A

  • 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 - Summer Year 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 - Autumn Year 1400]
  • Abdi.Majid Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters [ Vol.3, Issue 8 - Autumn Year 1401]
  • abdi.rasoul The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment [ Vol.4, Issue 4 - Winter Year 1402]
  • abdigolzar.bahman The Effect of Moral Hazard of Managers on the Stock Illiquidity and Firm Value with Emphasis on Corporate Governance Mechanisms [ Vol.2, Issue 5 - Winter Year 1400]
  • Aghdam Mazraeh.Yaghoub The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment [ Vol.4, Issue 4 - Winter Year 1402]
  • Ahadi Serkani.Seyed Yousef The Quality and Effectiveness of the Proceedings of Official Judicial Experts in the Field of Accounting and Auditing: Causes and Consequences [ Vol.5, Issue 3 - Autumn Year 1403]
  • Ahmadian.Davood Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers [ Vol.5, Issue 3 - Autumn Year 1403]
  • ahmadian.vahid The effect of personality traits on investment decisions with the mediating role of risk tolerance [ Vol.5, Issue 1 - Spring Year 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 - Winter Year 1401]
  • Ahmadian.Vahid Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers [ Vol.5, Issue 3 - Autumn Year 1403]
  • ahmadikhatir.hossein Factors to identify the financial effect in the social security organization's performance evaluation system with a textual analytical approach [ Vol.4, Issue 3 - Autumn Year 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 - Summer Year 1401]
  • aliahamdi.saeid Investigating the Impact of Financial Fallacies on the Judgment of Financial Analysts [ Vol.5, Issue 3 - Autumn Year 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 - Autumn Year 1402]
  • Alimoradi.Mohamad Investigating the Impact of Financial Fallacies on the Judgment of Financial Analysts [ Vol.5, Issue 3 - Autumn Year 1403]
  • ALIZADEH.HOSSEIN Ability of Machine Learning Algorithms and Artificial Neural Networks in Predicting Accounting Profit Information Content Before Announcing [ Vol.4, Issue 2 - Summer Year 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 [ Vol.2, Issue 5 - Winter Year 1400]
  • aminizadeh.mohammadmahdi Investigating the effect of perceived past returns on investing in risky stocks considering the role mediation by the ostrich [ Vol.5, Issue 2 - Summer Year 1403]
  • asadollahi.seyyed yahya The effect of dividend policy on the financial stability of Iranian banks [ Vol.4, Issue 2 - Summer Year 1402]
  • Askarzadeh.Azizollah Designing a wisdom model in promoting thick decision-making in the capital market [ Vol.5, Issue 2 - Summer Year 1403]
  • Askarzadeh.Gholamreza Information ambiguity and its effect on stock price synchronicity during the life cycle stages of companies [ Vol.5, Issue 3 - Autumn Year 1403]
  • aslizadeh.ahmad Dynamic analysis of the performance of the iranian banking system in uncertainty condition [ Vol.3, Issue 8 - Autumn Year 1401]
  • Azadeh.Soheila Dynamic analysis of the performance of the iranian banking system in uncertainty condition [ Vol.3, Issue 8 - Autumn Year 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 [ Vol.4, Issue 2 - Summer Year 1402]
  • azarberahman.alireza Investigating the Relationship between herding Behavior Bias and Value of Companies in the Chemical Products Industry of Tehran Stock Exchange [ Vol.1, Issue 1 - Winter Year 1399]
  • 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 [ Vol.4, Issue 1 - Spring Year 1402]
  • Azinfar.Arash Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality. [ Vol.2, Issue 5 - Winter Year 1400]

B

  • Badeie.Afshin Comparison of the Power of Explaining Theory of Clean Surplus and Prospect Theory in Companies Listed of Tehran Stock Exchange [ Vol.4, Issue 3 - Autumn Year 1402]
  • Bagheri.atefeh Clarification of a profitable trading system based on dynamic analysis [ Vol.3, Issue 6 - Spring Year 1401]
  • Bagherzadeh.Mohammad Reza Factors to identify the financial effect in the social security organization's performance evaluation system with a textual analytical approach [ Vol.4, Issue 3 - Autumn Year 1402]
  • bahreini.adeleh Developing an LSTM neural network model for predicting blocktrade transaction valuation [ Vol.4, Issue 4 - Winter Year 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 [ Vol.3, Issue 6 - Spring Year 1401]
  • bahrisales.jamal Effective specific corporate characteristics on the stock price crash risk [ Vol.4, Issue 2 - Summer Year 1402]
  • Bakhshian.Asal Assessing the credibility of auditors using artificial neural network [ Vol.5, Issue 1 - Spring Year 1403]
  • Bakhtiarian.Farideh Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model [ Vol.4, Issue 3 - Autumn Year 1402]
  • Banitalebi Dehkordi.Bahareh The role of digital innovation in financial markets from the perspective of knowledge and presentation of the proposed model [ Vol.4, Issue 1 - Spring Year 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) [ Vol.2, Issue 4 - Autumn Year 1400]
  • Beidaghi.Ali Managers' money beliefs and financing attitudes [ Vol.3, Issue 9 - Winter Year 1401]
  • Bekhradi Nasab.Vahid Investigating the Mediating Role of Dividend Policy on the Relationship Between Corporate Governance and Free Cash Flow [ Vol.1, Issue 1 - Winter Year 1399]
  • Boostani.Abtin Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment [ Vol.4, Issue 1 - Spring Year 1402]

D

  • Dastgir.Mohsen Investigating the effect of emotional tendency and mass behavior of shareholders on the risk of falling stock prices [ Vol.4, Issue 3 - Autumn Year 1402]
  • Davani.Abdollah Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model [ Vol.4, Issue 3 - Autumn Year 1402]
  • Davoodi.Sayyed Mohammad Reza Clarification of a profitable trading system based on dynamic analysis [ Vol.3, Issue 6 - Spring Year 1401]
  • Davoodi.Sayyed Mohammad Reza Optimal hedging of quantitative risk based on Markov regime change in coin futures contract [ Vol.4, Issue 2 - Summer Year 1402]
  • Davoodifar.Nasim Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm [ Vol.2, Issue 5 - Winter Year 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 [ Vol.4, Issue 4 - Winter Year 1402]
  • Dehnad.Kazem Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment [ Vol.4, Issue 1 - Spring Year 1402]
  • Dehnad.Kazem Analytical investigation in the evolution of financial literacy and financial behavior: a bibliometric approach [ Vol.3, Issue 7 - Summer Year 1401]
  • Doaei.Meysam Growth opportunity and investment policy considering the role of managerial incentives in Iran's capital market [ Vol.5, Issue 2 - Summer Year 1403]
  • Doaei.Meysam Modeling investor tendencies with emphasis on psychological factors by fuzzy Delphi and DEMATEL methods [ Vol.2, Issue 5 - Winter Year 1400]

E

  • Ebadati.Omid Mahdi Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm [ Vol.2, Issue 5 - Winter Year 1400]
  • ebrahimi sarve olia.mohammad hasan Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries [ Vol.2, Issue 2 - Spring Year 1400]
  • Ebrahimi Shaghaghi.Marzieh Investigation relationship between stock liquidity, empire building and firms’ value [ Vol.5, Issue 2 - Summer Year 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 [ Vol.3, Issue 7 - Summer Year 1401]
  • Enayatpour Shiadeh.Ebrahim Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality. [ Vol.2, Issue 5 - Winter Year 1400]
  • Enayatpour Shiadeh.Ebrahim Effect of Audit Quality on the Relationship Between Audit committee characteristics and financial reporting quality. [ Vol.2, Issue 5 - Winter Year 1400]
  • Eskandari.Rasol Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies [ Vol.5, Issue 2 - Summer Year 1403]
  • Eskandari.Raziyeh Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies [ Vol.5, Issue 2 - Summer Year 1403]
  • Eslami Mofid Abadi.Hossein Investigation relationship between stock liquidity, empire building and firms’ value [ Vol.5, Issue 2 - Summer Year 1403]

F

  • fallah.mirfeiz Regime Dependent Effects and Cyclical Volatility Spillover of Exchange Rate and Stock Prices in Iran [ Vol.2, Issue 4 - Autumn Year 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 [ Vol.4, Issue 4 - Winter Year 1402]
  • Fathi.Kiamars Dentify the factors financial risk management in the automotive industry using the dimatel technique [ Vol.2, Issue 3 - Summer Year 1400]
  • fazlzadeh.alireza Investigating the effect of financial technology and financial inclusion on the financial behavior of small and medium business managers [ Vol.5, Issue 3 - Autumn Year 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 [ Vol.3, Issue 9 - Winter Year 1401]
  • Fazlzadeh.Alireza The effect of personality traits on investment decisions with the mediating role of risk tolerance [ Vol.5, Issue 1 - Spring Year 1403]
  • Filsaraei.Mahdi Examining the effect of product market competition on capital structure adjustment speed considering the moderating role of CEO extroversion [ Vol.4, Issue 2 - Summer Year 1402]

G

  • gavara.Maryam An analysis of the volatility and return spillover of venture capital ETFs in the Tehran Stock Exchange [ Vol.5, Issue 1 - Spring Year 1403]
  • Ghadimi.Fatemeh Investigating the Impact of Financial Fallacies on the Judgment of Financial Analysts [ Vol.5, Issue 3 - Autumn Year 1403]
  • ghafari ashtiani.peyman Presenting a model for the implementation of fintech in the banking industry of Iran [ Vol.3, Issue 7 - Summer Year 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 [ Vol.3, Issue 8 - Autumn Year 1401]
  • Ghandi.Hamid Study of the Knowledge and Content Flows of Articles in the Journal of Advances in Finance and Investment [ Vol.4, Issue 1 - Spring Year 1402]
  • Ghasemi.Ghasem The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry [ Vol.3, Issue 6 - Spring Year 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 [ Vol.3, Issue 8 - Autumn Year 1401]
  • Ghodrati.قدرتی Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies [ Vol.5, Issue 2 - Summer Year 1403]
  • Gholam Abri.Amir Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters [ Vol.3, Issue 8 - Autumn Year 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 [ Vol.4, Issue 4 - Winter Year 1402]
  • Gholami.Mohammad Presenting a model for the implementation of fintech in the banking industry of Iran [ Vol.3, Issue 7 - Summer Year 1401]
  • Ghorbani.Dariush Developing a model to improve the credit of companies based on financial reporting and social responsibilities [ Vol.4, Issue 1 - Spring Year 1402]
  • ghorbani.marjan The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk [ Vol.5, Issue 2 - Summer Year 1403]
  • Ghoroghi.Majid The role of operational risk events database in bank risk management [ Vol.3, Issue 6 - Spring Year 1401]
  • Golami-Jamkarani.Reza Disclosure of information in the capital market, challenges and harms [ Vol.4, Issue 1 - Spring Year 1402]
  • Golami-Jamkarani.Reza Analytical investigation in the evolution of financial literacy and financial behavior: a bibliometric approach [ Vol.3, Issue 7 - Summer Year 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 [ Vol.3, Issue 8 - Autumn Year 1401]
  • Gorganli Davaji. Jomadoordi Identify and rank the components of social responsibility disclosure and provide an indigenous model [ Vol.5, Issue 1 - Spring Year 1403]
  • Gorganli Doji.Jamadordi Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach [ Vol.5, Issue 2 - Summer Year 1403]
  • Gorjizadeh.Davoud Future studies the role of factors determining of managers' fraud through the use of the fraud diamond model [ Vol.4, Issue 2 - Summer Year 1402]
  • Goudarzi.Mahsa Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries [ Vol.2, Issue 2 - Spring Year 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 [ Vol.5, Issue 1 - Spring Year 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) [ Vol.5, Issue 3 - Autumn Year 1403]
  • hashemi.sayed amir reza Optimal hedging of quantitative risk based on Markov regime change in coin futures contract [ Vol.4, Issue 2 - Summer Year 1402]
  • hashemzadeh.ghalamreza Dentify the factors financial risk management in the automotive industry using the dimatel technique [ Vol.2, Issue 3 - Summer Year 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 [ Vol.1, Issue 1 - Winter Year 1399]
  • Hassani.Mohammad Cost of equity capital: the role of stakeholders’ rights protection in moderating financial information risk [ Vol.4, Issue 1 - Spring Year 1402]
  • hazaveh.ali A review of investment ethics with the approach of financial crises [ Vol.3, Issue 9 - Winter Year 1401]
  • heidari haratemeh.mostafa The Miderating Effect of Bilateral Investment Treaty Stringency on the Relationship between Political Instability and Subsidiary Ownership [ Vol.2, Issue 5 - Winter Year 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 [ Vol.4, Issue 4 - Winter Year 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) [ Vol.1, Issue 1 - Winter Year 1399]
  • Hoseini.Hosein The effect of Business intelligence tools on raising the efficiency of modern management accounting [ Vol.2, Issue 2 - Spring Year 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 - Summer Year 1401]
  • Hosseini.Seyedeh Atefeh Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters [ Vol.3, Issue 8 - Autumn Year 1401]

I

  • Imani.Somayyeh Explanation of the comprehensive pattern of bankruptcy [ Vol.4, Issue 3 - Autumn Year 1402]
  • Izadi.Hosein Dynamic multi-scale expected shortfall in Tehran Stock Exchange: a spectral decomposition of tail risk across time horizons [ Vol.3, Issue 9 - Winter Year 1401]

J

  • Jabari Khouzani.arezo Designing the behavioral bias pattern of investors with theme analysis and fuzzy interpretive-Delphi structural approach [ Vol.3, Issue 9 - Winter Year 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 [ Vol.2, Issue 4 - Autumn Year 1400]
  • Jabarvand Behrouz.Maryam Cost of equity capital: the role of stakeholders’ rights protection in moderating financial information risk [ Vol.4, Issue 1 - Spring Year 1402]
  • jabbarzadeh kangarluei.saeid Effective specific corporate characteristics on the stock price crash risk [ Vol.4, Issue 2 - Summer Year 1402]
  • Jafari.Ali The effect of behavioral accounting components on the development of the understanding of justice and organizational commitment [ Vol.4, Issue 4 - Winter Year 1402]
  • jafari.mahbobeh Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies [ Vol.3, Issue 9 - Winter Year 1401]
  • Jafari.Mohammad Ali Forecasting Stocks in the Financial Market by Using GA-SVM Hybrid Algorithm [ Vol.2, Issue 5 - Winter Year 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 [ Vol.4, Issue 4 - Winter Year 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 [ Vol.5, Issue 1 - Spring Year 1403]
  • Jamshidinavid.Babak Corporate Social Responsibility and Compare Financial Statements [ Vol.2, Issue 2 - Spring Year 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 - Winter Year 1401]
  • kamali.hamideh Study of identifying barriers to the optimal establishment of activity-based pricing systems in listed companies [ Vol.2, Issue 3 - Summer Year 1400]
  • karami chamgordani.marzieh Optimal hedging of quantitative risk based on Markov regime change in coin futures contract [ Vol.4, Issue 2 - Summer Year 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 [ Vol.4, Issue 2 - Summer Year 1402]
  • Karami.Ahmad The role of operational risk events database in bank risk management [ Vol.3, Issue 6 - Spring Year 1401]
  • kargar.omid Information ambiguity and its effect on stock price synchronicity during the life cycle stages of companies [ Vol.5, Issue 3 - Autumn Year 1403]
  • Khajavi.shokrollah Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance [ Vol.2, Issue 3 - Summer Year 1400]
  • khakzar Bafruei.Morteza Dynamic analysis of the performance of the iranian banking system in uncertainty condition [ Vol.3, Issue 8 - Autumn Year 1401]
  • khan mohammadi.Mohammad hamed The role of operational risk events database in bank risk management [ Vol.3, Issue 6 - Spring Year 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 - Summer Year 1402]
  • Khani.Reza The Relationship between Audit Quality and Stock Price Delay with Moderating Role of Information Asymmetry [ Vol.2, Issue 2 - Spring Year 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 [ Vol.3, Issue 7 - Summer Year 1401]
  • Khodamipour.Ahmad The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry [ Vol.3, Issue 6 - Spring Year 1401]
  • Khodamipour.Ahmad Investigating the effect of perceived past returns on investing in risky stocks considering the role mediation by the ostrich [ Vol.5, Issue 2 - Summer Year 1403]
  • Khorramabadi.Mehdi A review of foreign researches in the field of auditor independence and audit quality [ Vol.2, Issue 4 - Autumn Year 1400]
  • 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 [ Vol.2, Issue 4 - Autumn Year 1400]
  • kohandel.zahra The role of management accounting in banks [ Vol.3, Issue 8 - Autumn Year 1401]

L

  • Laalbar.Ali Meta-analysis of the effect of information disclosure on market reaction [ Vol.3, Issue 9 - Winter Year 1401]

M

  • 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 - Autumn Year 1403]
  • Madanchi Zaj.Mahdi Dynamic GAS Based Modeling for Predicting and Assessing the Value at Risk of Tehran Stock Exchange Index and Bitcoin [ Vol.3, Issue 7 - Summer Year 1401]
  • Madanchi Zaj.Mahdi Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards [ Vol.3, Issue 8 - Autumn Year 1401]
  • Madanchi Zaj.Mahdi Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies [ Vol.5, Issue 2 - Summer Year 1403]
  • Madanchi Zaj.Mahdi A review of investment ethics with the approach of financial crises [ Vol.3, Issue 9 - Winter Year 1401]
  • mahmoodikhoshroo.omid The modeling the fixed asset investing with a machine learning approach by emphasizing the role of regulatory criteria [ Vol.5, Issue 3 - Autumn Year 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 - Spring Year 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 - Spring Year 1402]
  • Mansouri.Maryam Corporate Social Responsibility and Compare Financial Statements [ Vol.2, Issue 2 - Spring Year 1400]
  • maryami yaghoubian.morteza Designing paradigmatic model of investors' behavior at the capital market with an emphasis on local indicators [ Vol.4, Issue 3 - Autumn Year 1402]
  • matin.somayeh The effect of dividend policy on the financial stability of Iranian banks [ Vol.4, Issue 2 - Summer Year 1402]
  • Memari.Hadi Investigating the effect of macroeconomic factors on cash holding in Tehran stock exchange [ Vol.4, Issue 3 - Autumn Year 1402]
  • MIRANI.ABDOLAZIZ Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards [ Vol.3, Issue 8 - Autumn Year 1401]
  • mirbargkar.seyed mozafar Investigating the effect of macroeconomic factors on cash holding in Tehran stock exchange [ Vol.4, Issue 3 - Autumn Year 1402]
  • 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 - Winter Year 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 - Winter Year 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 - Winter Year 1401]
  • 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 - Spring Year 1403]
  • mola alizade zavardehi.saber Designing a wisdom model in promoting thick decision-making in the capital market [ Vol.5, Issue 2 - Summer Year 1403]
  • 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 - Autumn Year 1400]
  • 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 - Spring Year 1401]
  • moradi. majid The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk [ Vol.5, Issue 2 - Summer Year 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 - Winter Year 1399]
  • mosavian.abbas Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards [ Vol.3, Issue 8 - Autumn Year 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 - Winter Year 1401]
  • mousavi shiri.mahmud Income Distribution Management using Logistics and Fermi-Dirac Distribution in iran [ Vol.2, Issue 4 - Autumn Year 1400]

N

  • nafari.neda The role of management accounting in banks [ Vol.3, Issue 8 - Autumn Year 1401]
  • naghdi.sajad The effect of personality traits on investment decisions with the mediating role of risk tolerance [ Vol.5, Issue 1 - Spring Year 1403]
  • Najafi Moghadam.Ali Designing paradigmatic model of investors' behavior at the capital market with an emphasis on local indicators [ Vol.4, Issue 3 - Autumn Year 1402]
  • najafy.somayeh Investigation relationship between stock liquidity, empire building and firms’ value [ Vol.5, Issue 2 - Summer Year 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 - Autumn Year 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 - Autumn Year 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 - Winter Year 1399]
  • Nazari.Zahra An analysis of the volatility and return spillover of venture capital ETFs in the Tehran Stock Exchange [ Vol.5, Issue 1 - Spring Year 1403]
  • nezarat.amin Systematic review of bankruptcy prediction models [ Vol.4, Issue 4 - Winter Year 1402]

O

  • Ojaghi.Javad The role of management accounting in banks [ Vol.3, Issue 8 - Autumn Year 1401]
  • Oskou.Vahid The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk [ Vol.5, Issue 2 - Summer Year 1403]

P

  • 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 - Winter Year 1399]
  • 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 - Spring Year 1402]
  • panahian.hosein Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies [ Vol.5, Issue 2 - Summer Year 1403]
  • Peymany Foroushany.Moslem Nonlinear relationship of Dividend Policy on P/E Ratio in Tehran Stock Exchange Industries [ Vol.2, Issue 2 - Spring Year 1400]
  • Pishbin.seyed amir mohammad Impact of stock price crash risk on the CEO's future power [ Vol.3, Issue 6 - Spring Year 1401]
  • pouresgandar raziabad.arezou The effect of personality traits on investment decisions with the mediating role of risk tolerance [ Vol.5, Issue 1 - Spring Year 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 - Spring Year 1401]

Q

  • Qashqai.Ebrahim Investigating the contrarian trading strategy performance in the Tehran stock exchange based on the firm's risk criteria [ Vol.4, Issue 1 - Spring Year 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 - Spring Year 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 - Winter Year 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 - Winter Year 1399]
  • Rahnamay Roodposhti.Fereydoon Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards [ Vol.3, Issue 8 - Autumn Year 1401]
  • Rahnamay Roodposhti.Fereydoon The Impact of Corporate Strategy on Capital Structure in Tehran Stock Exchange [ Vol.1, Issue 1 - Winter Year 1399]
  • Rahnamay Roodposhti.Fereydoon Risk management in halal business: a new model of value creation [ Vol.2, Issue 5 - Winter Year 1400]
  • Rajabdorri.Hossein The Relationship between Audit Quality and Stock Price Delay with Moderating Role of Information Asymmetry [ Vol.2, Issue 2 - Spring Year 1400]
  • Rasti.Fatemeh A Review of Research on Financial Time Series Clustering: A Bibliometrics Approach [ Vol.2, Issue 2 - Spring Year 1400]
  • REZAEE.MOHAMMAD SALEH Dentify the factors financial risk management in the automotive industry using the dimatel technique [ Vol.2, Issue 3 - Summer Year 1400]
  • Rezaei.GholamReza Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance [ Vol.2, Issue 3 - Summer Year 1400]
  • Rostamkhanj.Roya The effect of Business intelligence tools on raising the efficiency of modern management accounting [ Vol.2, Issue 2 - Spring Year 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 - Summer Year 1402]
  • sadrara.mehrdad Managers' money beliefs and financing attitudes [ Vol.3, Issue 9 - Winter Year 1401]
  • 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 - Summer Year 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 - Winter Year 1399]
  • saeidi.parviz Identify and rank the components of social responsibility disclosure and provide an indigenous model [ Vol.5, Issue 1 - Spring Year 1403]
  • saeidi.parviz Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach [ Vol.5, Issue 2 - Summer Year 1403]
  • safa.mojgan Index management in the capital market [ Vol.5, Issue 1 - Spring Year 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 - Winter Year 1401]
  • Safaiee.Amir Investigating of the relationship between liquidity and firms’ ownership concentration whit considering moderating role of corporate governance [ Vol.2, Issue 3 - Summer Year 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 - Winter Year 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 - Spring Year 1401]
  • Salehi.Hoseyn The Quality and Effectiveness of the Proceedings of Official Judicial Experts in the Field of Accounting and Auditing: Causes and Consequences [ Vol.5, Issue 3 - Autumn Year 1403]
  • salehi.mehdi Income Distribution Management using Logistics and Fermi-Dirac Distribution in iran [ Vol.2, Issue 4 - Autumn Year 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 - Winter Year 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) [ Vol.5, Issue 3 - Autumn Year 1403]
  • Sari.Mohammad Ali Impact of stock price crash risk on the CEO's future power [ Vol.3, Issue 6 - Spring Year 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 - Winter Year 1401]
  • Sarraf.Fatemeh Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model [ Vol.4, Issue 3 - Autumn Year 1402]
  • 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 [ Vol.4, Issue 4 - Winter Year 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 - Summer Year 1400]
  • Seraj.Shahrzad The role of management accounting in banks [ Vol.3, Issue 8 - Autumn Year 1401]
  • shafiee.شفیعی The role of operational risk events database in bank risk management [ Vol.3, Issue 6 - Spring Year 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 - Spring Year 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 - Autumn Year 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 - Autumn Year 1403]
  • Shamsadini.Kazem The role of economic policy uncertainty in the relationship between voluntary disclosure of information and information asymmetry [ Vol.3, Issue 6 - Spring Year 1401]
  • Shamsi.Reza Disclosure of information in the capital market, challenges and harms [ Vol.4, Issue 1 - Spring Year 1402]
  • Shamsi.Reza Index management in the capital market [ Vol.5, Issue 1 - Spring Year 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 - Autumn Year 1403]
  • Sheikh.Mohammad Javad The Quality and Effectiveness of the Proceedings of Official Judicial Experts in the Field of Accounting and Auditing: Causes and Consequences [ Vol.5, Issue 3 - Autumn Year 1403]
  • Soleimani.Azadeh Risk management in halal business: a new model of value creation [ Vol.2, Issue 5 - Winter Year 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 - Spring Year 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 - Winter Year 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 - Autumn Year 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 - Spring Year 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 - Autumn Year 1402]
  • Taftiyan.Akram Systematic review of bankruptcy prediction models [ Vol.4, Issue 4 - Winter Year 1402]
  • Taftiyan.Akram Assessing the credibility of auditors using artificial neural network [ Vol.5, Issue 1 - Spring Year 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 - Spring Year 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 - Summer Year 1400]
  • Tasaddi Kari.Mohammad Javad Explanation of the comprehensive pattern of bankruptcy [ Vol.4, Issue 3 - Autumn Year 1402]
  • tehrani.reza Designing a wisdom model in promoting thick decision-making in the capital market [ Vol.5, Issue 2 - Summer Year 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 - Summer Year 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 - Summer Year 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) [ Vol.5, Issue 3 - Autumn Year 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 - Summer Year 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 - Summer Year 1402]
  • yosofinejad.Marzyeh The effect of dividend policy on the financial stability of Iranian banks [ Vol.4, Issue 2 - Summer Year 1402]
  • yousefi.jalal Multi-level analysis of success factors in islamic banking with a structural-interpretive and recursive approach [ Vol.5, Issue 2 - Summer Year 1403]

Z

  • zahmatkesh.jaber Systematic review of bankruptcy prediction models [ Vol.4, Issue 4 - Winter Year 1402]
  • Zandi.Anahita The Impact of Corporate Strategy on Capital Structure in Tehran Stock Exchange [ Vol.1, Issue 1 - Winter Year 1399]
  • zandi.fatemeh Dynamic relationship between strategic goods and Islamic financial markets in Iran using SVAR-CCC model [ Vol.4, Issue 3 - Autumn Year 1402]
  • zanjirdar.Majid Meta-analysis of the effect of information disclosure on market reaction [ Vol.3, Issue 9 - Winter Year 1401]
  • zanjirdar.Majid Presenting a model for the implementation of fintech in the banking industry of Iran [ Vol.3, Issue 7 - Summer Year 1401]
  • 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 - Winter Year 1402]
  • 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 - Summer Year 1400]
  • zanjirdar.Majid Ability of Machine Learning Algorithms and Artificial Neural Networks in Predicting Accounting Profit Information Content Before Announcing [ Vol.4, Issue 2 - Summer Year 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 - Winter Year 1402]
  • Zarinjooy Alvar.Soheila Designing the behavioral bias pattern of investors with theme analysis and fuzzy interpretive-Delphi structural approach [ Vol.3, Issue 9 - Winter Year 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 - Spring Year 1401]
  • ziaey.mohammad adel Evaluation and comparative analysis of waqf documents based on shafi'i and imami jurisprudence standards [ Vol.3, Issue 8 - Autumn Year 1401]
  • Zomorodian.Gholamreza Regime Dependent Effects and Cyclical Volatility Spillover of Exchange Rate and Stock Prices in Iran [ Vol.2, Issue 4 - Autumn Year 1400]