Abazari.Iran
Presenting the pattern of capital increase and its role on changes in the market value of the company's shareholders
[
Vol.16,
Issue
60
- WinterYear
1402]
abbasi shirsavar.mahsa
Stock Portfolio Selection Using Dempster_Shafer
Evidence Theory
[
Vol.12,
Issue
43
- AutumnYear
1398]
abbasi.ebrahim
Identify and Assess Financial Risk Management Approach
Using BOT Projects AHP_DEA
[
Vol.8,
Issue
25
- SpringYear
1394]
abbasi.ebrahim
A Green Financing Model for Companies through Banking Industry: Grounded Theory Approach
[
Vol.15,
Issue
54
- SummerYear
1401]
abbasi.ebrahim
The Effect of Financial Repression on Economic Growth in Iran
[
Vol.4,
Issue
11
- AutumnYear
1390]
abbasian.ezatollah
Optimal investment horizons in TEPIX (Tehran price index) and its comparison with world stock market price Indices
[
Vol.12,
Issue
41
- SpringYear
1398]
abbasian.ezatollah
The Effect of Selecting the Type of Objective Function on Individual Default in Individual Retirement Account
(Case study: Iran)
[
Vol.13,
Issue
45
- SpringYear
1399]
Abdi.Esmaeil
Provide a Model of Manager's Organizational Inertia and Examine its Effect on Stock Price Crash Risk
[
Vol.15,
Issue
54
- SummerYear
1401]
Abdi.Matin
Fuzzy Mean-CVaR Portfolio Selection Based
on Credibility Theory
[
Vol.11,
Issue
37
- SpringYear
1397]
Abdi.Roghayeh
Investigating the relationship between the risk of financial turmoil and the wealth created for shareholders by voluntary disclosure
[
Vol.16,
Issue
60
- WinterYear
1402]
Abdoli.Mohammadreza
Model CEO's Persuasion by Disclosure of Financial Information
[
Vol.13,
Issue
48
- WinterYear
1399]
Abdoli.Mohammadreza
Explaining the Model of Mental Accounting for the Selection of Portfolios of Shares of Companies in the Tehran Stock Exchange with Investment Horizon Approach
[
Vol.12,
Issue
43
- AutumnYear
1398]
Abdoli.Mohammadreza
Evaluating the Difference between Investors Biorhythmic Internal Rotations with the Formation of a Portfolio Based on Value Stocks
[
Vol.16,
Issue
57
- SpringYear
1402]
Abdollahi Keyvani.Seyed Mohammad
Default Predicting of Facilities given to Enterprises: clients of non-bank depositary institutions
[
Vol.14,
Issue
49
- SpringYear
1400]
Abdollahi.Ali
Smart Portfolio Modeling Using the Kalman Filter Pattern and Kelly Functions
[
Vol.13,
Issue
48
- WinterYear
1399]
abizadeh.ali
Access control in smart contracts using digital identity management and machine learning to facilitate IoT exchanges
[
Vol.15,
Issue
53
- SpringYear
1401]
Abolhasani Komle.Seyyede Maryam
Conceptual modeling of financial resilience of the tourism industry in crisis
[
Vol.15,
Issue
56
- WinterYear
1401]
abolhasani poorashkezar.mojtaba
Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic
[
Vol.17,
Issue
62
- SummerYear
1403]
Abounoori.Esmaiel
Introducing an Early Warning System for High Volatility in Tehran Stock Exchange: Markov Switching GARCH Approach
[
Vol.8,
Issue
28
- WinterYear
1394]
afsary.afsoon
Evaluation of asset allocation strategies based on periods of recession and prosperity
[
Vol.17,
Issue
61
- SpringYear
1403]
Afshar Kazemi.Mohammad Ali
The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange
by Logit & Probit Model
[
Vol.13,
Issue
48
- WinterYear
1399]
Afshar kazimi.Mohammad Ali
Presentation of electronic banking forensic policy model
[
Vol.16,
Issue
59
- AutumnYear
1402]
Aghababaei.Mohammad Ebrahim
The effect of Overconfidence on Investors Behaviors: Evidences from Tehran Stock Exchange
[
Vol.10,
Issue
34
- SummerYear
1396]
Aghababaei.Mohammad Ebrahim
Portfolio selection by Using Multi Attribute Decision Making based on grey relational analysis and linear programming
[
Vol.11,
Issue
38
- SummerYear
1397]
Aghajan Nashtaei.Reza
Comparison of antecedents and consequences of financial behavior of momentum and random investors (mixed approach)
[
Vol.16,
Issue
58
- SummerYear
1402]
aghamohammadi.ahmad
Estimating the Investment Risk in a Digital Currency Portfolio and Optimizing it Using Value at Risk
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Vol.13,
Issue
47
- AutumnYear
1399]
Aghasi.Ehsan
Examine the relationship between financial risk tolerance and investment properties (financial intelligence, skills, financial management, wealth) based on native Donald- Case Study of the Tehran Stock Exchange
[
Vol.9,
Issue
31
- AutumnYear
1395]
Aghasi.Ehsan
Select the optimum stock portfolio investment based on canonical correlation analysis for member firms of
Tehran Stock Exchange
[
Vol.10,
Issue
36
- WinterYear
1396]
Aghdam Mazraeh.Yaghoub
Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market
[
Vol.17,
Issue
62
- SummerYear
1403]
aghdam.saeed
Analysis of Financial-Legal Dimensions of Competition Between Stock Exchanges Based on Comparative Study of Iran and the United States
[
Vol.17,
Issue
61
- SpringYear
1403]
Ahangar.Zeinab
Presentation a causal model of sukuk risks in Iran
[
Vol.15,
Issue
53
- SpringYear
1401]
ahmadabadi.tahereh
Predicting Index of Stock Exchange by Hidden Markov Model and K-Mean Algorithm
[
Vol.10,
Issue
36
- WinterYear
1396]
ahmadi.Faegh
Modeling for Measuring Corporate Financial Sustainability Using the Econophysics Method
[
Vol.14,
Issue
49
- SpringYear
1400]
Ahmadi.Fatemeh
Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach
[
Vol.17,
Issue
62
- SummerYear
1403]
Ahmadi.Mohamad
The role of Risk Management Factor in adjusting single and multi-factor of capital asset pricing models and their comparability with GRS test approach
[
Vol.15,
Issue
54
- SummerYear
1401]
ahmadi.shahin
Designing a Model for Social Trading Platforms in Irans Capital Market
[
Vol.15,
Issue
54
- SummerYear
1401]
Ahmadian.Vahid
A Comparative and Qualitative Study on Capital Market Stabilization Funds and Providing Alternative Practical Model
[
Vol.16,
Issue
57
- SpringYear
1402]
Ahmadzadeh.Hamid
The effect of Earnings-Announcement Narrative and Investor Judgment with emphasis on behavioral biases
[
Vol.14,
Issue
52
- WinterYear
1400]
ahrabi.hamidreza
Trading Behavior of Institutional Investors in Volatile Markets
[
Vol.16,
Issue
58
- SummerYear
1402]
Alaei.Erfan
The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies
in Tehran Stock Exchange
[
Vol.14,
Issue
52
- WinterYear
1400]
Alibeiki.Esmail
Evaluating the Difference between Investors Biorhythmic Internal Rotations with the Formation of a Portfolio Based on Value Stocks
[
Vol.16,
Issue
57
- SpringYear
1402]
Alinaghi.Naeim
The fundamental distinctions between warehouse receipts and specific commercial documents
[
Vol.16,
Issue
59
- AutumnYear
1402]
Alinaghi.Naeim
Recognition and functioning of warehouse receipt in Iran’s law and comparing with US Uniform Commercial Code
[
Vol.15,
Issue
53
- SpringYear
1401]
almasi.mojtaba
Modeling of long-term memory and regime changes in Tehran Stock Exchange stock returns and asymmetric effects of oil market shocks on it
[
Vol.11,
Issue
40
- WinterYear
1397]
Ameri Siahoee.Shadanloo
Default Predicting of Facilities given to Enterprises: clients of non-bank depositary institutions
[
Vol.14,
Issue
49
- SpringYear
1400]
Amini Javid`.Hasan
Application of fuzzy network data envelopment analysis model with optional input-undesirable output in order to evaluate the performance of bank branches
[
Vol.16,
Issue
58
- SummerYear
1402]
amini khouzani.mohsen
The Influence of socio-cultural factors by role of mediator Trust on participation in the stock
(Case Study: Iran Stock Market)
[
Vol.11,
Issue
40
- WinterYear
1397]
amini khouzani.mohsen
An Analysis of Profit and Risk Management Resulted From Fraudulent Behaviors (the Role of Moderating Factors)
[
Vol.15,
Issue
53
- SpringYear
1401]
amini.mehdi
Identifying the factors affecting financial resilience of entrepreneurial business with risk management approach using fuzzy ANP method
[
Vol.16,
Issue
60
- WinterYear
1402]
amini.moslem
The Effectof The Real Effective Exchange Rate Misalignment on Iranian Non-Oil Exports: The BEER approach
[
Vol.9,
Issue
32
- WinterYear
1395]
Aminian.Shirin
Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis)
[
Vol.17,
Issue
61
- SpringYear
1403]
aminpoor.aria
Examining the Effect of Ownership Dispersion on the Relation between Voluntary Disclosure and Cost of Equity Capital
[
Vol.13,
Issue
46
- SummerYear
1399]
Amir hasankhani.Hamidreza
Presentation of a Two Stages Model Based on Data Mining for Evaluation of Common Customers of Bank and Insurance Companies
[
Vol.14,
Issue
50
- SummerYear
1400]
Amirbeyki langroudi.Habib
Identifying the factors affecting financial resilience of entrepreneurial business with risk management approach using fuzzy ANP method
[
Vol.16,
Issue
60
- WinterYear
1402]
Amiri.Abdollah
Investigate the relation of financial Distress, life cycle and restructuring Strategies of crisis companies
in Tehran Stock Exchange
[
Vol.13,
Issue
47
- AutumnYear
1399]
Amiri.Houshang
Evaluating the Isomorphism of Green Tax in the Presence of the Element of Thick Decision: The Interpretive Ranking Process (IRP)
[
Vol.14,
Issue
51
- AutumnYear
1400]
Amiri.Maghsod
Provide a robust planning model Possibility to select a stock portfolio based on Sharp ratio
[
Vol.13,
Issue
47
- AutumnYear
1399]
Amirinejad.Mahdiyeh
Analyzing the investment strategies on option contract based on the Black-Scholes model-evidence from the gold coin option contracts in Iran mercantile exchange
[
Vol.11,
Issue
40
- WinterYear
1397]
Anooshehpour.Ameneh
The impact of gold prices on global exchange rate fluctuations and ounces
[
Vol.15,
Issue
55
- AutumnYear
1401]
anvari.ebrahim
The Design and Calibration of a New Keynesian DSGE Model with Stock Market Dynamics in Iran Economy
[
Vol.11,
Issue
38
- SummerYear
1397]
arabzadeh.meysam
Proposing a mathematical model to measure corporate governance and its consequences on the
companies’ stock crash risk
[
Vol.14,
Issue
52
- WinterYear
1400]
Aranmazar.Aliakbar
Feasibility Study of Imposing Tax on Stock Gains in Tehran Stock Exchange
[
Vol.17,
Issue
62
- SummerYear
1403]
Aref.Masoumeh
Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran
[
Vol.17,
Issue
62
- SummerYear
1403]
Arman.Seyed Aziz
The role of Risk Management Factor in adjusting single and multi-factor of capital asset pricing models and their comparability with GRS test approach
[
Vol.15,
Issue
54
- SummerYear
1401]
Arya.kiumars
Identify and rank strategies and consequences of using financial technology in Iran's electronic banking industry
[
Vol.16,
Issue
60
- WinterYear
1402]
asgsri.saeed
Predicting Index of Stock Exchange by Hidden Markov Model and K-Mean Algorithm
[
Vol.10,
Issue
36
- WinterYear
1396]
Ashena.Mohammad
Proposing an optimal model for stock selection based on the momentum trading strategy
[
Vol.12,
Issue
41
- SpringYear
1398]
askarzadeh.gholamreza
Evaluation of asset allocation strategies based on periods of recession and prosperity
[
Vol.17,
Issue
61
- SpringYear
1403]
askarzadeh.gholamreza
Modeling daily price fluctuations, liquidity and the effect of magnetism on the temporary cessation of trading on the Tehran Stock Exchange
[
Vol.16,
Issue
58
- SummerYear
1402]
atarasadi.maryam
An Analysis of Profit and Risk Management Resulted From Fraudulent Behaviors (the Role of Moderating Factors)
[
Vol.15,
Issue
53
- SpringYear
1401]
Atefi.Ehsan
Presenting of nonlinear hybrid model based on Extreme Value Theory for forecasting the Conditional Value at Risk (CVaR)
[
Vol.12,
Issue
44
- WinterYear
1398]
Atrchi.Romina
Portfolio optimization with differential evolution and conditional value at risk approach
[
Vol.11,
Issue
40
- WinterYear
1397]
atyabi.azam sadat
Explaining the non-linear relationship between the central bank intervention index and the profitability of commercial banks by considering the credit risk in the country's banking network
[
Vol.16,
Issue
59
- AutumnYear
1402]
ayazi.samad
Investor Sentiment Based on the Crude Oil Business Cycle
[
Vol.12,
Issue
42
- SummerYear
1398]
Azadi Sheshdeh.Majid
Dissecting stock price momentum using financial statement analysis of companies listed on the Tehran Stock Exchange
[
Vol.15,
Issue
54
- SummerYear
1401]
Azadi.Keyhan
Efficiency analysis of the meta-heuristic algorithms in portfolio optimization
[
Vol.16,
Issue
60
- WinterYear
1402]
Azarnezhad.Mahdi
Fairness Tantamount To Protection of Investors in Finan-cial Markets
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Vol.15,
Issue
56
- WinterYear
1401]
azarnia.masome
The role of Liquid-claims, free cash flow and capital structure in optimizing financial leverage
(Case study: Iran's Capital Markets Banking Industry)
[
Vol.12,
Issue
42
- SummerYear
1398]
Azarnivar.Leila
Behavioral analysis of the relationship between the rate of return on equity and earnings management based on the smooth transition regression approach
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Vol.17,
Issue
62
- SummerYear
1403]
Azarnivar.Leila
The role of financial components on the relationship between misevaluation of stock prices and innovation of listed companies using the mild transition regression (STR) model
[
Vol.16,
Issue
57
- SpringYear
1402]
Azarnivar.Leila
The role of monetary variables and financial frictions on the stock market in the form of DSGE model
[
Vol.15,
Issue
55
- AutumnYear
1401]
Azaryoun.Arash
Evaluating and study of the Fractal Properties of Capital Markets Based on DE trended Fluctuation Analysis (Case Study: Exchange Market and Stock Index of Tehran)
[
Vol.14,
Issue
50
- SummerYear
1400]
azinfar.kaveh
Predicting negative stock price shocks based on the Meta heuristic approach
[
Vol.14,
Issue
50
- SummerYear
1400]
azizi.sedighe
Modeling and Determining the Power of Working Capital Management in Predicting Corporate Financial Bankruptcy Using Artificial Intelligence Algorithms
[
Vol.14,
Issue
51
- AutumnYear
1400]
Azizzadeh.Fatemeh
Modeling Financial return with Markov Time-Varying Mixed Normal GARCH Model
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Vol.11,
Issue
37
- SpringYear
1397]
B
babaei meybodi.hamid
Role of psychological factors and awareness on the intention to invest With Emphasis on the mediate role of perceived risk
of Customers of Investment Services
[
Vol.9,
Issue
30
- SummerYear
1395]
babaei.abbas
The methods of Rough set and Genetic Algorithms in the Intelligent Hybrid Trading System for Disclosure of Futures Trading Rules
[
Vol.13,
Issue
47
- AutumnYear
1399]
Babaei.Hojat
Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach
[
Vol.17,
Issue
62
- SummerYear
1403]
badiei.hossein
Review and Assessment of Capital Assets Pricing Models and Compare Them with the 5-Factor Model of Fama and French “Using Economic Variables Exchange; Rates, Inflation, Import and Liquidity”
[
Vol.12,
Issue
42
- SummerYear
1398]
Bagerzadeh Khajeh.Majid
The test of the development model of organizational resilience in the banking industry using factorial analysis (Case study of Kmelli Bank of Iran)
[
Vol.17,
Issue
61
- SpringYear
1403]
BAGHBAN.ALI
Investigation of turbulence Contagion and risk dynamics of real and virtual currency with DCC conditional model
[
Vol.15,
Issue
55
- AutumnYear
1401]
Bagheri Rafiee.Maryam
E-Garch and Modeling of Market Volatility Based
on Noise Trading
[
Vol.12,
Issue
44
- WinterYear
1398]
Baghernezhad.Shahriyar
The test of the development model of organizational resilience in the banking industry using factorial analysis (Case study of Kmelli Bank of Iran)
[
Vol.17,
Issue
61
- SpringYear
1403]
bahman.mohammad
Examination of Inflation Expectation formation: Experimental Approach(Case Study: Kermanshah Capital Market Activists)
[
Vol.13,
Issue
45
- SpringYear
1399]
bahraei.parvin
Income financing model in Tehran municipality
[
Vol.16,
Issue
60
- WinterYear
1402]
bahramzadeh.hossinali
Investigate the relation of financial Distress, life cycle and restructuring Strategies of crisis companies
in Tehran Stock Exchange
[
Vol.13,
Issue
47
- AutumnYear
1399]
bahri.jamal
Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market
[
Vol.17,
Issue
62
- SummerYear
1403]
Banimahd.Bahman
The effect of Earnings-Announcement Narrative and Investor Judgment with emphasis on behavioral biases
[
Vol.14,
Issue
52
- WinterYear
1400]
Banimahd.Bahman
An Investigation of Leverage Effect on Dividend Policy in Companies Listed on the Tehran Stock Exchange
[
Vol.4,
Issue
10
- SummerYear
1390]
Banimahd.Bahman
Relation Between the Intellectual Capital and firm's leverage in the selected firms on Tehran Stock Exchange
[
Vol.4,
Issue
11
- AutumnYear
1390]
banitalebi.sadegh
Explain financial ability and financial literacy from a knowledge perspective and proposing a model of financial capability
[
Vol.14,
Issue
51
- AutumnYear
1400]
banitalebi.sadegh
Presenting a Conceptual Model of Financial Market Entrepreneurship Based on Emotional Intelligence
[
Vol.16,
Issue
59
- AutumnYear
1402]
Baradaran Hasanzadeh.Rasoul
Investigating the value content of different models of free cash flow by considering the growth opportunities and adequacy of the Corporate Governance
[
Vol.14,
Issue
52
- WinterYear
1400]
Bashiri.Mahdi
The Impact of Investor and Managers' Behavioral Bias on the Stock Price Bubble in capital market of Iran
[
Vol.15,
Issue
53
- SpringYear
1401]
Bashiri.Mahdi
Testing the transmission of price fluctuations of physical assets to selected industries (Application of state space approach and ARDL model)
[
Vol.14,
Issue
49
- SpringYear
1400]
BAYAT.ALI
The Predication of Stock Price Using Firely Algorithm
[
Vol.10,
Issue
35
- AutumnYear
1396]
BEHESHTI.MONA
Analyzing the Impact of Financial Development and Trade Liberalization on Economic Growth in Emerging Economies and Low income Countries
(A New Approach to Financial Development Index)
[
Vol.15,
Issue
53
- SpringYear
1401]
behmanesh.reza
Comparative Analysis of Stock Portfolio Optimization in Fireworks and Genetic Algorithms Using Conditional Value at Risk
[
Vol.14,
Issue
51
- AutumnYear
1400]
Bekhradi Nasab.Vahid
Fox Index Reaction Versus Companies With the Possibility of Fraud Based on Content Analysis Methodologies:
An Empirical test of Incomplete Revelation Hypothesis
[
Vol.13,
Issue
48
- WinterYear
1399]
Bekhradi Nasab.Vahid
The Impact of Earning Quality on Excess Returns with Regard to Momentum the Impact of Earning Quality on Excess Returns with Regard to Momentum Category 24's portfolio technique for seasonal
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Vol.10,
Issue
36
- WinterYear
1396]
Bekhradi Nasab.Vahid
The Effect Corruption on the Financial Health of Islamic Banks
[
Vol.13,
Issue
47
- AutumnYear
1399]
Bekhradi Nasab.Vahid
Impact of Individual Stock Crowded Trades and Individual Stock Investor Sentiment on Excess Returns
[
Vol.13,
Issue
46
- SummerYear
1399]
biglari.sahar
Examine the relationship between financial risk tolerance and investment properties (financial intelligence, skills, financial management, wealth) based on native Donald- Case Study of the Tehran Stock Exchange
[
Vol.9,
Issue
31
- AutumnYear
1395]
biglari.sahar
Select the optimum stock portfolio investment based on canonical correlation analysis for member firms of
Tehran Stock Exchange
[
Vol.10,
Issue
36
- WinterYear
1396]
Bineshian.Zahra
Typology of stakeholders based on the method of rational investment propositions intelligence Q
[
Vol.13,
Issue
48
- WinterYear
1399]
Biniyaz.Abbas
Model CEO's Persuasion by Disclosure of Financial Information
[
Vol.13,
Issue
48
- WinterYear
1399]
BOROMANDZADEH.HOSSEIN
Comparison of the Efficiency of Technical Analysis Indicators in in the capital market periods of the boom and depression in the active Manufacturing companies at the Tehran Stock Exchange
[
Vol.12,
Issue
42
- SummerYear
1398]
C
Chenari.Hassan
The effect of Earnings-Announcement Narrative and Investor Judgment with emphasis on behavioral biases
[
Vol.14,
Issue
52
- WinterYear
1400]
Chirani.Ebrahim
Analyzing risky and no risky approach of investment opportunities levels on share return prediction ability
[
Vol.14,
Issue
50
- SummerYear
1400]
D
dadashi.iman
Predicting negative stock price shocks based on the Meta heuristic approach
[
Vol.14,
Issue
50
- SummerYear
1400]
daeekarimzade.saeed
Analysis of the the Impact of Symmetric and Asymmetric Shocks of Oil Price on Investor Sentiment in IRAN:
Markovs-Switching Approach
[
Vol.14,
Issue
52
- WinterYear
1400]
daghighi asli.alireza
Investigating the effects of financial development, economic stability and efficiency of cooperative contracts of banks during recession and prosperity
[
Vol.16,
Issue
57
- SpringYear
1402]
daghighi asli.alireza
Explaining the non-linear relationship between the central bank intervention index and the profitability of commercial banks by considering the credit risk in the country's banking network
[
Vol.16,
Issue
59
- AutumnYear
1402]
Daie Karimzadeh.saeed
Investigating the effect of financial decentralization on the relationship between financial leverage and cautious financial reporting in companies admitted to Tehran Stock Exchange
[
Vol.13,
Issue
45
- SpringYear
1399]
Damankeshideh.Marjan
The impact of exchange rate shock and gross domestic product on the country's Islamic contracts
[
Vol.17,
Issue
62
- SummerYear
1403]
Damankeshideh.Marjan
Investigating the effects of financial development, economic stability and efficiency of cooperative contracts of banks during recession and prosperity
[
Vol.16,
Issue
57
- SpringYear
1402]
Damankeshideh.Marjan
The Impact of Restricted Financing on the Risk of Falling Stock Prices by Emphasizing the Moderating Role of Tax Avoidance
[
Vol.13,
Issue
48
- WinterYear
1399]
Damankeshideh.Marjan
Explaining the non-linear relationship between the central bank intervention index and the profitability of commercial banks by considering the credit risk in the country's banking network
[
Vol.16,
Issue
59
- AutumnYear
1402]
Danesh Fard.Karam Allah
Investigating the role of family in the relationship between some aspects of the principles of stewardship and stock trading
[
Vol.12,
Issue
44
- WinterYear
1398]
darabi.roya
Select Optimal Portfolio of Stock in Companies Listed
at Tehran Stock Exchange
[
Vol.9,
Issue
31
- AutumnYear
1395]
darabi.roya
Presentation a causal model of sukuk risks in Iran
[
Vol.15,
Issue
53
- SpringYear
1401]
darvishan.mehdi
Evaluating the Difference between Investors Biorhythmic Internal Rotations with the Formation of a Portfolio Based on Value Stocks
[
Vol.16,
Issue
57
- SpringYear
1402]
Darvishi.Maryam
Micro Investors' Perceptual Models exposing Capital Market of Iran using Zaltman's Mental Metaphors technique (Case study: Micro Investors of Tehran Stock Exchange (MITSE) residing Khuzestan Province)
[
Vol.15,
Issue
56
- WinterYear
1401]
Dastgir.Mohsen
Impact of Individual Stock Crowded Trades and Individual Stock Investor Sentiment on Excess Returns
[
Vol.13,
Issue
46
- SummerYear
1399]
davallou.maryam
Liquidity Explanatory Power Considering Different
measures of Liquidity
[
Vol.9,
Issue
31
- AutumnYear
1395]
davallou.maryam
“The timing of 52-week high price” momentum: Evidence from Tehran stock Exchange
[
Vol.10,
Issue
35
- AutumnYear
1396]
Davoudi Farkoosh.Fateme
Designing and presenting a model to determine the effect of macroeconomic and banking variables on the occurrence of asset freezing in the country's banking system
[
Vol.16,
Issue
60
- WinterYear
1402]
Dehghan.Abdul-Majid
The role of Liquid-claims, free cash flow and capital structure in optimizing financial leverage
(Case study: Iran's Capital Markets Banking Industry)
[
Vol.12,
Issue
42
- SummerYear
1398]
dehghantafti.mohamadali
Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis)
[
Vol.17,
Issue
61
- SpringYear
1403]
dehqani.najme
Investigating different methods of estimating tail risk measures with generalized Pareto distribution in Tehran stock exchange
[
Vol.12,
Issue
42
- SummerYear
1398]
dianatinasab.ebrahim
Analysis of Financial-Legal Dimensions of Competition Between Stock Exchanges Based on Comparative Study of Iran and the United States
[
Vol.17,
Issue
61
- SpringYear
1403]
Doaeei.Meysam
A Comparative and Qualitative Study on Capital Market Stabilization Funds and Providing Alternative Practical Model
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Vol.16,
Issue
57
- SpringYear
1402]
Doosti.Mahnaz
Using multi-fractal method in ranking portfolio efficiency
[
Vol.14,
Issue
52
- WinterYear
1400]
doostian.Rahman
The relationship between Conditional conservatism of accounting and The Stock Price Crash Risk
[
Vol.17,
Issue
61
- SpringYear
1403]
E
Ebrahimi imamqeisi.Salman
Analyzing the quality of the sub-optimal solutions of multi-period portfolio optimization with transaction costs and no short selling
[
Vol.12,
Issue
44
- WinterYear
1398]
ebrahimi shaghaghi.marzieh
The effects of financial stress index on economic growth using linear and nonlinear models (Markov Switching)
[
Vol.12,
Issue
42
- SummerYear
1398]
Ebrahimi.Ahmad
Pricing of build-operate-transfer and public-private partnership projects under risk
[
Vol.15,
Issue
53
- SpringYear
1401]
Ebrahimnejad.Ali
Trading Behavior of Institutional Investors in Volatile Markets
[
Vol.16,
Issue
58
- SummerYear
1402]
Ehtesham Rasi.Reza
Application of Game Theory in Evaluation of Stock Investment
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Vol.4,
Issue
11
- AutumnYear
1390]
emadifar.Farzam
Testing the causality of production and inflation in recession and boom regimes through tension in the stock market, foreign exchange, monetary and government markets
[
Vol.17,
Issue
62
- SummerYear
1403]
emam.seyedmohammadreza
The Nature of Banks' Civil Liability in Skimming According to Jurisprudence
[
Vol.15,
Issue
56
- WinterYear
1401]
Emami.Ershad
Investigation of Volatility Forecast Errors using Geometric Brownian Motion and GARCH Models in Sector Indices of Tehran Securities Exchange
[
Vol.15,
Issue
55
- AutumnYear
1401]
Emamverdi.Ghodratollah
Prediction Stock Volatility and Probability Extreme Return
[
Vol.13,
Issue
48
- WinterYear
1399]
Eram.Asghar
Developing a Stock Technical Trading System Integrating MLP Neural Network with Evolutionary Algorithms
[
Vol.13,
Issue
45
- SpringYear
1399]
erfani.alireza
A study of return cyclical pattern monthly in Tehran stock
(by using moving block bootstrap)
[
Vol.7,
Issue
22
- SummerYear
1393]
Erfani.alireza
Analyzing the structural breaks and the exchange market turbulence on volatility spillovers between exchange rates and Tehran Stock Exchange
[
Vol.14,
Issue
50
- SummerYear
1400]
esfahanian.mahshid
The formation of the investment optimal portfolio based on the approach of the analysis of Social channels in Iran’s equities market (Quantitative and qualitative attitude)
[
Vol.16,
Issue
57
- SpringYear
1402]
eskini.sobhan
Social mood and behavior of investors; evidence of herd behavior of investors in the religious months
[
Vol.11,
Issue
37
- SpringYear
1397]
Eslami.khadije
Typology of stakeholders based on the method of rational investment propositions intelligence Q
[
Vol.13,
Issue
48
- WinterYear
1399]
esmaeili.bahman
Providing a model for tail risk estimation using extreme Value mixture models (Parametric, semi-parametric and non-parametric)
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Vol.14,
Issue
51
- AutumnYear
1400]
Ezabadi.Bahare
Investigating the Role of Investor Types in the Formation of Behavioral Bubbles in Tehran Stock Exchange Using Vector Autoregressive Model
[
Vol.10,
Issue
35
- AutumnYear
1396]
F
Fadaei Eshkiki.Mehdi
The role of quarterly earnings announcements on the relationship between traders' trading speed and cumulative abnormal stock returns
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Vol.13,
Issue
48
- WinterYear
1399]
Fadaei Eshkiki.Mehdi
A Window Analysis of Financial Performance of the Tehran Stock Exchange Industries Using a Hybrid WASPAS, PROMETHEE II and ELECTRE III Approach
[
Vol.16,
Issue
58
- SummerYear
1402]
fadaei.Ebrahim
Predicting negative stock price shocks based on the Meta heuristic approach
[
Vol.14,
Issue
50
- SummerYear
1400]
Faezy Razi.Farshad
Using Data Mining Approaches to Predict and Answer the Needs of Venture Capital
[
Vol.10,
Issue
35
- AutumnYear
1396]
faghani.elham
Typology of stakeholders based on the method of rational investment propositions intelligence Q
[
Vol.13,
Issue
48
- WinterYear
1399]
faghani.elham
Investigating the role of family in the relationship between some aspects of the principles of stewardship and stock trading
[
Vol.12,
Issue
44
- WinterYear
1398]
Faghih Malak Marzban.Zeinab
Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach
[
Vol.17,
Issue
62
- SummerYear
1403]
fakari.behzad
The impact of gold prices on global exchange rate fluctuations and ounces
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Vol.15,
Issue
55
- AutumnYear
1401]
Fallah shams.Mir feiz
Designing the financial stress index based on the turbulence of global variables and its relationship with the index of the Tehran Stock Exchange and the exchange rate
[
Vol.17,
Issue
62
- SummerYear
1403]
Fallah shams.Mir feiz
Comparison between trading entities and groups in the incidence of magnetic effect on the range at Tehran Stock Exchange
[
Vol.8,
Issue
27
- AutumnYear
1394]
Fallah shams.Mir feiz
Application of fuzzy network data envelopment analysis model with optional input-undesirable output in order to evaluate the performance of bank branches
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Vol.16,
Issue
58
- SummerYear
1402]
Fallah shams.Mir feiz
Investigation of turbulence Contagion and risk dynamics of real and virtual currency with DCC conditional model
[
Vol.15,
Issue
55
- AutumnYear
1401]
Fallah shams.Mir feiz
Investigating the relationship between probability of default and capital
structure by KMV model .
[
Vol.6,
Issue
18
- SummerYear
1392]
Fallah shams.Mir feiz
Dynamic Analysis of Uncertainty Transmission Pattern in Financial, Housing and Macroeconomic Sectors
[
Vol.15,
Issue
54
- SummerYear
1401]
Fallah shams.Mir feiz
Studying the relationship between default risk and momentum effect: based on evidence from firms listed
on Tehran stock exchange
[
Vol.11,
Issue
37
- SpringYear
1397]
Fallah shams.Mir feiz
Providing a Model for Financing Science-Based Companies by Crowdsourcing in the Agricultural Bank
[
Vol.12,
Issue
41
- SpringYear
1398]
Fallahshams.Mirfeiz
Investigating the mechanism of systemic liquidity risk transmission of corporate stocks in capital market of Iran
[
Vol.16,
Issue
60
- WinterYear
1402]
Farahani.Mohammad
Investigating the Impact of Oil Price and Exchange Rate Uncertainty on Stock Return using Whitening Linear Transformation and Vector Autoregressive Model
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Vol.12,
Issue
43
- AutumnYear
1398]
Farahbakhsh.Neda
Pricing of Options Portfolio Based on Market Information Content
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Vol.16,
Issue
58
- SummerYear
1402]
Faraji.Omid
The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption
[
Vol.17,
Issue
62
- SummerYear
1403]
Farhadi Cheshmeh Morvari.Aghigh
Combined Application of State Space in ARIMA Form Model and Monte
Carlo Simulation Method to Forecast TEPIX Index
[
Vol.8,
Issue
26
- SummerYear
1394]
Farhang.Mohammad javad
Evaluation of the performance of investment funds in the capital market of Iran: A panel smooth transition regression approach
[
Vol.17,
Issue
62
- SummerYear
1403]
faridi.sanaz
Stock portfolio optimization based on the combined model of omega ratio and mean-variance Markowitz based on two-level ensemble machine learning
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Vol.15,
Issue
55
- AutumnYear
1401]
Farokhi.Elham
Assessing the moderating role of corporate governance system on the relationship between investors' emotional tendencies and changes in stock returns of companies listed on the Tehran Stock Exchange
[
Vol.15,
Issue
56
- WinterYear
1401]
Farshadfra.Zahra
Dynamic Efficiency in Tehran Stock Exchange by Kalman Filter
[
Vol.12,
Issue
42
- SummerYear
1398]
Farshadfra.Zahra
Study the Effect of Stock Liquidity on Excess Return with Five Factors Arbitrage Pricing Model
[
Vol.9,
Issue
29
- SpringYear
1395]
Farzanegan.Elham
Investigating the Limits-of-Arbitrage and Arbitrage Asymmetry on the Idiosyncratic Volatility Return Premium in the Tehran Stock Exchange
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Vol.16,
Issue
57
- SpringYear
1402]
Farzinfar.Aliakbar
Evaluating stock returns using a combination of multi-factor pricing model for capital assets and the function of penalty in Tehran Stock Exchange market and its comparison with five factors Fama and French Model
[
Vol.15,
Issue
56
- WinterYear
1401]
Fathi.Saied
Role of psychological factors and awareness on the intention to invest With Emphasis on the mediate role of perceived risk
of Customers of Investment Services
[
Vol.9,
Issue
30
- SummerYear
1395]
Fathi.Saied
Assess the profitability of fundamental analysis with present a model for the construction of the fundamental power variable using factor analysis
[
Vol.8,
Issue
28
- WinterYear
1394]
fathi.zadalah
Access control in smart contracts using digital identity management and machine learning to facilitate IoT exchanges
[
Vol.15,
Issue
53
- SpringYear
1401]
fattahizadeh.fathiyeh
Compare effect of monetary and fiscal policy effect on stock market bubble within DSGE model in Iran stock market
[
Vol.12,
Issue
43
- AutumnYear
1398]
fattahizadeh.fathiyeh
Modeling of long-term memory and regime changes in Tehran Stock Exchange stock returns and asymmetric effects of oil market shocks on it
[
Vol.11,
Issue
40
- WinterYear
1397]
Fazeli Sabzevar.Ehsan
A bi-objective portfolio rebalancing model for index traking problem under transaction costs and solving it using meta-heuristic algorithms
[
Vol.7,
Issue
24
- WinterYear
1393]
fegheh majidi.ali
An Investigation Stock Price Index Convergence in Middle East
stock markets: Cluster Analysis Approach
[
Vol.11,
Issue
39
- AutumnYear
1397]
firooz alizadeh.akram
Study on Relationship between Stock liquidity and managerial short-termism
[
Vol.13,
Issue
45
- SpringYear
1399]
Fooladi.Masood
The Effect of Anchoring Bias and Disposition Effect on Momentum Profit with Regard to the Role of Retail Investors
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Vol.14,
Issue
52
- WinterYear
1400]
forooghi dehnavi.Sharifeh
Codification of Dendrograms Portfolio Based
on Euclidean Distance Measure
(A Comparison Between Different Methods of Hierarchical Clustering)
[
Vol.10,
Issue
34
- SummerYear
1396]
Foroughnejad.Heidar
Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran
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Vol.17,
Issue
62
- SummerYear
1403]
G
galebafasl.hasan
The Relationship of Under pricing with IPO Aftermarket liquidity
in Tehran Stock Exchange
[
Vol.5,
Issue
15
- AutumnYear
1391]
galebafasl.hasan
Analysis on trading behavior of individual and institutional investors in Tehran Stock Exchange From the perspective of behavioral bias and factors affecting it
[
Vol.13,
Issue
46
- SummerYear
1399]
garkaz.mansour
Investigation of the role of psychological and performance factors on willingness to invest in stock market with mediating role of investor satisfaction and perceived risk of investors
[
Vol.13,
Issue
48
- WinterYear
1399]
Garkaz.Mansour
Effective factors on abnormal return of IPO in Tehran stock exchange
[
Vol.4,
Issue
12
- WinterYear
1390]
Geraei Nezhad.Gholam Reza
Explaining the non-linear relationship between the central bank intervention index and the profitability of commercial banks by considering the credit risk in the country's banking network
[
Vol.16,
Issue
59
- AutumnYear
1402]
Ghadimi.Fatemeh
Explaining Stocks’ Return Based on Prospect Theory
[
Vol.12,
Issue
44
- WinterYear
1398]
ghaedi.hossein
The role of quarterly earnings announcements on the relationship between traders' trading speed and cumulative abnormal stock returns
[
Vol.13,
Issue
48
- WinterYear
1399]
ghaffari.farhad
Combined Application of State Space in ARIMA Form Model and Monte
Carlo Simulation Method to Forecast TEPIX Index
[
Vol.8,
Issue
26
- SummerYear
1394]
ghaffari.farhad
Portfolio Optimization in Capital Market Bubble Condition
[
Vol.11,
Issue
40
- WinterYear
1397]
ghaffari.farhad
Analyze of the dynamics of optimal hedge ratio in the gold coin market: MS-DCC approach
[
Vol.13,
Issue
45
- SpringYear
1399]
ghalibafasl.hasan
A comparison of fundamental and historical beta in assessment of systematic risk Evidence from Tehran Security Exchange
[
Vol.12,
Issue
43
- AutumnYear
1398]
ghasemi.ahmadreza
Developing a Stock Technical Trading System Integrating MLP Neural Network with Evolutionary Algorithms
[
Vol.13,
Issue
45
- SpringYear
1399]
Ghiyasi.Javad
Investigating the causality direction between saffron cash and futures markets focusing on periods of boom and recession
[
Vol.14,
Issue
49
- SpringYear
1400]
Ghlichli.Jafar
Explaining the Model of Mental Accounting for the Selection of Portfolios of Shares of Companies in the Tehran Stock Exchange with Investment Horizon Approach
[
Vol.12,
Issue
43
- AutumnYear
1398]
Ghobadi.Behzad
Evaluating the Isomorphism of Green Tax in the Presence of the Element of Thick Decision: The Interpretive Ranking Process (IRP)
[
Vol.14,
Issue
51
- AutumnYear
1400]
gholami.saeed
Modeling daily price fluctuations, liquidity and the effect of magnetism on the temporary cessation of trading on the Tehran Stock Exchange
[
Vol.16,
Issue
58
- SummerYear
1402]
Gholizadeh.Alireza
The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange
by Logit & Probit Model
[
Vol.13,
Issue
48
- WinterYear
1399]
gholizadeh.mohammadhasan
Conceptual modeling of financial resilience of the tourism industry in crisis
[
Vol.15,
Issue
56
- WinterYear
1401]
gholizadeh.mohammadhasan
Comparison of antecedents and consequences of financial behavior of momentum and random investors (mixed approach)
[
Vol.16,
Issue
58
- SummerYear
1402]
Gholizadeh.Mohammadmehdi
Analyzing the structural breaks and the exchange market turbulence on volatility spillovers between exchange rates and Tehran Stock Exchange
[
Vol.14,
Issue
50
- SummerYear
1400]
ghorashi.felor
Prediction Stock Volatility and Probability Extreme Return
[
Vol.13,
Issue
48
- WinterYear
1399]
Gorganli Davaji. Jomadoordi
Lasso artificial intelligence approach in liquidity forecasting Companies listed on the Tehran Stock Exchange
[
Vol.14,
Issue
52
- WinterYear
1400]
Gudarzi Farahani.Yazdan
The role of financial components on the relationship between misevaluation of stock prices and innovation of listed companies using the mild transition regression (STR) model
[
Vol.16,
Issue
57
- SpringYear
1402]
Gudarzi Farahani.Yazdan
The role of monetary variables and financial frictions on the stock market in the form of DSGE model
[
Vol.15,
Issue
55
- AutumnYear
1401]
H
habibzade.malihe
Using neural network approach to predict company’s profitability and comparison with decision tree c5 and support vector machine (svm)
[
Vol.13,
Issue
46
- SummerYear
1399]
Hadinejad Darsera.Manijeh
Investigating the effects of financial development, economic stability and efficiency of cooperative contracts of banks during recession and prosperity
[
Vol.16,
Issue
57
- SpringYear
1402]
Hadinejad.Manijeh
The impact of exchange rate shock and gross domestic product on the country's Islamic contracts
[
Vol.17,
Issue
62
- SummerYear
1403]
Hadinejad.Manijeh
Explaining the non-linear relationship between the central bank intervention index and the profitability of commercial banks by considering the credit risk in the country's banking network
[
Vol.16,
Issue
59
- AutumnYear
1402]
Hafezi.Bahar
Threshold effects of good governance in relation to public spending, financial inclusion and economic growth in selected MENA countries
[
Vol.17,
Issue
61
- SpringYear
1403]
haghgoye haghghi.morteza
The impact of exchange rate shock and gross domestic product on the country's Islamic contracts
[
Vol.17,
Issue
62
- SummerYear
1403]
hajatpour.pjman
Presenting a model for the development of technological start-ups for the dynamics of external management mechanisms
[
Vol.16,
Issue
57
- SpringYear
1402]
Hajiha.zohreh
The Seasons Effect on the Total Stock Prices
for 50 Active Companies in Tehran Stoch
Exchange
[
Vol.2,
Issue
3
- AutumnYear
1388]
Hajiha.Zohreh
Investigating the Relationship between Conservative and Negative Skewness of Stock Returns with Emphasis Debt Maturity in the Life Cycle
[
Vol.14,
Issue
49
- SpringYear
1400]
Hambashi.Adel
Pricing of build-operate-transfer and public-private partnership projects under risk
[
Vol.15,
Issue
53
- SpringYear
1401]
hamedi.Meysam
A Comparative and Qualitative Study on Capital Market Stabilization Funds and Providing Alternative Practical Model
[
Vol.16,
Issue
57
- SpringYear
1402]
hamidi.hamidreza
Dynamic Analysis of Uncertainty Transmission Pattern in Financial, Housing and Macroeconomic Sectors
[
Vol.15,
Issue
54
- SummerYear
1401]
Hamidiyan.Mohsen
Developing a Sustainable Reporting Function Based on the Anomie of Social Pressures
[
Vol.15,
Issue
53
- SpringYear
1401]
hanifi.Farhad
Explaining Stocks’ Return Based on Prospect Theory
[
Vol.12,
Issue
44
- WinterYear
1398]
Haqparast.Abbas Ali
Presenting the pattern of capital increase and its role on changes in the market value of the company's shareholders
[
Vol.16,
Issue
60
- WinterYear
1402]
Hashemi.SeyedAmirMehdi
Comparative Perspectives On Valuation and the Impact
of the IPOs
[
Vol.12,
Issue
44
- WinterYear
1398]
Hassani.Mohammad
Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market
[
Vol.17,
Issue
62
- SummerYear
1403]
Hassani.Mohammad
Analyzing the Impact of Debt Maturity and Financial Reporting Quality on Under-Over Investment
[
Vol.12,
Issue
41
- SpringYear
1398]
Hassani.Mohammad
Explaining the Comprehensive Model of Economic Dimension of Quality of Life and its Relationship with Financial Stress in Iran
[
Vol.14,
Issue
50
- SummerYear
1400]
heidari haratemeh.mostafa
Investigating the Effect of Real Options Resulting from
Flexibility on Stock Return
[
Vol.11,
Issue
39
- AutumnYear
1397]
heidari haratemeh.mostafa
Portfolio Optimization with CVaR under VG Process
[
Vol.12,
Issue
41
- SpringYear
1398]
heidari.hamidreza
Investigating the Limits-of-Arbitrage and Arbitrage Asymmetry on the Idiosyncratic Volatility Return Premium in the Tehran Stock Exchange
[
Vol.16,
Issue
57
- SpringYear
1402]
Heidari.Hannaneh
Hypothesis testing of Heterogeneous agents using STAR model with multivariate transition function: A case study of Tehran Stock market
[
Vol.12,
Issue
41
- SpringYear
1398]
Heidari.Hannaneh
Financial accelerator in a DSGE model with financial and banking sectors for Iran
[
Vol.10,
Issue
36
- WinterYear
1396]
heidarian yazdeli.amir
Trading option, subsidiary selling option and performance of Performance of investment funds and investment companies with DID approach
[
Vol.14,
Issue
52
- WinterYear
1400]
Heidarzadeh Hanzaei.Alireza
The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption
[
Vol.17,
Issue
62
- SummerYear
1403]
Heidarzadeh Hanzaei.Alireza
Designing a Model for Social Trading Platforms in Irans Capital Market
[
Vol.15,
Issue
54
- SummerYear
1401]
Heidarzadeh Hanzaei.Alireza
Investigation the Impact of Business Strategy, Overvalued Equity on Stock Price Crash Risk
[
Vol.12,
Issue
44
- WinterYear
1398]
Heidarzadeh Hanzaei.Alireza
Forecasting the Price of Natural Gas Using Developed Methods Based on Grays and Fractals
[
Vol.13,
Issue
46
- SummerYear
1399]
Heidarzadeh Hanzaei.Alireza
Investigation of Volatility Forecast Errors using Geometric Brownian Motion and GARCH Models in Sector Indices of Tehran Securities Exchange
[
Vol.15,
Issue
55
- AutumnYear
1401]
Heidarzadeh Hanzaei.Alireza
Investigating the Impact of Oil Price and Exchange Rate Uncertainty on Stock Return using Whitening Linear Transformation and Vector Autoregressive Model
[
Vol.12,
Issue
43
- AutumnYear
1398]
Hejazi.Rezvan
Forensic Accounting Paradigm in Changing Approach to Risk Disclosure of Capital Market Firms: Development of Homology Theory to Symbolize Investors Perception
[
Vol.14,
Issue
50
- SummerYear
1400]
Hejazi.حجازی
Effect of Different Levels of Corporate Risk Disclosure on Investors' Perceptions
[
Vol.15,
Issue
54
- SummerYear
1401]
Hemmati.Hoda
Stock Price Synchronicity Based on Uncertainty in Monetary Policies
[
Vol.15,
Issue
55
- AutumnYear
1401]
Hemmati.Hoda
Evaluating and study of the Fractal Properties of Capital Markets Based on DE trended Fluctuation Analysis (Case Study: Exchange Market and Stock Index of Tehran)
[
Vol.14,
Issue
50
- SummerYear
1400]
Hemmati.Hoda
Evaluation the relation between intellectual
capital and modern variables for performance
measurement with creation value emphasis
[
Vol.2,
Issue
2
- SummerYear
1388]
Homayonfar.Mehdi
Efficiency analysis of the meta-heuristic algorithms in portfolio optimization
[
Vol.16,
Issue
60
- WinterYear
1402]
Homayonfar.Mehdi
The role of quarterly earnings announcements on the relationship between traders' trading speed and cumulative abnormal stock returns
[
Vol.13,
Issue
48
- WinterYear
1399]
Homayonfar.Mehdi
A Window Analysis of Financial Performance of the Tehran Stock Exchange Industries Using a Hybrid WASPAS, PROMETHEE II and ELECTRE III Approach
[
Vol.16,
Issue
58
- SummerYear
1402]
Hormozi.Farshin
Forensic Accounting Paradigm in Changing Approach to Risk Disclosure of Capital Market Firms: Development of Homology Theory to Symbolize Investors Perception
[
Vol.14,
Issue
50
- SummerYear
1400]
Hormozi.Farshin
Effect of Different Levels of Corporate Risk Disclosure on Investors' Perceptions
[
Vol.15,
Issue
54
- SummerYear
1401]
Hossein Abadi.Hossein
The impact of gold prices on global exchange rate fluctuations and ounces
[
Vol.15,
Issue
55
- AutumnYear
1401]
hossein.shahnazi
The Impact of Investor and Managers' Behavioral Bias on the Stock Price Bubble in capital market of Iran
[
Vol.15,
Issue
53
- SpringYear
1401]
hosseini.javad
Investigating the value content of different models of free cash flow by considering the growth opportunities and adequacy of the Corporate Governance
[
Vol.14,
Issue
52
- WinterYear
1400]
Hosseini.Mohammad Mehdi
Evaluating the Difference between Investors Biorhythmic Internal Rotations with the Formation of a Portfolio Based on Value Stocks
[
Vol.16,
Issue
57
- SpringYear
1402]
Hosseini.Seyyed Shamseddin
Analyzing the Impact of Financial Development and Trade Liberalization on Economic Growth in Emerging Economies and Low income Countries
(A New Approach to Financial Development Index)
[
Vol.15,
Issue
53
- SpringYear
1401]
Hosseinzadeh Lotfi.Farhad
Performance Assessment of Investment Firms under Uncertainty
[
Vol.13,
Issue
48
- WinterYear
1399]
Hosseinzadeh Zorofchi.Ghazal
Investigation the Impact of Business Strategy, Overvalued Equity on Stock Price Crash Risk
[
Vol.12,
Issue
44
- WinterYear
1398]
I
Iranzadeh.Soleyman
The test of the development model of organizational resilience in the banking industry using factorial analysis (Case study of Kmelli Bank of Iran)
[
Vol.17,
Issue
61
- SpringYear
1403]
J
jafakesh.shahab
Investigating the Role of Investor Types in the Formation of Behavioral Bubbles in Tehran Stock Exchange Using Vector Autoregressive Model
[
Vol.10,
Issue
35
- AutumnYear
1396]
Jafari.Fatemeh
Comparison of antecedents and consequences of financial behavior of momentum and random investors (mixed approach)
[
Vol.16,
Issue
58
- SummerYear
1402]
Jafari.Soleil
Investigation of the role of psychological and performance factors on willingness to invest in stock market with mediating role of investor satisfaction and perceived risk of investors
[
Vol.13,
Issue
48
- WinterYear
1399]
Jafari.Zahra
Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market
[
Vol.17,
Issue
61
- SpringYear
1403]
Jafaripour.Meisam
The role of Risk Management Factor in adjusting single and multi-factor of capital asset pricing models and their comparability with GRS test approach
[
Vol.15,
Issue
54
- SummerYear
1401]
Jahanbakhsh Qarebaghi.Hamid
The Impact of Management Disorders on Financial Reporting Agility
[
Vol.14,
Issue
52
- WinterYear
1400]
Jahangiri.Shahab
Comparison of the Efficiency of Technical Analysis Indicators in in the capital market periods of the boom and depression in the active Manufacturing companies at the Tehran Stock Exchange
[
Vol.12,
Issue
42
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1398]
jamali.jafar
Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran
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Vol.17,
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1403]
Jamalifar.Golnaz
Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market
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Vol.17,
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62
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1403]
Jamshidi.Khadije
Using intelligent methods in Solving Constrained Portfolio
in Tehran Stock Exchange
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Issue
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1395]
Jamshidi.Khadije
Using intelligent methods in Solving Constrained Portfolio
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Issue
31
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1395]
jamshidi.naser
Analysis on trading behavior of individual and institutional investors in Tehran Stock Exchange From the perspective of behavioral bias and factors affecting it
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Issue
46
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1399]
Janani.Mohammad Hassan
The formation of the investment optimal portfolio based on the approach of the analysis of Social channels in Iran’s equities market (Quantitative and qualitative attitude)
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Vol.16,
Issue
57
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1402]
Janani.Mohammad Hassan
Performance Persistence of Mutual Funds in Iran: Momentum Strategy Approach
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Vol.11,
Issue
40
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1397]
Janani.Mohammad Hassan
The impact of stock market pressure on tax benefits based on the Ming-Chin Chen model (2015)
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Vol.12,
Issue
42
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1398]
javadian.bahareh
“The timing of 52-week high price” momentum: Evidence from Tehran stock Exchange
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Vol.10,
Issue
35
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1396]
johari salmasi.parisa
Hypothesis testing of Heterogeneous agents using STAR model with multivariate transition function: A case study of Tehran Stock market
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Vol.12,
Issue
41
- SpringYear
1398]
Johari.Hadi
Design and develop a model of credit risk in the banking system (Multilevel Modelling)
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Vol.12,
Issue
41
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1398]
jozi.parsa
Designing algorithmic trading strategy based on deep reinforcement learningCase study: Tehran Stock Exchange
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Vol.17,
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61
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1403]
K
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Evaluating The Simultaneous Role of Investor’s Sentiment and Brand Equity on Short-Term performance of the Initial public
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Vol.13,
Issue
45
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1399]
kamali andeani.elahe
Explaining Stocks’ Return Based on Prospect Theory
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Vol.12,
Issue
44
- WinterYear
1398]
Kamalian.Nesa
The role of banking crisis in the effect of income diversity on profitability of banking industry in Iran
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Vol.13,
Issue
48
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1399]
Kambiz Hojbar Kiani.Kambiz
Survey Economies of Scale Efficiency Changes in government and Private Banks by Using Stochastic Frontier Production Function
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Vol.10,
Issue
35
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1396]
Kargari.Yasser
Analysis among shareholders, creditors and government conflicts in cash interest division approach to game theories
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Issue
49
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1400]
karimi.maryam
The Effectof The Real Effective Exchange Rate Misalignment on Iranian Non-Oil Exports: The BEER approach
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Vol.9,
Issue
32
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1395]
Kazemi.Hossein
Relationship between Stock Liquidity and Investment Opportunities
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Vol.5,
Issue
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1391]
Kazemian hossinabadi.Saeed
Designing algorithmic trading strategy based on deep reinforcement learningCase study: Tehran Stock Exchange
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Vol.17,
Issue
61
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1403]
Keyghobadi.Amir Reza
The Impact of Restricted Financing on the Risk of Falling Stock Prices by Emphasizing the Moderating Role of Tax Avoidance
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Vol.13,
Issue
48
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1399]
Keyvan.Razieh
Performance Persistence of Mutual Funds in Iran: Momentum Strategy Approach
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Vol.11,
Issue
40
- WinterYear
1397]
khajeh mahmood.hamid
Modeling daily price fluctuations, liquidity and the effect of magnetism on the temporary cessation of trading on the Tehran Stock Exchange
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Vol.16,
Issue
58
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1402]
Khaki.Mahmoodreza
Developing a Sustainable Reporting Function Based on the Anomie of Social Pressures
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Vol.15,
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53
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1401]
Khalili Araghi.Maryam
Forecasts of financial turmoil in Tehran Stock Exchange member banks
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Issue
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1390]
Khalili Araghi.Maryam
Stock selection of Tehran stock exchange investors with hybrid of data
envelopment analysis (DEA) and goal programming (GP)
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Issue
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1391]
Khalili.Alireza
Analysis of Financial-Legal Dimensions of Competition Between Stock Exchanges Based on Comparative Study of Iran and the United States
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Vol.17,
Issue
61
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1403]
Khalili.Hadis
Analyzing the systemic risk of banking industry by using EMD and GRA based on the dynamic complex network approach.
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khan mohammadi.Mohammad hamed
Cumulative accuracy profile in banks' credit risk assessment: accounting based models and market based models
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1400]
khan mohammadi.Mohammad hamed
Explaining the Comprehensive Model of Economic Dimension of Quality of Life and its Relationship with Financial Stress in Iran
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Vol.14,
Issue
50
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1400]
khan mohammadi.Mohammad hamed
The effectiveness of neural financial model based on testosterone measurement on the attitude and decision of investors in Tehran Stock Exchange
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Vol.15,
Issue
53
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1401]
Khandan.Saber
Identify and rank strategies and consequences of using financial technology in Iran's electronic banking industry
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Vol.16,
Issue
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Khatami.Niloufar
Threshold effects of good governance in relation to public spending, financial inclusion and economic growth in selected MENA countries
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kheradyar.sina
The role of quarterly earnings announcements on the relationship between traders' trading speed and cumulative abnormal stock returns
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1399]
Kheradyar.Sina
An Empirical Test of Capital Market Rule Behavior: Political Uncertainty and the Capital Market Information Environment
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khodaei valahzaghard.mohammad
Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market
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1403]
Khodamipour.Ahmad
Dissecting stock price momentum using financial statement analysis of companies listed on the Tehran Stock Exchange
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Vol.15,
Issue
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1401]
khodamoradi.afshin
Presentation of electronic banking forensic policy model
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Khosravipoor.Negar
Developing a Sustainable Reporting Function Based on the Anomie of Social Pressures
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Vol.15,
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konjkav monfared.Amirreza
Role of psychological factors and awareness on the intention to invest With Emphasis on the mediate role of perceived risk
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Vol.9,
Issue
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1395]
kordlouie.hamidreza
Provide a model for evaluating the timing skills of capital market professionals combined multi-indicator decision making and scenario design
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Vol.15,
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1401]
kordlouie.hamidreza
Financial Performance Comparison among Region Managements of Bank and Split the country from provincial effects, and their competitiveness using Constant Market Share
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Issue
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1396]
kordlouie.hamidreza
Investigation of turbulence Contagion and risk dynamics of real and virtual currency with DCC conditional model
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55
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1401]
kordlouie.hamidreza
Default Predicting of Facilities given to Enterprises: clients of non-bank depositary institutions
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Vol.14,
Issue
49
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1400]
kordlouie.hamidreza
Providing a Comprehensive Model for Measuring the Stock Price Bubble in Portfolio Management with a Behavioral Approach
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Vol.16,
Issue
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1402]
Kordlouie.Hamidreza
Designing a Model for Social Trading Platforms in Irans Capital Market
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Vol.15,
Issue
54
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1401]
Kushki.Alireza
The Effect of Cultural Hegemony to Shareholders Protect: Moderating Role of Social Pressure Tests
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Forensic Accounting Paradigm in Changing Approach to Risk Disclosure of Capital Market Firms: Development of Homology Theory to Symbolize Investors Perception
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Vol.14,
Issue
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1400]
Labibzadeh.MohammadHossein
Effect of Different Levels of Corporate Risk Disclosure on Investors' Perceptions
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Issue
54
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1401]
Lal Sadjadi.Seyed Morteza
Designing Automatic Re-balancing Model Using Technical Analysis Concept of Divergence
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1398]
M
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Investigation of the role of psychological and performance factors on willingness to invest in stock market with mediating role of investor satisfaction and perceived risk of investors
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Vol.13,
Issue
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1399]
maatoofi.alireza
Investor Sentiment Based on the Crude Oil Business Cycle
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Vol.12,
Issue
42
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1398]
Madanchi Zaj.Mahdi
Evaluation and comparative analysis of mudarabah papers based on the standards of Shafi'i and Imami jurisprudence
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Vol.16,
Issue
58
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1402]
Madanchi Zaj.Mahdi
Designing a Model for Social Trading Platforms in Irans Capital Market
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Vol.15,
Issue
54
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1401]
Madanchi Zaj.Mahdi
Provide a model for evaluating the timing skills of capital market professionals combined multi-indicator decision making and scenario design
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Vol.15,
Issue
56
- WinterYear
1401]
Madanchi Zaj.Mahdi
Modeling and Forecasting Distribution of Return on the Tehran Stock Exchange Index and Bitcoin with the GAS Time Variable Method
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Vol.15,
Issue
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1401]
Madanchi Zaj.Mahdi
Risk modeling in the stock exchange with the approach of nonlinear Bayesian models-time-varying parameters
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Vol.16,
Issue
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1402]
Madanchi Zaj.Mahdi
Stock portfolio optimization based on the combined model of omega ratio and mean-variance Markowitz based on two-level ensemble machine learning
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Vol.15,
Issue
55
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1401]
Mahboubi.Babak
Long memory in four main cryptocurrencies
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Vol.15,
Issue
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1401]
Mahdavi Adeli.Mohamad Hossein
The effect of the abundance of natural resources on financial development in selected OPEC countries of oil and gas (with emphasis on the multi-dimensional index of financial market development in the stock market)
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Vol.12,
Issue
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1398]
mahdaviparsa.Ali
Ranking Iranian Banks in terms of corporate governance whit emphasizing the status of the board of directors and its committees
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Vol.12,
Issue
41
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1398]
Mahdi.Mohammad
Frequency analysis of stock return rates in the Iranian capital market Based on the wavelet approach
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Issue
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1402]
Mahmoodirad.Ali
Introduction a conceptual model of the effective factors of contrarian trading strategy in the formation of a profitable portfolio using the Grounded theory
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Mahmoodirad.Ali
Evaluation of the optimal portfolio using accounting criteria using multi-criteria decision criteria under conditions of uncertainty in the Iranian capital market
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Vol.14,
Issue
51
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1400]
Mahmoudi.Eisa
Investigating different methods of estimating tail risk measures with generalized Pareto distribution in Tehran stock exchange
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Vol.12,
Issue
42
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1398]
Makkipour.Aminallah
Fundamental Information in Technical Trading Strategies through a Combination of Operating cash flow
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1396]
maleki amiri.fatemeh
Explaining the Role of Firm Characteristics on sources of financing mergers and acquisitions based on Pecking Order Theory
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1400]
Maleki Oskouei.Malektaj
The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption
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malekshoar.mohammadreza
Providing a feasibility model for the establishment and development of block chain technology in Tehran Stock Exchange market transactions
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Vol.16,
Issue
59
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1402]
Manteghi.Khosro
Modeling Financial return with Markov Time-Varying Mixed Normal GARCH Model
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Vol.11,
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Mashaykhi.SH
The Examination of Gordon Model: A Neural Network Approach
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Vol.9,
Issue
29
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1395]
Mashhadizadeh.reza
Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach
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Vol.17,
Issue
62
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1403]
matinfard.mehran
Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market
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Vol.17,
Issue
62
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1403]
matinfard.mehran
Test the effectiveness of stock price synchronicity
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Vol.11,
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38
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1397]
mazaherifar.pooria
The comparison of neural network, ANFIS and AR model in expected return prediction and comparison of memetic and symbiotic organism search in constrained portfolio optimization
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Vol.12,
Issue
43
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1398]
Meharani.Azadeh
Comparing the Frechet Distribution and the Generalized Pareto Distribution in Estimating Value at Risk and Conditional Value at Risk in Tehran Stock Exchange
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Vol.14,
Issue
50
- SummerYear
1400]
mehmannavazan.soheila
Assay the Effect of revenue Diversification on performance in Accepted Banks in Tehran Stock Exchange
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Vol.9,
Issue
30
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1395]
Mehradi.Ramin
The Effect of Conservative Management Tone on Risk Disclosure on Stock Price Fall: A Linguistic Approach Based on News Disclosure Tone Community Verified icon
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Vol.14,
Issue
50
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1400]
Meisami.Maryam
Analyzing the Impact of Debt Maturity and Financial Reporting Quality on Under-Over Investment
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Vol.12,
Issue
41
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1398]
Memarian.erfan
Explaining the Role of Firm Characteristics on sources of financing mergers and acquisitions based on Pecking Order Theory
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Vol.14,
Issue
50
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1400]
Memarian.erfan
Explain the role of financial and economic variables on stock returns With Markov-switching Model
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Vol.14,
Issue
50
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1400]
Meshki Miavaghi.Mehdi
Conceptual modeling of financial resilience of the tourism industry in crisis
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Vol.15,
Issue
56
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1401]
Meskinimood.Shayan
Performance examination of trading strategy
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Vol.12,
Issue
41
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1398]
mirabi.vahidreza
Providing a Model for Financing Science-Based Companies by Crowdsourcing in the Agricultural Bank
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Vol.12,
Issue
41
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1398]
Miran.Behzad
Developing an uncertain mean-chance model for portfolio optimization using forecasted returns
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Vol.12,
Issue
43
- AutumnYear
1398]
miran.seyed amir
Providing a feasibility model for the establishment and development of block chain technology in Tehran Stock Exchange market transactions
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Vol.16,
Issue
59
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1402]
MIRANI.ABDOLAZIZ
Evaluation and comparative analysis of mudarabah papers based on the standards of Shafi'i and Imami jurisprudence
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Vol.16,
Issue
58
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1402]
Mirarab Bayegi.Seyed Alireza
Pricing of Options Portfolio Based on Market Information Content
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Vol.16,
Issue
58
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1402]
Miri.Sanaz
Analyze of the dynamics of optimal hedge ratio in the gold coin market: MS-DCC approach
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Vol.13,
Issue
45
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1399]
mirzaee.saideh
The Effect of Cultural Hegemony to Shareholders Protect: Moderating Role of Social Pressure Tests
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Vol.15,
Issue
53
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1401]
mirzaei.Hamid Reza
Evolutionary Multi-Objective Optimization for ultivariate Pair Trading in Tehran Stock Exchange: The Cointegration Approach
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Vol.16,
Issue
57
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1402]
Mirzaei.Maryam
Investigation of financial inclusion and financial literacy's Role in Perceived Investment Value in Tehran Stock Exchange
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Vol.12,
Issue
41
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1398]
mirzaeinejad.mohamadreza
The impact of exchange rate shock and gross domestic product on the country's Islamic contracts
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Vol.17,
Issue
62
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1403]
mirzasaf.Mohsen
Investigating the effects of financial development, economic stability and efficiency of cooperative contracts of banks during recession and prosperity
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Vol.16,
Issue
57
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1402]
moayery.farzad
Evaluating the impact of governments' capital expenditures in the framework of the Crowding-In effect on the return of the stock price index
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Vol.16,
Issue
59
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1402]
Mobini.Negin
Presenting a Conceptual Model of Financial Market Entrepreneurship Based on Emotional Intelligence
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Vol.16,
Issue
59
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1402]
moghaddam.javad
The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption
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Vol.17,
Issue
62
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1403]
MohamadShilan.Jamal
The effect of size on capital structure, rate of return and earning pershare in tehran stock Exchang companies (Druge Industry)
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Issue
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1390]
mohammad moosaee.jabber
Micro Investors' Perceptual Models exposing Capital Market of Iran using Zaltman's Mental Metaphors technique (Case study: Micro Investors of Tehran Stock Exchange (MITSE) residing Khuzestan Province)
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Vol.15,
Issue
56
- WinterYear
1401]
Mohammadi Darvishvand.Reza
Designing a legal and financial model for capital changes in public joint stock companies in Iranian and English laws
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Vol.16,
Issue
60
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1402]
Mohammadi Pour.Siamak
Frequency analysis of stock return rates in the Iranian capital market Based on the wavelet approach
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Vol.16,
Issue
58
- SummerYear
1402]
mohammadi.Ahmad
An Investigation Stock Price Index Convergence in Middle East
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Vol.11,
Issue
39
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1397]
Mohammadi.Emran
Performance Assessment of Investment Firms under Uncertainty
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Vol.13,
Issue
48
- WinterYear
1399]
Mohammadi.Esfanyar
The consequences of financial literacy on investment decisions and investment performance
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Vol.12,
Issue
41
- SpringYear
1398]
mohammadi.jamal
The Effect of Stock Returns and Volatility of Stock Index on Put Option Transactions Volume
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Vol.12,
Issue
42
- SummerYear
1398]
mohammadi.maryam
Smart Portfolio Modeling Using the Kalman Filter Pattern and Kelly Functions
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Vol.13,
Issue
48
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1399]
Mohammadi.Nabiollah
Investigating the value content of different models of free cash flow by considering the growth opportunities and adequacy of the Corporate Governance
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Vol.14,
Issue
52
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1400]
mohammadi.shaban
The methods of Rough set and Genetic Algorithms in the Intelligent Hybrid Trading System for Disclosure of Futures Trading Rules
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Vol.13,
Issue
47
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1399]
Mohammadi.Teymoor
Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic
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Vol.17,
Issue
62
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1403]
Mohammadi.Teymoor
Iran financial market relation with domestic and international markets based on causality in moments of distribution analysis
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Vol.13,
Issue
47
- AutumnYear
1399]
Mohammadi.Teymoor
Analyze of the dynamics of optimal hedge ratio in the gold coin market: MS-DCC approach
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Vol.13,
Issue
45
- SpringYear
1399]
Mohammadian Amiri.Ehsan
Presenting of nonlinear hybrid model based on Extreme Value Theory for forecasting the Conditional Value at Risk (CVaR)
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Vol.12,
Issue
44
- WinterYear
1398]
mohammadipour.rahmatullah
Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach
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Vol.17,
Issue
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1403]
Mohebbi.Meysam
Review and Assessment of Capital Assets Pricing Models and Compare Them with the 5-Factor Model of Fama and French “Using Economic Variables Exchange; Rates, Inflation, Import and Liquidity”
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Vol.12,
Issue
42
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1398]
Mohseni.Abdolreza
Political connections, dividend and stock return in listed firms
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Vol.11,
Issue
38
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1397]
Mohtasham.Amir Mohammad
Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions
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Vol.17,
Issue
61
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1403]
mohtashami.raham
The role of decision making styles and risk taking with financial performance of managers (study: Banking Industry)
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Vol.13,
Issue
47
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1399]
mola alizade zavardehi.saber
Presenting a model for the development of technological start-ups for the dynamics of external management mechanisms
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Vol.16,
Issue
57
- SpringYear
1402]
mola alizade zavardehi.saber
Evaluation of the optimal portfolio using accounting criteria using multi-criteria decision criteria under conditions of uncertainty in the Iranian capital market
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Vol.14,
Issue
51
- AutumnYear
1400]
molani aghdam.hamed
Provide a model for managing psychological risk in the organization using the structural model of the ISM interpreter
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Vol.14,
Issue
51
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1400]
Monavari.Hossein
Instruments of Financial Regulation in Iran & U.K
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Vol.11,
Issue
39
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1397]
montazer.mahdi
The fundamental distinctions between warehouse receipts and specific commercial documents
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Vol.16,
Issue
59
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1402]
montazer.mahdi
Recognition and functioning of warehouse receipt in Iran’s law and comparing with US Uniform Commercial Code
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Vol.15,
Issue
53
- SpringYear
1401]
Montazer.Mehdi
Designing a legal and financial model for capital changes in public joint stock companies in Iranian and English laws
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Vol.16,
Issue
60
- WinterYear
1402]
Moradi.Zahra
Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market
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Vol.17,
Issue
61
- SpringYear
1403]
mosavian.abbas
Evaluation and comparative analysis of mudarabah papers based on the standards of Shafi'i and Imami jurisprudence
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Vol.16,
Issue
58
- SummerYear
1402]
motadel.mohammadereza
Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions
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Vol.17,
Issue
61
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1403]
motameni.homayun
The effect of FDI on Economic Growththrough the Channel of Financial
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Vol.6,
Issue
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1392]
motameni.homayun
Stock prices and exchange rates in Tehran stock market
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Vol.7,
Issue
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1393]
motevasel.morteza
Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market
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Vol.17,
Issue
62
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1403]
Mousavi Sarhadi.Seyed Ali
Estimation of tail Risk measures in Tehran Stock Exchange Using Generalized Multi-Dimensional Autoregressive Ranking Approach (DMS-GAS)
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Vol.17,
Issue
61
- SpringYear
1403]
mousazadeh.abdollah
The effectiveness of neural financial model based on testosterone measurement on the attitude and decision of investors in Tehran Stock Exchange
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Vol.15,
Issue
53
- SpringYear
1401]
mozaffari.zana
Determination of Interest Rate in Iran by using Fuzzy logic Method
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Vol.9,
Issue
30
- SummerYear
1395]
mozaffari.zana
The Effectof The Real Effective Exchange Rate Misalignment on Iranian Non-Oil Exports: The BEER approach
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Vol.9,
Issue
32
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1395]
N
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Introducing an Early Warning System for High Volatility in Tehran Stock Exchange: Markov Switching GARCH Approach
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Vol.8,
Issue
28
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1394]
naderi.somayeh
Identify factors affecting on under pricing of Initial Public Offering (IPO) shares of listed companies Tehran Stock Exchange
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Vol.9,
Issue
31
- AutumnYear
1395]
nadighomi.vali
Time-varying effect of oil price shocks on
the stock market return of Iran by it
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Vol.11,
Issue
39
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1397]
nadryan.arash
A Green Financing Model for Companies through Banking Industry: Grounded Theory Approach
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Vol.15,
Issue
54
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1401]
nafisi.maryam
Forecasting Stock Return Volatility for the Tehran Stock Exchange by Algorithm MCMC and Metropolis-Hasting approach
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Vol.9,
Issue
32
- WinterYear
1395]
Najafi moghadam.Ali
The experience of Iran Capital Market in securitization of assets
(A case study of Sukuk publication)
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Vol.10,
Issue
33
- SpringYear
1396]
Najafi moghadam.Ali
Comparing the Frechet Distribution and the Generalized Pareto Distribution in Estimating Value at Risk and Conditional Value at Risk in Tehran Stock Exchange
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Vol.14,
Issue
50
- SummerYear
1400]
najafi nezhad.mahmood
Risk Measurement in Value at Risk (VaR): Application of Levy GARCH models (Study of Chemical industries in Tehran Stock Exchange)
[
Vol.14,
Issue
49
- SpringYear
1400]
Nakhaei.Habibollah
Testing the transmission of price fluctuations of physical assets to selected industries (Application of state space approach and ARDL model)
[
Vol.14,
Issue
49
- SpringYear
1400]
NAMAKI.ali
Analyzing the systemic risk of banking industry by using EMD and GRA based on the dynamic complex network approach.
[
Vol.17,
Issue
61
- SpringYear
1403]
namjouyan.mohammadreza
The Nature of Banks' Civil Liability in Skimming According to Jurisprudence
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Vol.15,
Issue
56
- WinterYear
1401]
Naser Sadrabadi.Alireza
Detection of Stock Price Manipulation using Linear and Quadratic Discriminant Analysis
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Vol.9,
Issue
29
- SpringYear
1395]
Naser Sadrabadi.Alireza
Reviews of Manipulating Prices using QDF & ANN-GA Models in Tehran's Stock Exchange
[
Vol.8,
Issue
28
- WinterYear
1394]
Nasiri.Mohammad
Effect on economic growth in the banking sector and capital markets (the study of Islamic Conference member countries)
[
Vol.8,
Issue
27
- AutumnYear
1394]
Nazari zadeh.Mohsen
The study of popularity theory in Iran's financial market and its relationship with stock returns and stock returns volatilities in Tehran Stock Exchange
[
Vol.13,
Issue
47
- AutumnYear
1399]
Nazari.Azim
The role of banking crisis in the effect of income diversity on profitability of banking industry in Iran
[
Vol.13,
Issue
48
- WinterYear
1399]
nazari.بهروز
Provide a model for evaluating the timing skills of capital market professionals combined multi-indicator decision making and scenario design
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Vol.15,
Issue
56
- WinterYear
1401]
neko.aziz
Juridical and Economic Look to the Ijarah securities,
features and benefits
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Vol.12,
Issue
41
- SpringYear
1398]
Nekouei.Farzin
Influence of information content of earning on price and
buy- hold period return
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Vol.5,
Issue
13
- SpringYear
1391]
Nekouei.Farzin
Impact of ownership concentration on the relationship between management overconfidence and debt maturity of firms.
[
Vol.12,
Issue
43
- AutumnYear
1398]
Nikoo.Hossein
Evolutionary Multi-Objective Optimization for ultivariate Pair Trading in Tehran Stock Exchange: The Cointegration Approach
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Vol.16,
Issue
57
- SpringYear
1402]
nikoomaram.hashem
Extraction of a Mathematical Capital Asset Pricing Model within the Framework of Mental Accounting
[
Vol.10,
Issue
36
- WinterYear
1396]
nikoomaram.hashem
High Frequency Market Microstructure Noise Estimates and Inference Regarding Returns: a portfolio switching approach
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Vol.10,
Issue
34
- SummerYear
1396]
nikoomaram.hashem
Clarifying the Relationship between the Return and the Simultaneous Volatility of Stock Returns Utilizing Investment Options Pattern
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Vol.11,
Issue
37
- SpringYear
1397]
Nikoomaram.Hashem
The Pattern Design of Financial Decisions Mix of in the Development of Iranian Financial Markets
(The case of Iranian capital market)
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Vol.12,
Issue
43
- AutumnYear
1398]
Nikvash.Sama
Feasibility Study of Imposing Tax on Stock Gains in Tehran Stock Exchange
[
Vol.17,
Issue
62
- SummerYear
1403]
nobakht.vahid
Providing a model for tail risk estimation using extreme Value mixture models (Parametric, semi-parametric and non-parametric)
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Vol.14,
Issue
51
- AutumnYear
1400]
nobakht.younes
Scientometrics Study of the Islamic Finance sphere treatises in Iran
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Vol.12,
Issue
44
- WinterYear
1398]
nobari tabrizi.ali
The role of Liquid-claims, free cash flow and capital structure in optimizing financial leverage
(Case study: Iran's Capital Markets Banking Industry)
[
Vol.12,
Issue
42
- SummerYear
1398]
NOORI FARD.YADOLLAH
Detection of stock price crash using memory-based graph theory
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Vol.13,
Issue
45
- SpringYear
1399]
norouzizadeh.hossein
The impact of stock market pressure on tax benefits based on the Ming-Chin Chen model (2015)
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Vol.12,
Issue
42
- SummerYear
1398]
norouzzadeh.shabnam
Modelling the Price bubble warning system and financial crisis in the stock market
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Vol.15,
Issue
54
- SummerYear
1401]
Nosratabadi.Saeideh
Investigating the framework of stock trading movements considering the relationship between individual and group action
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Vol.13,
Issue
48
- WinterYear
1399]
nourahmadi.marziyeh
Ranking Iranian Banks in terms of corporate governance whit emphasizing the status of the board of directors and its committees
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Vol.12,
Issue
41
- SpringYear
1398]
nourbakhsh.kamyar
Market neutral statistical arbitrage strategy by factor models in Tehran stock exchange
[
Vol.11,
Issue
39
- AutumnYear
1397]
NouriFard.Yadollah
Prediction Stock Volatility and Probability Extreme Return
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Vol.13,
Issue
48
- WinterYear
1399]
O
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Optimal Portfolio of Syndicated Loans with Downside Risk Approach
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Vol.15,
Issue
55
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1401]
oyarhossein.shadi
Open banking in the age of digital transformation: theoretical approach and behavioral analysis
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Vol.16,
Issue
59
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1402]
P
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Comparing the performance of optimization models with equity investment funds: evidence from the Tehran Stock Exchange
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Vol.15,
Issue
53
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1401]
pakizeh.kamran
Exploring the effect of investors' personality on their investment performance with mediating role of heuristic biases
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Vol.12,
Issue
42
- SummerYear
1398]
panahian.hosein
Risk modeling in the stock exchange with the approach of nonlinear Bayesian models-time-varying parameters
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Vol.16,
Issue
58
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1402]
panahian.hosein
Proposing a mathematical model to measure corporate governance and its consequences on the
companies’ stock crash risk
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Vol.14,
Issue
52
- WinterYear
1400]
pedramrad.mahdi
Estimating Price Delays on Tehran Stock Exchange
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Vol.11,
Issue
38
- SummerYear
1397]
pevand.alireza
Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach
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Vol.17,
Issue
62
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1403]
Peykani.Pejman
Performance Assessment of Investment Firms under Uncertainty
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Vol.13,
Issue
48
- WinterYear
1399]
Pifeh.Ahmad
Presenting the pattern of capital increase and its role on changes in the market value of the company's shareholders
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Vol.16,
Issue
60
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1402]
pilehvari.nazanin
Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions
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Vol.17,
Issue
61
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1403]
pilevari.nazanin
Evaluation the Performance of e-Banking Using Combined
Fuzzy Analytic Network Process and BSC Approach
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Vol.8,
Issue
28
- WinterYear
1394]
pirdadeh beyranvand.Mahboubeh
Uncertainty about economic policies and the stock market in Iran based on Markov switching model
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Vol.12,
Issue
44
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1398]
Pourali.Mohammad Reza
Proposing a role model of accounting obligations in companies accepted in Tehran stock exchange relying on critical financial knowledge
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Vol.16,
Issue
59
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1402]
pourebrahimi.alireza
Open banking in the age of digital transformation: theoretical approach and behavioral analysis
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Vol.16,
Issue
59
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1402]
pourebrahimi.Alireza
Presentation of electronic banking forensic policy model
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Vol.16,
Issue
59
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1402]
Pourebrahimi.Alireza
Presentation of a Two Stages Model Based on Data Mining for Evaluation of Common Customers of Bank and Insurance Companies
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Vol.14,
Issue
50
- SummerYear
1400]
pourgoudarzi.Alireza
Investigating the effect of default risk on explanatory
power of Fama-French five factor model
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Vol.13,
Issue
46
- SummerYear
1399]
Pourjavan.Abdollah
The Design and Calibration of a New Keynesian DSGE Model with Stock Market Dynamics in Iran Economy
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Vol.11,
Issue
38
- SummerYear
1397]
poursalehi.naeimeh
Forensic Accounting Paradigm in Changing Approach to Risk Disclosure of Capital Market Firms: Development of Homology Theory to Symbolize Investors Perception
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Vol.14,
Issue
50
- SummerYear
1400]
poursalehi.naeimeh
Effect of Different Levels of Corporate Risk Disclosure on Investors' Perceptions
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Vol.15,
Issue
54
- SummerYear
1401]
poursalehi.naeimeh
Presenting a model for the development of technological start-ups for the dynamics of external management mechanisms
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Vol.16,
Issue
57
- SpringYear
1402]
poursalehi.naeimeh
Evaluation of the optimal portfolio using accounting criteria using multi-criteria decision criteria under conditions of uncertainty in the Iranian capital market
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Vol.14,
Issue
51
- AutumnYear
1400]
pourshahabi.Farshid
Investigate the relation of financial Distress, life cycle and restructuring Strategies of crisis companies
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Vol.13,
Issue
47
- AutumnYear
1399]
pourshahabi.Farshid
The role of banking crisis in the effect of income diversity on profitability of banking industry in Iran
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Vol.13,
Issue
48
- WinterYear
1399]
Pourzamani.Zahra
Spillover Effect the on Contest Import & Export oriented industries
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Vol.8,
Issue
25
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1394]
Pourzamani.Zahra
The Comparison of Stock Trading Strategies for Computing of Stock
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Vol.5,
Issue
14
- SummerYear
1391]
Pourzamani.Zahra
The Impact of Management Disorders on Financial Reporting Agility
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Vol.14,
Issue
52
- WinterYear
1400]
Pourzamani.Zahra
The Investigation of Relationship between Earnings Management and
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Vol.5,
Issue
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- WinterYear
1391]
Pourzarandi.MoahammadEbrahim
Designing and presenting a model to determine the effect of macroeconomic and banking variables on the occurrence of asset freezing in the country's banking system
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Vol.16,
Issue
60
- WinterYear
1402]
Pourzarandi.MoahammadEbrahim
Modelling the Price bubble warning system and financial crisis in the stock market
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Vol.15,
Issue
54
- SummerYear
1401]
Pourzarandi.MoahammadEbrahim
Application of fuzzy network data envelopment analysis model with optional input-undesirable output in order to evaluate the performance of bank branches
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Vol.16,
Issue
58
- SummerYear
1402]
Poustfroush.Mohammad Hossein
Reviews of Manipulating Prices using QDF & ANN-GA Models in Tehran's Stock Exchange
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Vol.8,
Issue
28
- WinterYear
1394]
Pouyanfar.Ahmad
Smart Portfolio Modeling Using the Kalman Filter Pattern and Kelly Functions
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Vol.13,
Issue
48
- WinterYear
1399]
Prokopczuk.Marcel
Dynamic Efficiency in Tehran Stock Exchange by Kalman Filter
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Vol.12,
Issue
42
- SummerYear
1398]
Q
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Identifying Banking Crisis Using Banking Stress Index in Iranian Economy (Dynamic Factor Model)
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Vol.14,
Issue
49
- SpringYear
1400]
Qashqai.Ebrahim
Introduction a conceptual model of the effective factors of contrarian trading strategy in the formation of a profitable portfolio using the Grounded theory
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Vol.16,
Issue
59
- AutumnYear
1402]
R
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Designing a financial stability model in order to respond to Islamic banking returns to shocks in the value of the national currency
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Vol.17,
Issue
61
- SpringYear
1403]
radfar.hadi
The effect of financial stability and fluctuations in the value of the national currency on the efficiency of Islamic banking, under the switching regime change model
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Vol.16,
Issue
58
- SummerYear
1402]
Radfar.Mohammad Reza
Designing native decision-making model for selecting venture capital in emerging companies: A mixed study
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Vol.15,
Issue
55
- AutumnYear
1401]
Radfar.Reza
Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions
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Vol.17,
Issue
61
- SpringYear
1403]
Radfar.Reza
Presentation of a Two Stages Model Based on Data Mining for Evaluation of Common Customers of Bank and Insurance Companies
[
Vol.14,
Issue
50
- SummerYear
1400]
Radfar.Reza
Open banking in the age of digital transformation: theoretical approach and behavioral analysis
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Vol.16,
Issue
59
- AutumnYear
1402]
Ragh.Fatemeh
Risk modeling in the stock exchange with the approach of nonlinear Bayesian models-time-varying parameters
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Vol.16,
Issue
58
- SummerYear
1402]
Rahimi.Mehran
Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market
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Vol.17,
Issue
62
- SummerYear
1403]
rahmani fazli.hadi
Financial accelerator in a DSGE model with financial and banking sectors for Iran
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Vol.10,
Issue
36
- WinterYear
1396]
Rahmani.Hesam
Impact of Individual Stock Crowded Trades and Individual Stock Investor Sentiment on Excess Returns
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Vol.13,
Issue
46
- SummerYear
1399]
rahmani.morteza
Using multi-fractal method in ranking portfolio efficiency
[
Vol.14,
Issue
52
- WinterYear
1400]
Rahnamay Roodposhti.Fereydoon
Identifying the factors affecting financial resilience of entrepreneurial business with risk management approach using fuzzy ANP method
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Vol.16,
Issue
60
- WinterYear
1402]
Rahnamay Roodposhti.Fereydoon
Predicting the Overall Index of Tehran Stock Exchange UsingSingular spectrum analysis Based on Genetic Algorithm and Overlap Singular spectrum analysis
[
Vol.17,
Issue
61
- SpringYear
1403]
Rahnamay Roodposhti.Fereydoon
Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach
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Vol.17,
Issue
62
- SummerYear
1403]
Rahnamay Roodposhti.Fereydoon
Evaluation and comparative analysis of mudarabah papers based on the standards of Shafi'i and Imami jurisprudence
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Vol.16,
Issue
58
- SummerYear
1402]
Rahnamay Roodposhti.Fereydoon
The Pattern Design of Financial Decisions Mix of in the Development of Iranian Financial Markets
(The case of Iranian capital market)
[
Vol.12,
Issue
43
- AutumnYear
1398]
Rahnamay Roodposhti.Fereydoon
Provide a model for evaluating the timing skills of capital market professionals combined multi-indicator decision making and scenario design
[
Vol.15,
Issue
56
- WinterYear
1401]
Rahnamay Roodposhti.Fereydoon
Effect of High-frequent trading (HFT) of Stock liquidation
[
Vol.8,
Issue
28
- WinterYear
1394]
Rahnamay Roodposhti.Fereydoon
High Frequency Market Microstructure Noise Estimates and Inference Regarding Returns: a portfolio switching approach
[
Vol.10,
Issue
34
- SummerYear
1396]
Rahnamay Roodposhti.Fereydoon
An Investigation & Comparison between Accounting Measures of Performance Evaluation & value-Based Measures in Estimating the Companies’ Economic Rate of Return
[
Vol.4,
Issue
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- SummerYear
1390]
Rahnamay Roodposhti.Fereydoon
Provide a Debt Financing Model for Financial Institutions and Banks Based on Crowdfunding with a Grounded Theory Approach
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Vol.15,
Issue
54
- SummerYear
1401]
Rahnamay Roodposhti.Fereydoon
Examining the Effect of Ownership Dispersion on the Relation between Voluntary Disclosure and Cost of Equity Capital
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Vol.13,
Issue
46
- SummerYear
1399]
Rahnamay Roodposhti.Fereydoon
Stock portfolio optimization based on the combined model of omega ratio and mean-variance Markowitz based on two-level ensemble machine learning
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Vol.15,
Issue
55
- AutumnYear
1401]
Rahnamay Roodposhti.Fereydoon
Testing the informational Efficiency and Rational Bubble in TSE and its
Subsections Using Variance Ratio Test and Stationary Test of Price-
Dividend Ratio
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Vol.5,
Issue
14
- SummerYear
1391]
Rahnamay Roodposhti.Fereydoon
Clarifying the Relationship between the Return and the Simultaneous Volatility of Stock Returns Utilizing Investment Options Pattern
[
Vol.11,
Issue
37
- SpringYear
1397]
Rahnamay Roodposhti.Fereydoon
The effects of financial stress index on economic growth using linear and nonlinear models (Markov Switching)
[
Vol.12,
Issue
42
- SummerYear
1398]
Rahnamay Roodposhti.Fereydoon
Portfolio Optimization in Capital Market Bubble Condition
[
Vol.11,
Issue
40
- WinterYear
1397]
Rahnamay Roodposhti.Fereydoon
Political connections, dividend and stock return in listed firms
on Tehran Stock Exchange
[
Vol.11,
Issue
38
- SummerYear
1397]
Rahnamay Roodposhti.Fereydoon
Gold as a Safe Haven for Tehran Stock Exchange: A Regime Switching Approach
[
Vol.11,
Issue
40
- WinterYear
1397]
Rahnamay Roodposhti.Fereydoon
Providing a Comprehensive Model for Measuring the Stock Price Bubble in Portfolio Management with a Behavioral Approach
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Vol.16,
Issue
57
- SpringYear
1402]
Rahnamay Roodposhti.Fereydoon
The Effect of Political cycles in condition of Rational speculative bubbles and Based on the Theory of Constraints on the Real Rate of Return for selected firms in Tehran Stock Market
[
Vol.13,
Issue
45
- SpringYear
1399]
rajabzadeh.hamed
Lasso artificial intelligence approach in liquidity forecasting Companies listed on the Tehran Stock Exchange
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Vol.14,
Issue
52
- WinterYear
1400]
raki.moloud
Modeling the Effect of Loss Averse Bias on Return Rate and Stock Price Dynamics
(Application of Agent-Based Modeling in Behavioral Finance)
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Vol.13,
Issue
45
- SpringYear
1399]
RAMEZANI.ALI
Providing a Comprehensive Model for Measuring the Stock Price Bubble in Portfolio Management with a Behavioral Approach
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Vol.16,
Issue
57
- SpringYear
1402]
RAMEZANI.ALI
The Effect of Political cycles in condition of Rational speculative bubbles and Based on the Theory of Constraints on the Real Rate of Return for selected firms in Tehran Stock Market
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Vol.13,
Issue
45
- SpringYear
1399]
Ramtinnia.Shahin
Portfolio optimization with differential evolution and conditional value at risk approach
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Vol.11,
Issue
40
- WinterYear
1397]
Ranjbar.Samira
Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market
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Vol.17,
Issue
62
- SummerYear
1403]
ranjpour.reza
The Influence of socio-cultural factors by role of mediator Trust on participation in the stock
(Case Study: Iran Stock Market)
[
Vol.11,
Issue
40
- WinterYear
1397]
Rasekh.Mohammad
Instruments of Financial Regulation in Iran & U.K
[
Vol.11,
Issue
39
- AutumnYear
1397]
rashedi.elnaz
Investigating the Impact of Business Cycles and Investment Strategies on Return Asymmet
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Vol.16,
Issue
57
- SpringYear
1402]
rashki Ghaleno.Mahin
Frequency analysis of stock return rates in the Iranian capital market Based on the wavelet approach
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Vol.16,
Issue
58
- SummerYear
1402]
Rayati Shavazi.Alireza
Predicting Financial Contagion from Generating shock in Investment Institutions Activated in Capital Market due to Overlapping Portfolios Risk
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Vol.17,
Issue
61
- SpringYear
1403]
reisizadeh.hamidreza
Designing the financial stress index based on the turbulence of global variables and its relationship with the index of the Tehran Stock Exchange and the exchange rate
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Vol.17,
Issue
62
- SummerYear
1403]
Rekabdar.Ghasem
Evaluating the Isomorphism of Green Tax in the Presence of the Element of Thick Decision: The Interpretive Ranking Process (IRP)
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Vol.14,
Issue
51
- AutumnYear
1400]
Rezaei Pandari.Abbas
Predicting Financial Contagion from Generating shock in Investment Institutions Activated in Capital Market due to Overlapping Portfolios Risk
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Vol.17,
Issue
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- SpringYear
1403]
rezaei sakha.zeinab
Uncertainty in macroeconomic Assets Market: An Approach of Stochastic Portfolio
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Vol.12,
Issue
42
- SummerYear
1398]
rezaei.hossein
Optimal Portfolio of Syndicated Loans with Downside Risk Approach
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Vol.15,
Issue
55
- AutumnYear
1401]
Rezaei.Maryam
Study on Relationship between Stock liquidity and managerial short-termism
[
Vol.13,
Issue
45
- SpringYear
1399]
rezaei.nader
Investigating the Impact of Accrual Anomaly on Corporate Financing Activities
[
Vol.13,
Issue
46
- SummerYear
1399]
Rezaei.Nader
Smart Portfolio Modeling Using the Kalman Filter Pattern and Kelly Functions
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Vol.13,
Issue
48
- WinterYear
1399]
Rohani.Maryam
The effect of the abundance of natural resources on financial development in selected OPEC countries of oil and gas (with emphasis on the multi-dimensional index of financial market development in the stock market)
[
Vol.12,
Issue
42
- SummerYear
1398]
Roshan.Reza
Investigation equity risk premium puzzle in Iran’s economy usingGMM estimation in the S-CCAPM model
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Vol.9,
Issue
32
- WinterYear
1395]
roshanpazhooh.akram
The Relationship between Capital Structure and Corporate Performance In the Tehran Stock Exchange
(Business Cycle Effect)
[
Vol.12,
Issue
44
- WinterYear
1398]
rostami cheri.pouria
Information and Communication Technology & capital market uncertainty
[
Vol.15,
Issue
56
- WinterYear
1401]
rostami.ali
Comparison between trading entities and groups in the incidence of magnetic effect on the range at Tehran Stock Exchange
[
Vol.8,
Issue
27
- AutumnYear
1394]
S
SABA.MINA
Comparison of the Efficiency of Technical Analysis Indicators in in the capital market periods of the boom and depression in the active Manufacturing companies at the Tehran Stock Exchange
[
Vol.12,
Issue
42
- SummerYear
1398]
saboor.siavash
E-Garch and Modeling of Market Volatility Based
on Noise Trading
[
Vol.12,
Issue
44
- WinterYear
1398]
Sabzeh.Majid
Analysis among shareholders, creditors and government conflicts in cash interest division approach to game theories
[
Vol.14,
Issue
49
- SpringYear
1400]
Sadat Shekarab.Seyyed Hamid Reza
Investigating the mechanism of systemic liquidity risk transmission of corporate stocks in capital market of Iran
[
Vol.16,
Issue
60
- WinterYear
1402]
sadeghi.maryam
Proposing a mathematical model to measure corporate governance and its consequences on the
companies’ stock crash risk
[
Vol.14,
Issue
52
- WinterYear
1400]
saeidi.parviz
Investigation of the role of psychological and performance factors on willingness to invest in stock market with mediating role of investor satisfaction and perceived risk of investors
[
Vol.13,
Issue
48
- WinterYear
1399]
saeidi.parviz
A Green Financing Model for Companies through Banking Industry: Grounded Theory Approach
[
Vol.15,
Issue
54
- SummerYear
1401]
saeidi.parviz
Investor Sentiment Based on the Crude Oil Business Cycle
[
Vol.12,
Issue
42
- SummerYear
1398]
safa.mojgan
Estimation of tail Risk measures in Tehran Stock Exchange Using Generalized Multi-Dimensional Autoregressive Ranking Approach (DMS-GAS)
[
Vol.17,
Issue
61
- SpringYear
1403]
safavi.bijan
Designing a financial stability model in order to respond to Islamic banking returns to shocks in the value of the national currency
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Vol.17,
Issue
61
- SpringYear
1403]
safavi.bijan
The effect of financial stability and fluctuations in the value of the national currency on the efficiency of Islamic banking, under the switching regime change model
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Vol.16,
Issue
58
- SummerYear
1402]
Salahmanesh.Ahmad
The Design and Calibration of a New Keynesian DSGE Model with Stock Market Dynamics in Iran Economy
[
Vol.11,
Issue
38
- SummerYear
1397]
salahvarzi.sohbat
Test the effectiveness of stock price synchronicity
on risk of stock price reduction
[
Vol.11,
Issue
38
- SummerYear
1397]
Salatin.Parveneh
Information and Communication Technology & capital market uncertainty
[
Vol.15,
Issue
56
- WinterYear
1401]
salehi.mehrdad
A scheme of CAPM models considering momentum premium
[
Vol.12,
Issue
43
- AutumnYear
1398]
Salehi.Mojtaba
Economies of Scale based on Theory of Constraints in Banks
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Vol.11,
Issue
39
- AutumnYear
1397]
salehi.saeed
Stock Price Synchronicity Based on Uncertainty in Monetary Policies
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Vol.15,
Issue
55
- AutumnYear
1401]
salmalian.sahar
A comparison of fundamental and historical beta in assessment of systematic risk Evidence from Tehran Security Exchange
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Vol.12,
Issue
43
- AutumnYear
1398]
salmani.behzad
Relationship between real effective exchange rate and trade balance, considering savings rate: Smooth Transition Regression (STR) Approach
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Vol.11,
Issue
40
- WinterYear
1397]
Samadi Larghani.Mahmood
Dynamic correlation between oil price, financial transparency and stock crash risk; using the Panel VAR model
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Vol.16,
Issue
60
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1402]
samadi tirandazi.roghaye
Frequency analysis of stock return rates in the Iranian capital market Based on the wavelet approach
[
Vol.16,
Issue
58
- SummerYear
1402]
samadi.fatemeh
Investigating the Impact of Business Cycles and Investment Strategies on Return Asymmet
[
Vol.16,
Issue
57
- SpringYear
1402]
samadi.mahmood
Proposing a role model of accounting obligations in companies accepted in Tehran stock exchange relying on critical financial knowledge
[
Vol.16,
Issue
59
- AutumnYear
1402]
Samadi.Mohammad Taghi
The Effect of Liquidity Risk and Credit Risk on Financial Stability Banking industry in Iran; Multiple regression approach
[
Vol.11,
Issue
38
- SummerYear
1397]
Samavi.Mohammad Ebrahim
Modeling and Forecasting Distribution of Return on the Tehran Stock Exchange Index and Bitcoin with the GAS Time Variable Method
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Vol.15,
Issue
55
- AutumnYear
1401]
Sarafraz.Elaheh
The Relationship between Stock Mispricing and Corporate Investments with Emphasis on the Role of Financial Constraints and Time Horizon of Stockholders Investment
[
Vol.11,
Issue
37
- SpringYear
1397]
sarlak.ahmad
Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic
[
Vol.17,
Issue
62
- SummerYear
1403]
Sarraf.Fatemeh
Detection of stock price crash using memory-based graph theory
[
Vol.13,
Issue
45
- SpringYear
1399]
seidshokri.khashayar
The impact of exchange rate shock and gross domestic product on the country's Islamic contracts
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Vol.17,
Issue
62
- SummerYear
1403]
seifi.farnaz
The Impact of Financial Risk on the Efficiency in the Tehran
Stock Exchange Companies
[
Vol.13,
Issue
45
- SpringYear
1399]
Seighali.Mohsen
Estimating the Investment Risk in a Digital Currency Portfolio and Optimizing it Using Value at Risk
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Vol.13,
Issue
47
- AutumnYear
1399]
sh.ابوالفضل
Examining the Reaction of Economic Complexities to Financial Stress Impulse, a Case Study of Iran
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Vol.16,
Issue
59
- AutumnYear
1402]
shaban.mahdi
Testing the transmission of price fluctuations of physical assets to selected industries (Application of state space approach and ARDL model)
[
Vol.14,
Issue
49
- SpringYear
1400]
shaerattar.mahdi
The effect of underlying asset shocks on the Gold exchange traded funds’ pricing deviation
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Vol.14,
Issue
51
- AutumnYear
1400]
shafiee.شفیعی
Cumulative accuracy profile in banks' credit risk assessment: accounting based models and market based models
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Vol.14,
Issue
51
- AutumnYear
1400]
Shahab Lavasani.Keyvan
Investigating the effect of increasing the transacting probability of informed traders on adverse selection of market maker
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Vol.13,
Issue
46
- SummerYear
1399]
Shahabadi.Abolfazl
Identifying Banking Crisis Using Banking Stress Index in Iranian Economy (Dynamic Factor Model)
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Vol.14,
Issue
49
- SpringYear
1400]
SHAHABI SHOJAEI.ghazal
Provide a Debt Financing Model for Financial Institutions and Banks Based on Crowdfunding with a Grounded Theory Approach
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Vol.15,
Issue
54
- SummerYear
1401]
Shahbazinia.Morteza
The fundamental distinctions between warehouse receipts and specific commercial documents
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Vol.16,
Issue
59
- AutumnYear
1402]
Shahbazinia.Morteza
Recognition and functioning of warehouse receipt in Iran’s law and comparing with US Uniform Commercial Code
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Vol.15,
Issue
53
- SpringYear
1401]
Shahiki Tash.M.N.
Investigation equity risk premium puzzle in Iran’s economy usingGMM estimation in the S-CCAPM model
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Vol.9,
Issue
32
- WinterYear
1395]
Shahmoradi.Nasim
The effect of economic uncertainty On the dynamic relationship between earnings quality and return in listed companies in Tehran stock market: exchange market pressure approach
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Vol.14,
Issue
49
- SpringYear
1400]
Shahnazari.Mohammad Reza
Forecasting the Price of Natural Gas Using Developed Methods Based on Grays and Fractals
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Vol.13,
Issue
46
- SummerYear
1399]
Shahriari.Ali Asghar
Comparative Analysis of Stock Portfolio Optimization in Fireworks and Genetic Algorithms Using Conditional Value at Risk
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Vol.14,
Issue
51
- AutumnYear
1400]
shahtalei.hasan
Micro Investors' Perceptual Models exposing Capital Market of Iran using Zaltman's Mental Metaphors technique (Case study: Micro Investors of Tehran Stock Exchange (MITSE) residing Khuzestan Province)
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Vol.15,
Issue
56
- WinterYear
1401]
Shahverdiani.Shadi
Designing a Model for Social Trading Platforms in Irans Capital Market
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Vol.15,
Issue
54
- SummerYear
1401]
Shahverdiani.Shadi
Provide a Debt Financing Model for Financial Institutions and Banks Based on Crowdfunding with a Grounded Theory Approach
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Vol.15,
Issue
54
- SummerYear
1401]
Shahverdiani.Shadi
The formation of the investment optimal portfolio based on the approach of the analysis of Social channels in Iran’s equities market (Quantitative and qualitative attitude)
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Vol.16,
Issue
57
- SpringYear
1402]
Shahverdiani.Shadi
Providing a Comprehensive Model for Measuring the Stock Price Bubble in Portfolio Management with a Behavioral Approach
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Vol.16,
Issue
57
- SpringYear
1402]
Shamsiyan.Smaeil
Financial Performance Comparison among Region Managements of Bank and Split the country from provincial effects, and their competitiveness using Constant Market Share
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Vol.10,
Issue
36
- WinterYear
1396]
Sharifirad.Hossein
An Empirical Test of Capital Market Rule Behavior: Political Uncertainty and the Capital Market Information Environment
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Vol.14,
Issue
51
- AutumnYear
1400]
Sharifi-Renani.Hossein
Threshold effects of good governance in relation to public spending, financial inclusion and economic growth in selected MENA countries
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Vol.17,
Issue
61
- SpringYear
1403]
Sharifi-Renani.Hossein
Analysis of the the Impact of Symmetric and Asymmetric Shocks of Oil Price on Investor Sentiment in IRAN:
Markovs-Switching Approach
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Vol.14,
Issue
52
- WinterYear
1400]
Sheikh.Abbas Ali
A Green Financing Model for Companies through Banking Industry: Grounded Theory Approach
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Vol.15,
Issue
54
- SummerYear
1401]
Sherkhani.Abolfazl
Investigating the Effect of CEO Narcissism on Shareholder Swarm Intelligence: Hubris Phenomenon Test
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Vol.17,
Issue
62
- SummerYear
1403]
shirazian.zahra
Investigating effect of mean residence time on herd behavior on Tehran stock exchange index volatility by Heston model
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Vol.11,
Issue
40
- WinterYear
1397]
shirazian.zahra
Investigate the relationship between Biorhythmic cycles and Error financial decision making in Tehran stock exchange
[
Vol.9,
Issue
32
- WinterYear
1395]
shirazian.zahra
Investigation of financial inclusion and financial literacy's Role in Perceived Investment Value in Tehran Stock Exchange
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Vol.12,
Issue
41
- SpringYear
1398]
shirazian.zahra
Investigation Effect of Financial Literacy and Money Management on Personal Financial Management
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Vol.11,
Issue
38
- SummerYear
1397]
Shirnejhad.Leila
Analyzing risky and no risky approach of investment opportunities levels on share return prediction ability
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Vol.14,
Issue
50
- SummerYear
1400]
Shirtavani.Sina
Efficiency analysis of the meta-heuristic algorithms in portfolio optimization
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Vol.16,
Issue
60
- WinterYear
1402]
shoja.naghi
Application of fuzzy network data envelopment analysis model with optional input-undesirable output in order to evaluate the performance of bank branches
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Vol.16,
Issue
58
- SummerYear
1402]
shoul.abbas
Investigating the framework of stock trading movements considering the relationship between individual and group action
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Vol.13,
Issue
48
- WinterYear
1399]
Sohaili.Kiomars
Examination of Inflation Expectation formation: Experimental Approach(Case Study: Kermanshah Capital Market Activists)
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Vol.13,
Issue
45
- SpringYear
1399]
Soheili.Kiumars
Compare effect of monetary and fiscal policy effect on stock market bubble within DSGE model in Iran stock market
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Vol.12,
Issue
43
- AutumnYear
1398]
SOHRABI.maryam
Dependency structure between the markets of Iran, Turkey, China and the United Arab Emirates, according the approach of Copula – Markov Switching
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Vol.13,
Issue
47
- AutumnYear
1399]
SOHRABI.maryam
Ranking of exchange-traded funds (ETF) And value at risk approach (EVT) based on value-generating theory (VaR) risk approach
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Vol.12,
Issue
44
- WinterYear
1398]
soleimani.moloud
Modeling for Measuring Corporate Financial Sustainability Using the Econophysics Method
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Vol.14,
Issue
49
- SpringYear
1400]
Soltani.Fatemeh
The Effect of Anchoring Bias and Disposition Effect on Momentum Profit with Regard to the Role of Retail Investors
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Vol.14,
Issue
52
- WinterYear
1400]
soltani.roya
Pricing of build-operate-transfer and public-private partnership projects under risk
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Vol.15,
Issue
53
- SpringYear
1401]
Soufi.Mansour
A Window Analysis of Financial Performance of the Tehran Stock Exchange Industries Using a Hybrid WASPAS, PROMETHEE II and ELECTRE III Approach
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Vol.16,
Issue
58
- SummerYear
1402]
Souri.Ali
Providing a model for tail risk estimation using extreme Value mixture models (Parametric, semi-parametric and non-parametric)
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Vol.14,
Issue
51
- AutumnYear
1400]
T
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Testing the causality of production and inflation in recession and boom regimes through tension in the stock market, foreign exchange, monetary and government markets
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Vol.17,
Issue
62
- SummerYear
1403]
tabatabaienasab.zohre
Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis)
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Vol.17,
Issue
61
- SpringYear
1403]
tabatabaienasab.zohre
The effect of economic uncertainty On the dynamic relationship between earnings quality and return in listed companies in Tehran stock market: exchange market pressure approach
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Vol.14,
Issue
49
- SpringYear
1400]
Tabibi.Seyed Jamaleddin
Evaluation of the performance of investment funds in the capital market of Iran: A panel smooth transition regression approach
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Vol.17,
Issue
62
- SummerYear
1403]
Taghavi.Mahdis
Portfolio selection by Using Multi Attribute Decision Making based on grey relational analysis and linear programming
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Vol.11,
Issue
38
- SummerYear
1397]
taghavifard.mohammadreza
KPMS in banking system according to human resource approach
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Vol.10,
Issue
33
- SpringYear
1396]
taghizade.nafise
The divergence of opinion and moderating effect of investor's attention and participation in IPO
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Vol.14,
Issue
49
- SpringYear
1400]
Taghizadeh.Kamran
Evaluation of the optimal portfolio using accounting criteria using multi-criteria decision criteria under conditions of uncertainty in the Iranian capital market
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Vol.14,
Issue
51
- AutumnYear
1400]
taherabadi.ali asghar
Evaluating the impact of governments' capital expenditures in the framework of the Crowding-In effect on the return of the stock price index
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Vol.16,
Issue
59
- AutumnYear
1402]
taherinia.masoud
Investigating the effect of financial decentralization on the relationship between financial leverage and cautious financial reporting in companies admitted to Tehran Stock Exchange
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Vol.13,
Issue
45
- SpringYear
1399]
talebi.bahman
Evaluation the impact Off Balance Sheet Financing on sustainability profit and Economic Value Added of companies listed on the Stock Exchange of Tehran
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Vol.11,
Issue
40
- WinterYear
1397]
talebniya.ghodratalah
Testing the transmission of price fluctuations of physical assets to selected industries (Application of state space approach and ARDL model)
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Vol.14,
Issue
49
- SpringYear
1400]
taleii.zahra
Dynamic correlation between oil price, financial transparency and stock crash risk; using the Panel VAR model
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Vol.16,
Issue
60
- WinterYear
1402]
Tavakoli zadeh.Rohollah
Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach
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Vol.17,
Issue
62
- SummerYear
1403]
tehrani.reza
Performance Assessment of Investment Firms under Uncertainty
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Vol.13,
Issue
48
- WinterYear
1399]
tehrani.reza
Developing a Stock Technical Trading System Integrating MLP Neural Network with Evolutionary Algorithms
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Vol.13,
Issue
45
- SpringYear
1399]
tehrani.reza
The Effect of Selecting the Type of Objective Function on Individual Default in Individual Retirement Account
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Vol.13,
Issue
45
- SpringYear
1399]
tehrani.reza
Analysis among shareholders, creditors and government conflicts in cash interest division approach to game theories
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Vol.14,
Issue
49
- SpringYear
1400]
Toloie Ashlaghi.Abbas
Open banking in the age of digital transformation: theoretical approach and behavioral analysis
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Vol.16,
Issue
59
- AutumnYear
1402]
Toloie Eshlaghy.Abbas
Presentation of a Two Stages Model Based on Data Mining for Evaluation of Common Customers of Bank and Insurance Companies
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Vol.14,
Issue
50
- SummerYear
1400]
torabi.taghi
Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions
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Vol.17,
Issue
61
- SpringYear
1403]
totonchi.jalil
Testing the causality of production and inflation in recession and boom regimes through tension in the stock market, foreign exchange, monetary and government markets
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Vol.17,
Issue
62
- SummerYear
1403]
V
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Modeling Behavior of Stock Price Using Stochastic Differential Equation with Stochastic Volatility
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Vol.9,
Issue
32
- WinterYear
1395]
vakili.azam
To Survey the Relation between Financial Restatement and Information Asymmetry (Evidences from companies listed in Tehran Stock Exchange)
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Vol.12,
Issue
41
- SpringYear
1398]
vakilifar.hamidreza
Effective factors on abnormal return of IPO in Tehran stock exchange
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Vol.4,
Issue
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- WinterYear
1390]
vakilifar.hamidreza
Earning Response Coefficient (ERC) in Tehran Bourse
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Issue
18
- SummerYear
1392]
vakilifard.hamid reza
The Pattern Design of Financial Decisions Mix of in the Development of Iranian Financial Markets
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Vol.12,
Issue
43
- AutumnYear
1398]
vakilifard.hamidreza
Predicting the Overall Index of Tehran Stock Exchange UsingSingular spectrum analysis Based on Genetic Algorithm and Overlap Singular spectrum analysis
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Vol.17,
Issue
61
- SpringYear
1403]
vakilifard.hamidreza
Modeling for Measuring Corporate Financial Sustainability Using the Econophysics Method
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Vol.14,
Issue
49
- SpringYear
1400]
vakilifard.hamidreza
Performance Persistence of Mutual Funds in Iran: Momentum Strategy Approach
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Vol.11,
Issue
40
- WinterYear
1397]
Valiyan.Hasan
Investigating the Effect of CEO Narcissism on Shareholder Swarm Intelligence: Hubris Phenomenon Test
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Vol.17,
Issue
62
- SummerYear
1403]
Valiyan.Hasan
Model CEO's Persuasion by Disclosure of Financial Information
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Vol.13,
Issue
48
- WinterYear
1399]
Valiyan.Hasan
Explaining the Model of Mental Accounting for the Selection of Portfolios of Shares of Companies in the Tehran Stock Exchange with Investment Horizon Approach
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Vol.12,
Issue
43
- AutumnYear
1398]
Varzideh.Alireza
Forecasting Total Index of Tehran Stock Exchange Using Geometric Brownian Motion Model
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Vol.13,
Issue
46
- SummerYear
1399]
Vatanparast.Mohammadreza
The methods of Rough set and Genetic Algorithms in the Intelligent Hybrid Trading System for Disclosure of Futures Trading Rules
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Vol.13,
Issue
47
- AutumnYear
1399]
Vatanparast.Mohammadreza
An Empirical Test of Capital Market Rule Behavior: Political Uncertainty and the Capital Market Information Environment
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51
- AutumnYear
1400]
Y
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Application of DEA in the calculation of consolidated index of stock liquidity (evidence of Tehran Stock Exchange)
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Vol.10,
Issue
35
- AutumnYear
1396]
Yakideh.Keikhosro
Application of DEA in the calculation of consolidated index of stock liquidity (evidence of Tehran Stock Exchange)
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Vol.10,
Issue
35
- AutumnYear
1396]
Yazdani fard.Mohammad taghi
Identify and rank strategies and consequences of using financial technology in Iran's electronic banking industry
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Vol.16,
Issue
60
- WinterYear
1402]
Yazdani Varzi.Atefeh
Explain the role of financial and economic variables on stock returns With Markov-switching Model
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Vol.14,
Issue
50
- SummerYear
1400]
Yazdani.Shohreh
Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market
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Vol.17,
Issue
61
- SpringYear
1403]
yazdanian.narges
Stock Price Synchronicity Based on Uncertainty in Monetary Policies
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Vol.15,
Issue
55
- AutumnYear
1401]
yazdanian.narges
Evaluating and study of the Fractal Properties of Capital Markets Based on DE trended Fluctuation Analysis (Case Study: Exchange Market and Stock Index of Tehran)
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Vol.14,
Issue
50
- SummerYear
1400]
yazdanian.narges
Pricing of Options Portfolio Based on Market Information Content
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Vol.16,
Issue
58
- SummerYear
1402]
Yazdanian.Narges
Pricing of Options Portfolio Based on Market Information Content
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Vol.16,
Issue
58
- SummerYear
1402]
Yazdinejad.Amir
Analyzing the structural breaks and the exchange market turbulence on volatility spillovers between exchange rates and Tehran Stock Exchange
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Vol.14,
Issue
50
- SummerYear
1400]
yosefisaeedabadi.reza
KPMS in banking system according to human resource approach
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Vol.10,
Issue
33
- SpringYear
1396]
Yosofinezhad.Maryam
Analysis of the the Impact of Symmetric and Asymmetric Shocks of Oil Price on Investor Sentiment in IRAN:
Markovs-Switching Approach
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Vol.14,
Issue
52
- WinterYear
1400]
Z
zandi.fatemeh
Designing a financial stability model in order to respond to Islamic banking returns to shocks in the value of the national currency
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Vol.17,
Issue
61
- SpringYear
1403]
zandi.fatemeh
The effect of financial stability and fluctuations in the value of the national currency on the efficiency of Islamic banking, under the switching regime change model
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Vol.16,
Issue
58
- SummerYear
1402]
ZARE.ALI
Designing a legal and financial model for capital changes in public joint stock companies in Iranian and English laws
[
Vol.16,
Issue
60
- WinterYear
1402]
zare.Hashem
Non-classical oscillator model in stock market for selected companies: An approach of quantum mechanics
[
Vol.12,
Issue
43
- AutumnYear
1398]
zare.Hashem
Uncertainty in macroeconomic Assets Market: An Approach of Stochastic Portfolio
[
Vol.12,
Issue
42
- SummerYear
1398]
zare.Mohammad
Uncertainty in macroeconomic Assets Market: An Approach of Stochastic Portfolio
[
Vol.12,
Issue
42
- SummerYear
1398]
Zareie.Atefeh
Evaluation of the Share Price Movement: A Case Study of Insurance Group in Tehran Stock Exchange
[
Vol.15,
Issue
56
- WinterYear
1401]
zholanezhad.fatemeh
The Impact of Earning Quality on Excess Returns with Regard to Momentum the Impact of Earning Quality on Excess Returns with Regard to Momentum Category 24's portfolio technique for seasonal
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Vol.10,
Issue
36
- WinterYear
1396]
zholanezhad.fatemeh
The Effect Corruption on the Financial Health of Islamic Banks
[
Vol.13,
Issue
47
- AutumnYear
1399]
zholanezhad.fatemeh
Impact of Individual Stock Crowded Trades and Individual Stock Investor Sentiment on Excess Returns
[
Vol.13,
Issue
46
- SummerYear
1399]
ziaey.mohammad adel
Evaluation and comparative analysis of mudarabah papers based on the standards of Shafi'i and Imami jurisprudence
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Vol.16,
Issue
58
- SummerYear
1402]
Zomorodian.Gholamreza
Designing the financial stress index based on the turbulence of global variables and its relationship with the index of the Tehran Stock Exchange and the exchange rate
[
Vol.17,
Issue
62
- SummerYear
1403]
Zomorodian.Gholamreza
Long memory in four main cryptocurrencies
[
Vol.15,
Issue
53
- SpringYear
1401]
Zomorodian.Gholamreza
Liquidity-adjusted Intraday Value at Risk modeling and risk management: by using Vector Auto Regression (VAR)
[
Vol.10,
Issue
36
- WinterYear
1396]
Zomorodian.Gholamreza
Provide a model for managing psychological risk in the organization using the structural model of the ISM interpreter
[
Vol.14,
Issue
51
- AutumnYear
1400]
Zomorodian.Gholamreza
Identifying instability in the banking system using the Markov Switching Model
[
Vol.14,
Issue
49
- SpringYear
1400]
Zomorodian.Gholamreza
Designing native decision-making model for selecting venture capital in emerging companies: A mixed study
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Vol.15,
Issue
55
- AutumnYear
1401]
Zomorodian.Gholamreza
Ranking of exchange-traded funds (ETF) And value at risk approach (EVT) based on value-generating theory (VaR) risk approach
[
Vol.12,
Issue
44
- WinterYear
1398]