazari.Zahra
An analysis of the volatility and return spillover of venture capital ETFs in the Tehran Stock Exchange
[
Vol.5,
Issue
1
- SpringYear
1403]
Nourollahzadeh.Nowrouz
Modeling Solvency of insurance companies over time
[
Vol.5,
Issue
4
- WinterYear
1403]
O
Ojaghi.Javad
The role of management accounting in banks
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Vol.3,
Issue
8
- AutumnYear
1401]
Oskou.Vahid
The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk
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Vol.5,
Issue
2
- SummerYear
1403]
P
Pakdelan.Saeed
Examining the relationship between the characteristics and expertise of the board of directors and sustainability performance in companies listed on the Tehran stock exchange
[
Vol.4,
Issue
1
- SpringYear
1402]
Pakdelan.Saeed
Investigating the Relationship between herding Behavior Bias and Value of Companies in the Chemical Products Industry of Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
panahian.hosein
Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
[
Vol.5,
Issue
2
- SummerYear
1403]
Peymany Foroushany.Moslem
Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries
[
Vol.2,
Issue
2
- SpringYear
1400]
Pishbin.seyed amir mohammad
Impact of stock price crash risk on the CEO's future power
[
Vol.3,
Issue
6
- SpringYear
1401]
Poshtdar.Danial
Modeling Solvency of insurance companies over time
[
Vol.5,
Issue
4
- WinterYear
1403]
pouresgandar raziabad.arezou
The effect of personality traits on investment decisions with the mediating role of risk tolerance
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Vol.5,
Issue
1
- SpringYear
1403]
pourgadim.kiumars
Presenting the developed model of benish model with emphasis on audit quality fea-tures using neural network, vector machine and random forest
[
Vol.3,
Issue
6
- SpringYear
1401]
Q
Qashqai.Ebrahim
Investigating the contrarian trading strategy performance in the Tehran stock exchange based on the firm's risk criteria
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Vol.4,
Issue
1
- SpringYear
1402]
R
Rafiee.Saleh
Examining the relationship between the characteristics and expertise of the board of directors and sustainability performance in companies listed on the Tehran stock exchange
[
Vol.4,
Issue
1
- SpringYear
1402]
rahimi.rahman
Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies
[
Vol.3,
Issue
9
- WinterYear
1401]
Rahmanian Koushkaki.Abdolrasoul
The effect of managers' experience and influence on the relationship between fraudulent financial statements and the quality of financial reporting of companies listed on the Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
Rahnamay Roodposhti.Fereydoon
The Impact of Corporate Strategy on Capital Structure in Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
Rahnamay Roodposhti.Fereydoon
Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards
[
Vol.3,
Issue
8
- AutumnYear
1401]
Rahnamay Roodposhti.Fereydoon
Risk management in halal business: a new model of value creation
[
Vol.2,
Issue
5
- WinterYear
1400]
Rajabdorri.Hossein
The Relationship between Audit Quality and Stock Price Delay with Moderating Role of Information Asymmetry
[
Vol.2,
Issue
2
- SpringYear
1400]
Rasti.Fatemeh
A Review of Research on Financial Time Series Clustering: A Bibliometrics Approach
[
Vol.2,
Issue
2
- SpringYear
1400]
REZAEE.MOHAMMAD SALEH
Dentify the factors financial risk management in the automotive industry using the dimatel technique
[
Vol.2,
Issue
3
- SummerYear
1400]
Rezaei.GholamReza
Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance
[
Vol.2,
Issue
3
- SummerYear
1400]
Rostamkhanj.Roya
The effect of Business intelligence tools on raising the efficiency of modern management accounting
[
Vol.2,
Issue
2
- SpringYear
1400]
S
Saadati.Ehsan
Future studies the role of factors determining of managers' fraud through the use of the fraud diamond model
[
Vol.4,
Issue
2
- SummerYear
1402]
Saeidi.Hadi
The moderating effect of research and development costs on the relationship between environmental performance and financial performance Tehran Stock Exchange companies
[
Vol.3,
Issue
7
- SummerYear
1401]
Saeidi.Hadi
Investigating The Relationship between XBRL Voluntary Disclosure and Stock Market Valuation and The Role of Corporate Governance of listed companies in Tehran Stock Exchange (TSE)
[
Vol.1,
Issue
1
- WinterYear
1399]
saeidi.parviz
Identify and rank the components of social responsibility disclosure and provide an indigenous model
[
Vol.5,
Issue
1
- SpringYear
1403]
saeidi.parviz
Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach
[
Vol.5,
Issue
2
- SummerYear
1403]
safa.mojgan
Dynamic multi-scale expected shortfall in Tehran Stock Exchange: a spectral decomposition of tail risk across time horizons
[
Vol.3,
Issue
9
- WinterYear
1401]
safa.mojgan
Index management in the capital market
[
Vol.5,
Issue
1
- SpringYear
1403]
Safaiee.Amir
Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance
[
Vol.2,
Issue
3
- SummerYear
1400]
safavi.bijan
Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies
[
Vol.3,
Issue
9
- WinterYear
1401]
SalariAbarghoi.mohammad
The effect of information environment on the relationship between consistency in book-tax differences and analysts’ earnings forecasts
[
Vol.3,
Issue
6
- SpringYear
1401]
Salehi.Hoseyn
The quality and effectiveness of the proceedings of official judicial experts in the field of accounting and auditing
[
Vol.5,
Issue
3
- AutumnYear
1403]
salehi.mehdi
Income Distribution Management using Logistics and Fermi-Dirac Distribution in iran
[
Vol.2,
Issue
4
- AutumnYear
1400]
Salim.Samira
Investigating the Relationship between herding Behavior Bias and Value of Companies in the Chemical Products Industry of Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
sanatzadeh.mostafa
Identification and analysis of intraorganizational outsourcing risks with the combined approach of failure mode and effect analysis (FMEA), fuzzy interpretive structural modeling (FISM)
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Vol.5,
Issue
3
- AutumnYear
1403]
Sari.Mohammad Ali
Impact of stock price crash risk on the CEO's future power
[
Vol.3,
Issue
6
- SpringYear
1401]
Sarraf.Fatemeh
Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies
[
Vol.3,
Issue
9
- WinterYear
1401]
Sarraf.Fatemeh
Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model
[
Vol.4,
Issue
3
- AutumnYear
1402]
Sarraf.Fatemeh
Modeling Solvency of insurance companies over time
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Vol.5,
Issue
4
- WinterYear
1403]
sayari.bagher
Investigating the dynamic contagion effect of the turbulence cycle between the gold futures market and the exchange rate using GARCH-BEKK, markov switching, and structural VAR models
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Vol.4,
Issue
4
- WinterYear
1402]
Sepahvand.Fattaneh
Analyzing the relationship between the quality of internal control and the amount of unusual cash with emphasis on the role of risk management
[
Vol.2,
Issue
3
- SummerYear
1400]
Seraj.Shahrzad
The role of management accounting in banks
[
Vol.3,
Issue
8
- AutumnYear
1401]
shafiee.شفیعی
The role of operational risk events database in bank risk management
[
Vol.3,
Issue
6
- SpringYear
1401]
Shahmoradi.Nasim
The effect of information environment on the relationship between consistency in book-tax differences and analysts’ earnings forecasts
[
Vol.3,
Issue
6
- SpringYear
1401]
Shakornia.Rojin
Investigating the effect of emotional tendency and mass behavior of shareholders on the risk of falling stock prices
[
Vol.4,
Issue
3
- AutumnYear
1402]
SHams Doost.FARZANEH
The modeling the fixed asset investing with a machine learning approach by emphasizing the role of regulatory criteria
[
Vol.5,
Issue
3
- AutumnYear
1403]
Shamsadini.Kazem
The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry
[
Vol.3,
Issue
6
- SpringYear
1401]
Shamsi.Reza
Disclosure of information in the capital market, challenges and harms
[
Vol.4,
Issue
1
- SpringYear
1402]
Shamsi.Reza
Index management in the capital market
[
Vol.5,
Issue
1
- SpringYear
1403]
Sheikh Ahmadi.Amir
The modeling the fixed asset investing with a machine learning approach by emphasizing the role of regulatory criteria
[
Vol.5,
Issue
3
- AutumnYear
1403]
Sheikh.Mohammad Javad
The quality and effectiveness of the proceedings of official judicial experts in the field of accounting and auditing
[
Vol.5,
Issue
3
- AutumnYear
1403]
Soleimani.Azadeh
Risk management in halal business: a new model of value creation
[
Vol.2,
Issue
5
- WinterYear
1400]
Soleymanian.Mohaddaseh
The role of digital innovation in financial markets from the perspective of knowledge and presentation of the proposed model
[
Vol.4,
Issue
1
- SpringYear
1402]
Soroushyar.Afsaneh
The Effect of Momentum on the Disposition Effect and Expected Stock Returns in the Framework of Prospect Theory and Mental Accounting Theory
[
Vol.2,
Issue
5
- WinterYear
1400]
Soroushyar.Afsaneh
Investigating the effect of emotional tendency and mass behavior of shareholders on the risk of falling stock prices
[
Vol.4,
Issue
3
- AutumnYear
1402]
sotudeh.Reza
Evaluate the performance of the Iranian capital market with an emphasis on the perspective of financial accountability, operational accountability and learning and growth
[
Vol.2,
Issue
2
- SpringYear
1400]
T
Tabari.Mojtaba
Factors to identify the financial effect in the social security organization's performance evaluation system with a textual analytical approach
[
Vol.4,
Issue
3
- AutumnYear
1402]
Taftiyan.Akram
Assessing the credibility of auditors using artificial neural network
[
Vol.5,
Issue
1
- SpringYear
1403]
Taghizadeh.Kamran
Evaluation of the optimal portfolio portfolio using market criteria using multi-criteria decision criteria under conditions of uncertanty in the Iranian capital market
[
Vol.3,
Issue
6
- SpringYear
1401]
Talebi.Roqaye
Analysis and explanation of stock returns based on third and fourth order torques of non-systematic risk and the role of arbitrage constraints and investors' limited attention to it
[
Vol.2,
Issue
3
- SummerYear
1400]
Tasaddi Kari.Mohammad Javad
Explanation of the comprehensive pattern of bankruptcy
[
Vol.4,
Issue
3
- AutumnYear
1402]
tehrani.reza
Designing a wisdom model in promoting thick decision-making in the capital market
[
Vol.5,
Issue
2
- SummerYear
1403]
V
Vaghfi.Seyed Hesam
Analyzing the relationship between the quality of internal control and the amount of unusual cash with emphasis on the role of risk management
[
Vol.2,
Issue
3
- SummerYear
1400]
Vahedian.Meisam
The role of research and development costs on the relationship between financial constraints and profit sharing on the value of pharmaceutical companies accepted in Tehran Stock Exchange
[
Vol.3,
Issue
7
- SummerYear
1401]
Vakilifard.Hamidreza
Forecasting volatility in Exchange Traded Funds in the Tehran Exchange (ETF) using realized volatility jump models (HAR, HAR-J, HARQ, HARQ-J)
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Vol.5,
Issue
3
- AutumnYear
1403]
Vatanchi.Nafiseh
Designing And Explaining the Assessment Model of Banks' Risk-taking From the Conditions of Monetary Policy Uncertainty
[
Vol.5,
Issue
4
- WinterYear
1403]
Vatanparast.Mohammad Reza
Investigating the efficiency internal capital markets of business groups in allocating resources and performance; the effect of ownership-control wedge and product Market competition
[
Vol.4,
Issue
2
- SummerYear
1402]
Y
Yazdani.Shahreh
Future studies the role of factors determining of managers' fraud through the use of the fraud diamond model
[
Vol.4,
Issue
2
- SummerYear
1402]
yosofinejad.Marzyeh
The effect of dividend policy on the financial stability of Iranian banks
[
Vol.4,
Issue
2
- SummerYear
1402]
yousefi.jalal
Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach
[
Vol.5,
Issue
2
- SummerYear
1403]
zamani.shiva
Meta-analysis of the effect of information disclosure on market reaction
[
Vol.3,
Issue
9
- WinterYear
1401]
Zandi.Anahita
The Impact of Corporate Strategy on Capital Structure in Tehran Stock Exchange
[
Vol.1,
Issue
1
- WinterYear
1399]
zandi.fatemeh
Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model
[
Vol.4,
Issue
3
- AutumnYear
1402]
zanjirdar.Majid
Presenting a model for the implementation of fintech in the banking industry of Iran
[
Vol.3,
Issue
7
- SummerYear
1401]
zanjirdar.Majid
Meta-analysis of the effect of information disclosure on market reaction
[
Vol.3,
Issue
9
- WinterYear
1401]
zanjirdar.Majid
Analysis and explanation of stock returns based on third and fourth order torques of non-systematic risk and the role of arbitrage constraints and investors' limited attention to it
[
Vol.2,
Issue
3
- SummerYear
1400]
zanjirdar.Majid
Ability of Machine Learning Algorithms and Artificial Neural Networks in Predicting Accounting Profit Information Content Before Announcing
[
Vol.4,
Issue
2
- SummerYear
1402]
zanjirdar.Majid
The role of mutual information content of profit from market indices in the synchronicity of returns and portfolio performance with the mutual entropy approach
[
Vol.4,
Issue
4
- WinterYear
1402]
Zarei.Hassan
The role of mutual information content of profit from market indices in the synchronicity of returns and portfolio performance with the mutual entropy approach
[
Vol.4,
Issue
4
- WinterYear
1402]
Zarinjooy Alvar.Soheila
Designing the behavioral bias pattern of investors with theme analysis and fuzzy interpretive-Delphi structural approach
[
Vol.3,
Issue
9
- WinterYear
1401]
Zavar Rezaee.Akbar
Presenting the developed model of benish model with emphasis on audit quality fea-tures using neural network, vector machine and random forest
[
Vol.3,
Issue
6
- SpringYear
1401]
ziaey.mohammad adel
Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards
[
Vol.3,
Issue
8
- AutumnYear
1401]
Zomorodian.Gholamreza
Regime Dependent Effects and Cyclical Volatility Spillover of Exchange Rate and Stock Prices in Iran
[
Vol.2,
Issue
4
- AutumnYear
1400]
Zomorodian.Gholamreza
Designing And Explaining the Assessment Model of Banks' Risk-taking From the Conditions of Monetary Policy Uncertainty
[
Vol.5,
Issue
4
- WinterYear
1403]