A

  • Abbasi Astamal.Mohammadraza The Relationship between the Financial Statements Comparability and Company Growth Opportunities Regarding the Mediating Role of Financial Constraints and Financial Reporting Quality [ Vol.4, Issue 1 - Spring Year 1403]
  • Abbasian.Hossein Applying the fuzzy approach to identify and categorize variables predicting financial distress in Iran's capital market [ Vol.4, Issue 2 - Summer Year 1403]
  • Adak.Reza A Comparative Study of Dynamic Portfolio Optimization Using Grey Relational Analysis Methods and Basic Methods (Average, Moving Average and Moving Average) in Tehran Stock Exchange [ Vol.4, Issue 1 - Spring Year 1403]
  • aliahamdi.saeid The moderating role of the non-financial performance of the product market in the relationship between ESG activities with the cost of capital of common stock in Listed Companies in the Tehran Stock Exchange. [ Vol.4, Issue 2 - Summer Year 1403]
  • Alinezhad Sarokolaei.Mehdi Validation a conceptual model of auditor narcissism: Structural equations modeling approach [ Vol.4, Issue 3 - Autumn Year 1403]
  • ayazi.samad Applying the fuzzy approach to identify and categorize variables predicting financial distress in Iran's capital market [ Vol.4, Issue 2 - Summer Year 1403]

B

  • Basert.Mehdi Modeling the contagion of parallel market uncertainties on real and accrual profit management in short, medium and long term periods. [ Vol.4, Issue 3 - Autumn Year 1403]
  • beyranvand.mona Design and optimization of distribution stable stock portfolio based on Kalmar and Rachoff ratios [ Vol.4, Issue 2 - Summer Year 1403]

C

  • Cheraghi.Seyyed Abdulhamid, Designing the model of internal audit through new technologies in Islamic Azad University [ Vol.4, Issue 1 - Spring Year 1403]

D

  • Davoodi.Sayyed Mohammad Reza Design and optimization of distribution stable stock portfolio based on Kalmar and Rachoff ratios [ Vol.4, Issue 2 - Summer Year 1403]
  • Davoudi Nasr.Majid Meta-analysis investigating the impact of adopting International Financial Reporting Standards (IFRS) on financial reporting comparability and market liquidity [ Vol.4, Issue 3 - Autumn Year 1403]
  • didehkhani.hosein Developing an Optimized Portfolio Model using Modified Risk Aversion Coefficient [ Vol.4, Issue 1 - Spring Year 1403]

F

  • Farshadfar.Zahra Stock price modeling and forecasting using meta-heuristic ant colony algorithm [ Vol.4, Issue 2 - Summer Year 1403]

G

  • gachi.vahid The Effect of Coronavirus Epidemic on Middle East Stock Indexes Using the ARDL Panel Approach [ Vol.4, Issue 3 - Autumn Year 1403]
  • Gardoon. Adel Modeling the contagion of parallel market uncertainties on real and accrual profit management in short, medium and long term periods. [ Vol.4, Issue 3 - Autumn Year 1403]
  • Ghanbari.Hossein A Comparison of Optimal Cryptocurrency Portfolios Performance Based on Downside Risk Measures: An Analysis of Quantile-Based Risk Measures [ Vol.4, Issue 2 - Summer Year 1403]
  • gharsi.mohsen Accounting Information System Based on Blockchain Architecture: Model Designing [ Vol.4, Issue 2 - Summer Year 1403]
  • gorganli davaji.jomadoordi Designing The Pattern of Business Intelligence Application In The Cryptocurrency Market Using Grounded Theory [ Vol.4, Issue 3 - Autumn Year 1403]

H

  • Hamidi.Ardalan Applying the fuzzy approach to identify and categorize variables predicting financial distress in Iran's capital market [ Vol.4, Issue 2 - Summer Year 1403]
  • Hamidian.Mohsen Modeling of organizational intelligence, inflated perception error of financial literacy and managers' financial decision-making with logit approach [ Vol.4, Issue 3 - Autumn Year 1403]

I

  • Izadinia.Naser The moderating role of the non-financial performance of the product market in the relationship between ESG activities with the cost of capital of common stock in Listed Companies in the Tehran Stock Exchange. [ Vol.4, Issue 2 - Summer Year 1403]

J

  • Jafari.Ali Accounting Information System Based on Blockchain Architecture: Model Designing [ Vol.4, Issue 2 - Summer Year 1403]

K

  • Karimi Khorrami.Asghar Investigating the role of relationship between risks based on accounting components and capital market criteria in state banks [ Vol.4, Issue 2 - Summer Year 1403]
  • Khalgi.Mohammad baghr Investigating the impact of investment behavior in Iran's capital market during the Covid-19 pandemic [ Vol.4, Issue 1 - Spring Year 1403]
  • Khedri.Nader Modeling the contagion of parallel market uncertainties on real and accrual profit management in short, medium and long term periods. [ Vol.4, Issue 3 - Autumn Year 1403]
  • khozain.ali Developing an Optimized Portfolio Model using Modified Risk Aversion Coefficient [ Vol.4, Issue 1 - Spring Year 1403]
  • kiaei.seyed javad Stock price modeling and forecasting using meta-heuristic ant colony algorithm [ Vol.4, Issue 2 - Summer Year 1403]

M

  • mahmoodi.ali Modeling the contagion of parallel market uncertainties on real and accrual profit management in short, medium and long term periods. [ Vol.4, Issue 3 - Autumn Year 1403]
  • Mardani.Zahra The Effect of Governance Mechanisms on Tax Aggressiveness [ Vol.4, Issue 1 - Spring Year 1403]
  • Masooi.Fatemeh Meta-analysis investigating the impact of adopting International Financial Reporting Standards (IFRS) on financial reporting comparability and market liquidity [ Vol.4, Issue 3 - Autumn Year 1403]
  • Mehrazeen.Ali Reza Examining the effect of trading volume on Earning Response Coefficient over the Life Cycle of companies [ Vol.4, Issue 3 - Autumn Year 1403]
  • Meshki Miavaghi.Mehdi A Comparative Study of Dynamic Portfolio Optimization Using Grey Relational Analysis Methods and Basic Methods (Average, Moving Average and Moving Average) in Tehran Stock Exchange [ Vol.4, Issue 1 - Spring Year 1403]
  • mohammadi.ahmad Validation a conceptual model of auditor narcissism: Structural equations modeling approach [ Vol.4, Issue 3 - Autumn Year 1403]
  • mohammadi.emran A Comparison of Optimal Cryptocurrency Portfolios Performance Based on Downside Risk Measures: An Analysis of Quantile-Based Risk Measures [ Vol.4, Issue 2 - Summer Year 1403]
  • Mousavi Loleti.Seyed Ali A Comparison of Optimal Cryptocurrency Portfolios Performance Based on Downside Risk Measures: An Analysis of Quantile-Based Risk Measures [ Vol.4, Issue 2 - Summer Year 1403]

N

  • Naderian.Arash Designing The Pattern of Business Intelligence Application In The Cryptocurrency Market Using Grounded Theory [ Vol.4, Issue 3 - Autumn Year 1403]
  • nasiri.Saeed Designing the model of internal audit through new technologies in Islamic Azad University [ Vol.4, Issue 1 - Spring Year 1403]
  • Norouzi Jouybari.Ali Designing The Pattern of Business Intelligence Application In The Cryptocurrency Market Using Grounded Theory [ Vol.4, Issue 3 - Autumn Year 1403]

O

  • Omarpour Mesrkanlo.Zeinab The Relationship between the Financial Statements Comparability and Company Growth Opportunities Regarding the Mediating Role of Financial Constraints and Financial Reporting Quality [ Vol.4, Issue 1 - Spring Year 1403]
  • Ostadramezan.Azin Sadat Hedging stock price risk with gold during the outbreak of the Corona virus (Case study of export oriented companies) [ Vol.4, Issue 2 - Summer Year 1403]

P

  • Pakmaram.َAsgar Accounting Information System Based on Blockchain Architecture: Model Designing [ Vol.4, Issue 2 - Summer Year 1403]
  • Pashazadeh Kahaq.Maesumeh Validation a conceptual model of auditor narcissism: Structural equations modeling approach [ Vol.4, Issue 3 - Autumn Year 1403]

R

  • Ramezanzadeh Zeidi.Abbas Ethical Ideology in Investment, Securities Portfolio, Expected Market Returns in IPOs by Financial Market Experts Using the Winner's Curse [ Vol.4, Issue 3 - Autumn Year 1403]
  • Ranjbar.Mohamad Hosein Pattern Presentation Evaluating Performance of Firms in Financial Distress and Non-Distress situations with Emphasis on Relationship of Gross Profit Marginو Return on Assetو Inventory Turnover and Cash Flows [ Vol.4, Issue 1 - Spring Year 1403]
  • rezaei.nader Accounting Information System Based on Blockchain Architecture: Model Designing [ Vol.4, Issue 2 - Summer Year 1403]
  • Rostami.Vahab Ethical Ideology in Investment, Securities Portfolio, Expected Market Returns in IPOs by Financial Market Experts Using the Winner's Curse [ Vol.4, Issue 3 - Autumn Year 1403]

S

  • Sadri.Parvin Meta-analysis investigating the impact of adopting International Financial Reporting Standards (IFRS) on financial reporting comparability and market liquidity [ Vol.4, Issue 3 - Autumn Year 1403]
  • saeidi.parviz Designing The Pattern of Business Intelligence Application In The Cryptocurrency Market Using Grounded Theory [ Vol.4, Issue 3 - Autumn Year 1403]
  • Salehi.Allah Karam Designing the model of internal audit through new technologies in Islamic Azad University [ Vol.4, Issue 1 - Spring Year 1403]
  • saraei.samira Modeling of organizational intelligence, inflated perception error of financial literacy and managers' financial decision-making with logit approach [ Vol.4, Issue 3 - Autumn Year 1403]
  • Sarraf.Fatemeh Modeling of organizational intelligence, inflated perception error of financial literacy and managers' financial decision-making with logit approach [ Vol.4, Issue 3 - Autumn Year 1403]
  • Shabani.Mostafa A Comparison of Optimal Cryptocurrency Portfolios Performance Based on Downside Risk Measures: An Analysis of Quantile-Based Risk Measures [ Vol.4, Issue 2 - Summer Year 1403]
  • Sharifi-Ghazvini.Mohammadreza Design and optimization of distribution stable stock portfolio based on Kalmar and Rachoff ratios [ Vol.4, Issue 2 - Summer Year 1403]
  • Shourvarzi.Mohammad Reza Identifying and Analyzing the Effective Key Propulsion on the Risk-taking Capacity of Investors with Futures Studies Approach [ Vol.4, Issue 1 - Spring Year 1403]
  • Soroushyar.Afsaneh The Effect of Governance Mechanisms on Tax Aggressiveness [ Vol.4, Issue 1 - Spring Year 1403]

T

  • tahmaseb.shirin Pattern Presentation Evaluating Performance of Firms in Financial Distress and Non-Distress situations with Emphasis on Relationship of Gross Profit Marginو Return on Assetو Inventory Turnover and Cash Flows [ Vol.4, Issue 1 - Spring Year 1403]

V

  • vakilifard.hamidreza Pattern Presentation Evaluating Performance of Firms in Financial Distress and Non-Distress situations with Emphasis on Relationship of Gross Profit Marginو Return on Assetو Inventory Turnover and Cash Flows [ Vol.4, Issue 1 - Spring Year 1403]

Z

  • zabihi.ali Identifying and Analyzing the Effective Key Propulsion on the Risk-taking Capacity of Investors with Futures Studies Approach [ Vol.4, Issue 1 - Spring Year 1403]
  • zolfaghari.zahra The moderating role of the non-financial performance of the product market in the relationship between ESG activities with the cost of capital of common stock in Listed Companies in the Tehran Stock Exchange. [ Vol.4, Issue 2 - Summer Year 1403]