Current Issue Issue 60 Vol 15 Autumn 2024 Submit Your Paper Published Issues Vol. 15 ✓ Issue 60 - Autumn 2024 ✓ Issue 59 - Summer 2024 ✓ Issue 58 - Spring 2024 Vol. 14 ✓ Issue 57 - Winter 2023 ✓ Issue 56 - Autumn 2023 ✓ Issue 55 - Summer 2023 ✓ Issue 54 - Spring 2023 Vol. 13 ✓ Issue 53 - Winter 2022 ✓ Issue 52 - Autumn 2022 ✓ Issue 51 - Summer 2022 ✓ Issue 50 - Spring 2022 Vol. 12 ✓ Issue 49 - Winter 2022 ✓ Issue 48 - Autumn 2021 ✓ Issue 47 - Summer 2021 ✓ Issue 46 - Spring 2021 Vol. 11 ✓ Issue 45 - Winter 2020 ✓ Issue 44 - Autumn 2020 ✓ Issue 43 - Summer 2020 ✓ Issue 42 - Spring 2020 Vol. 10 ✓ Issue 41 - Winter 2019 ✓ Issue 40 - Autumn 2019 ✓ Issue 39 - Summer 2019 ✓ Issue 38 - Spring 2019 Vol. 9 ✓ Issue 37 - Winter 2018 ✓ Issue 36 - Autumn 2018 ✓ Issue 35 - Summer 2018 ✓ Issue 34 - Spring 2018 Vol. 8 ✓ Issue 33 - Winter 2017 ✓ Issue 32 - Autumn 2017 ✓ Issue 31 - Summer 2017 ✓ Issue 30 - Spring 2017 Vol. 7 ✓ Issue 29 - Winter 2016 ✓ Issue 28 - Autumn 2016 ✓ Issue 27 - Summer 2016 ✓ Issue 26 - Spring 1395 Vol. 6 ✓ Issue 25 - Winter 1394 ✓ Issue 24 - Autumn 1394 ✓ Issue 23 - Summer 1394 ✓ Issue 22 - Spring 1394 Vol. 5 ✓ Issue 21 - Winter 2020 ✓ Issue 20 - Autumn 1393 ✓ Issue 19 - Summer 1393 ✓ Issue 18 - Spring 1393 Vol. 4 ✓ Issue 17 - Winter 2020 ✓ Issue 16 - Autumn 1392 ✓ Issue 15 - Summer 1392 ✓ Issue 14 - Spring 1392 Vol. 3 ✓ Issue 13 - Winter 2020 ✓ Issue 12 - Autumn 1391 ✓ Issue 11 - Summer 1391 ✓ Issue 10 - Spring 1391 Vol. 2 ✓ Issue 9 - Winter 2020 ✓ Issue 8 - Autumn 1390 ✓ Issue 7 - Summer 1390 ✓ Issue 6 - Spring 1390 Vol. 1 ✓ Issue 5 - Winter 2020 ✓ Issue 4 - Autumn 1389 Menu • About Journal • Aims and Scope • Authors Guide • Publication Ethics Contact Journal Browse • Current Issue • By Issue • Author Index • By Subject • By Author
List of Articles Fereydoon Rahnamay Roodposhti Open Access Article Abstract Page Full-Text 1 - Designing an Adjusted Return Predictive Pattern Based on Downside Risk; Evidence from the Tehran Stock Exchange Firouz Sayadi Ali Asghar Anvary Rostamy Feridoon Rahnamay roodposhti Taghi TORABI 20.1001.1.22519165.1399.11.45.2.9 Open Access Article Abstract Page Full-Text 2 - Risk modeling of financing structure according to probabilistic decision theory through ANP Hamidreza Iravani Hamidreza Kordlouie Freydoon Rahnamay Roodposhti Narges Yazdanian 20.1001.1.22519165.1400.12.47.17.5 Open Access Article Abstract Page Full-Text 3 - Evaluating corporate Risk Management using entropy weight and grey relation analysis Frydoon Rahnamay Roodposhti mohammad norouzi hady aminy Farhad Azizi 20.1001.1.22519165.1400.12.46.21.7 Open Access Article Abstract Page Full-Text 4 - Comparative survey of credit risk models based on accounting information and market information from the perspective of stakeholders Mohammad Roshandel Fereydon Rahnama Rodposhti Mirfeyz Fallah Hashem Nikoomaram Open Access Article Abstract Page Full-Text 5 - Adaptive Neural Inference System (ANFIS) and Grid Matrix (GA) Strategies Approach in Optimizing the Investment Portfolio in Tehran Stock Exchange and OTC Iran ALI SHEIDAEI NARMIGI Fereydun Rahnama roodposhti Reza Radfar 20.1001.1.22519165.1401.13.52.7.2 Open Access Article Abstract Page Full-Text 6 - Measuring cost strategies, cost, cash and inventory based on consistent decisions in industry group companies mahmoud kochakzadeh tahamtan Frydoon Rahnamay Roodposhti HAMIDREZA KORDLOUIE shadi shahverdiani maziar ghasemi Open Access Article Abstract Page Full-Text 7 - "Analysis of the dynamic effect of oil, gold and stock market index on Iran's economy: a new approach with the SVAR-DCC-GARCH model" tara heidari chavari mirfeyz fallahshams hashem ninoomaram Frydoon Rahnamay Roodposhti Gholamreza zomorodian Open Access Article Abstract Page Full-Text 8 - ارزیابی عملکرد پرتفوی در بورس اوراق بهادار تهران فریدون رهنمای رودپشتی سیدرضا غفاری 20.1001.1.22519165.1392.4.17.1.3 Open Access Article Abstract Page Full-Text 9 - تاثیر سرمایه گذاران مومنتوم بر رفتار بازار سهام بر اساس مدل فریدون رهنمای رودپشتی زهرا شیرازیان 20.1001.1.22519165.1393.5.18.1.2 Open Access Article Abstract Page Full-Text 10 - Market failure using the basket recommended by the Coalition Peyman Tataei fraydoon Rahnamay Roodposhti 20.1001.1.22519165.1396.8.33.1.3 Open Access Article Abstract Page Full-Text 11 - بررسی الگوی ریاضی انتخاب پرتفوی سرمایه گذاری مبتنی بر مالی رفتاری فریدون رهنمای رودپشتی فرشاد هیبتی سیدرضا موسوی 20.1001.1.22519165.1391.3.12.2.7 Open Access Article Abstract Page Full-Text 12 - Balance-Sheet Management in a Development Bank Based on Math Word Problems s.z Aboalhasani Kumleh فریدون Rahnamay Roodposhti Ahmad Shahvarani فرهاد Hosseinzadeh Lotfi 20.1001.1.22519165.1397.9.34.2.3 Open Access Article Abstract Page Full-Text 13 - Design portfolio using a scenario planning approach using Assumption-based planning feridoon Rahnamay Roodposhti Neda Shirinbayan 20.1001.1.22519165.1395.7.28.2.7 Open Access Article Abstract Page Full-Text 14 - بررسی کارایی بهینه سازی پرتفوی براساس مدل پایدار با بهینه سازی کلاسیک در پیش بینی ریسک و بازده پرتفوی فریدون رهنمای رودپشتی هاشم نیکومرام عباس طلوعی اشلقی فرهاد حسین زاده لطفی مرضیه بیات 20.1001.1.22519165.1394.6.22.8.4 Open Access Article Abstract Page Full-Text 15 - Functioning of the Management Pattern, Asset- Debt, on the Understanding of the Relationship between Risk and Returns, Liquidity Robabeh Bahramian Fraydoun Rahnamay Roodposhti Mehdi Madanchi zaj 20.1001.1.22519165.1398.10.40.2.2 Open Access Article Abstract Page Full-Text 16 - سنجش عملکرد و توان تبیین روش CANSLIM و مقایسه آن با مدل CAPM در انتخاب سهام برتر (مورد مطالعه بورس اوراق بهادار تهران) فریدون رهنمای رودپشتی محمود نعمتیان مهسا زهری 20.1001.1.22519165.1391.3.10.3.4 Open Access Article Abstract Page Full-Text 17 - ارزیابی عملکرد پرتفوی در بورس اوراق بهادار تهران: فریدون رهنمای رودپشتی سیدرضا میرغفاری 20.1001.1.22519165.1390.2.8.3.3 Open Access Article Abstract Page Full-Text 18 - A Portfolio Optimization Model for a Private Equity Investment Company under Data Insufficiency Condition with an Artificial Bee Colony Meta-heuristic Approach Fereydoun Rahnama Roodposhti Ehsan Sadeh Mirfeiz Fallahshams reza Ehteshamrasi jamil Jalilian 20.1001.1.22519165.1397.9.35.4.7 Open Access Article Abstract Page Full-Text 19 - برآورد ارزش در معرض خطر مبتنی بر محدودیت بر ارزیابی عملکرد مدیریت پرتفوی فعال در بورس اوراق بهادار تهران فریدون رهنمای رودپشتی شراره قندهاری 20.1001.1.22519165.1394.6.24.6.6 Open Access Article Abstract Page Full-Text 20 - ارزیابی مدل گزینش سبد سهام با استفاده از فرآیند تحلیل سلسله مراتبی(AHP)، آنالیز رابطهای خاکستری(GRA) و برنامهریزی آرمانی(GP) فرشاد هیبتی فریدون رهنمای رودپشتی محمدعلی افشارکاظمی امیرحسین عبیری 20.1001.1.22519165.1390.2.6.6.2 Open Access Article Abstract Page Full-Text 21 - مدلسازی تأثیر تورشهای رفتاری بر رکود بازار سرمایه براساس رویکرد تفسیری– ساختاری (ISM) فریدون رهنمای رودپشتی حامد تاجمیر ریاحی 20.1001.1.22519165.1393.5.19.6.9 Open Access Article Abstract Page Full-Text 22 - The Effect of Chaotic Behavior Components on Sales Outsourcing: Case of Zamzam Company فریدون Rahnamay Roodposhti Farzaneh Hashemloo FATEMEH DADBEH kamal ebadzadeh 20.1001.1.22519165.1396.8.31.6.4 Open Access Article Abstract Page Full-Text 23 - The effect of number of shareholders on the behavior and value of companies based on the two models, Yang, and Ustaruk and Austenberg annahita zandi Fraydoon Rahnamay Roodposhti 20.1001.1.22519165.1398.10.38.6.2 Open Access Article Abstract Page Full-Text 24 - مدیریت ریسک سبد با استفاده از مدلهای تجدید نظر شده ارزش در معرض ریسک (VaR) فریدون رهنمای رودپشتی مسعود ملائی 20.1001.1.22519165.1391.3.13.1.8 Open Access Article Abstract Page Full-Text 25 - تدوین استراتژی با رویکرد ارزش آفرینی در موسسات مالی فریدون رهنمای رودپشتی اکبر افتخاری علیآبادی 20.1001.1.22519165.1389.1.4.9.4 Open Access Article Abstract Page Full-Text 26 - Evaluation of return in investment company with three Markov switching model ,symmetric and asymmetric Fatemeh Samadi F. Rahnamay Roodposhti Hashem Nikoomaram 20.1001.1.22519165.1395.7.29.7.4 Open Access Article Abstract Page Full-Text 27 - An Analysis of Prediction Power of Various Candlestick Patterns in Foreign Exchange Market Fereydoon Rahnamay Roodposhti Mir Feiz Fallahshams Seyyed Behshad Yassini 20.1001.1.22519165.1393.5.21.9.6 Open Access Article Abstract Page Full-Text 28 - Volatility clustering in financial markets based on the agent based model zahra shirazian Hashem Nikoomaram Fereydoon Rahnamay Roodposhti Taghi TORABI 20.1001.1.22519165.1397.9.36.10.5 Open Access Article Abstract Page Full-Text 29 - The optimization of Investment Beliefs in Tehran Stock Exchange Break Points Based on Heterogeneous Agent Models Framework and Agent Based Modelling with Genetic Algorithm mehdi khoshnood Fraydoun Rahnamay Roodposhti Hashem Nikoomaram 20.1001.1.22519165.1399.11.42.10.1 Open Access Article Abstract Page Full-Text 30 - Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) shahrzad kashanitabar Fereydoon rahnamaroodposhti Mirfeiz Fallah Ebrahim Chirani Gholamreza zomorodian 20.1001.1.22519165.1399.11.44.15.0