A

  • Ab Shirini.Elham Applications Driving the Implementation of Governance Civilization as a Sustainable Ecosystem in the Future of the Capital Market [ Vol.17, Issue 63 - Autumn Year 1403]
  • abbasian.ezatollah Testing the effect of government policy uncertainty on corporate investment (revolutionary Markov switching approach) [ Vol.17, Issue 63 - Autumn Year 1403]
  • Abdi.Rasoul Expanding the Network Process of Assessing Financial Stability and Risk in Capital Market based on MES and CoVaR [ Vol.17, Issue 63 - Autumn Year 1403]
  • Abdoli.Mohammadreza Appraisal the Ground Drivers of Creative Accounting for the Neurofinance Effectiveness in the Logic of Financial Decision Makers [ Vol.17, Issue 63 - Autumn Year 1403]
  • abolhasani poorashkezar.mojtaba Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic [ Vol.17, Issue 62 - Summer Year 1403]
  • afsary.afsoon Evaluation of asset allocation strategies based on periods of recession and prosperity [ Vol.17, Issue 61 - Spring Year 1403]
  • 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 - Summer Year 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 - Spring Year 1403]
  • Ahmadi.Fatemeh Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach [ Vol.17, Issue 62 - Summer Year 1403]
  • Alavi Sheshtamed.Mohammad The Impact of Abnormal Stock Returns on Future Volatility of Stock Returns [ Vol.17, Issue 63 - Autumn Year 1403]
  • Aminian.Shirin Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis) [ Vol.17, Issue 61 - Spring Year 1403]
  • Aranmazar.Aliakbar Feasibility Study of Imposing Tax on Stock Gains in Tehran Stock Exchange [ Vol.17, Issue 62 - Summer Year 1403]
  • Aref.Masoumeh Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran [ Vol.17, Issue 62 - Summer Year 1403]
  • askarzadeh.gholamreza Evaluation of asset allocation strategies based on periods of recession and prosperity [ Vol.17, Issue 61 - Spring Year 1403]
  • Azarnivar.Leila Behavioral analysis of the relationship between the rate of return on equity and earnings management based on the smooth transition regression approach [ Vol.17, Issue 62 - Summer Year 1403]
  • Azizollahi.Sirous Providing a decision support system to assess the credit risk of real bank customers [ Vol.17, Issue 63 - Autumn Year 1403]

B

  • Babaei.Hojat Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach [ Vol.17, Issue 62 - Summer Year 1403]
  • 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 - Spring Year 1403]
  • 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 - Spring Year 1403]
  • 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 - Summer Year 1403]
  • Bajalan.Saeed Predicting prices of stocks listed in Tehran Stock Exchange using Generative Adversarial Networks [ Vol.17, Issue 63 - Autumn Year 1403]
  • Banimahd.Bahman The Effect of National Culture On Banks’ Bankruptcy Risk: An International Study [ Vol.17, Issue 63 - Autumn Year 1403]
  • Behmanesh.Raha Investor Sentiment, Left tail Risk & Cross-sectional Stock Return [ Vol.17, Issue 63 - Autumn Year 1403]
  • Bonabi Ghadim.Rahim Expanding the Network Process of Assessing Financial Stability and Risk in Capital Market based on MES and CoVaR [ Vol.17, Issue 63 - Autumn Year 1403]

D

  • Damankeshideh.Marjan The impact of exchange rate shock and gross domestic product on the country's Islamic contracts [ Vol.17, Issue 62 - Summer Year 1403]
  • dehghantafti.mohamadali Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis) [ Vol.17, Issue 61 - Spring Year 1403]
  • 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 - Spring Year 1403]
  • doostian.Rahman The relationship between Conditional conservatism of accounting and The Stock Price Crash Risk [ Vol.17, Issue 61 - Spring Year 1403]

E

  • 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 - Summer Year 1403]

F

  • 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 - Summer Year 1403]
  • 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 - Summer Year 1403]
  • Faraji.Omid The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption [ Vol.17, Issue 62 - Summer Year 1403]
  • 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 - Summer Year 1403]
  • Foroughnejad.Heidar Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran [ Vol.17, Issue 62 - Summer Year 1403]

H

  • Hadinejad.Manijeh The impact of exchange rate shock and gross domestic product on the country's Islamic contracts [ Vol.17, Issue 62 - Summer Year 1403]
  • 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 - Spring Year 1403]
  • haghgoye haghghi.morteza The impact of exchange rate shock and gross domestic product on the country's Islamic contracts [ Vol.17, Issue 62 - Summer Year 1403]
  • Hassani.Mohammad Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market [ Vol.17, Issue 62 - Summer Year 1403]
  • Heidarzadeh Hanzaei.Alireza The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption [ Vol.17, Issue 62 - Summer Year 1403]

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 - Spring Year 1403]
  • Izadi.Seyed Hosein A Model for Deviation from target capital structure and cost of equity [ Vol.17, Issue 63 - Autumn Year 1403]

J

  • Jafari.Zahra Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market [ Vol.17, Issue 61 - Spring Year 1403]
  • Jafari.Zahra Expanding the Network Process of Assessing Financial Stability and Risk in Capital Market based on MES and CoVaR [ Vol.17, Issue 63 - Autumn Year 1403]
  • jamali.jafar Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran [ Vol.17, Issue 62 - Summer Year 1403]
  • Jamalifar.Golnaz Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market [ Vol.17, Issue 62 - Summer Year 1403]
  • jozi.parsa Designing algorithmic trading strategy based on deep reinforcement learningCase study: Tehran Stock Exchange [ Vol.17, Issue 61 - Spring Year 1403]

K

  • kabiri.mohammadtaghi An Analysis on the role of Sustainability Reporting in Corporate Debt Financing Policies [ Vol.17, Issue 63 - Autumn Year 1403]
  • Kallantari.Mehdi Appraisal the Ground Drivers of Creative Accounting for the Neurofinance Effectiveness in the Logic of Financial Decision Makers [ Vol.17, Issue 63 - Autumn Year 1403]
  • Kazemian hossinabadi.Saeed Designing algorithmic trading strategy based on deep reinforcement learningCase study: Tehran Stock Exchange [ Vol.17, Issue 61 - Spring Year 1403]
  • Keyghobadi.Amir Reza Design an integrated optimal hybrid algorithmic trading system with simultaneous multi-price estimation [ Vol.17, Issue 63 - Autumn Year 1403]
  • Keyghobadi.Amir Reza The Impact of Abnormal Stock Returns on Future Volatility of Stock Returns [ Vol.17, Issue 63 - Autumn Year 1403]
  • Khalili.Alireza Analysis of Financial-Legal Dimensions of Competition Between Stock Exchanges Based on Comparative Study of Iran and the United States [ Vol.17, Issue 61 - Spring Year 1403]
  • Khalili.Hadis Analyzing the systemic risk of banking industry by using EMD and GRA based on the dynamic complex network approach. [ Vol.17, Issue 61 - Spring Year 1403]
  • Khalili.Yassaman An Analysis on the role of Sustainability Reporting in Corporate Debt Financing Policies [ Vol.17, Issue 63 - Autumn Year 1403]
  • Khatami.Niloufar Threshold effects of good governance in relation to public spending, financial inclusion and economic growth in selected MENA countries [ Vol.17, Issue 61 - Spring Year 1403]
  • Khedri.Nader Applications Driving the Implementation of Governance Civilization as a Sustainable Ecosystem in the Future of the Capital Market [ Vol.17, Issue 63 - Autumn Year 1403]
  • Khodadadi.Vali Applications Driving the Implementation of Governance Civilization as a Sustainable Ecosystem in the Future of the Capital Market [ Vol.17, Issue 63 - Autumn Year 1403]
  • khodaei valahzaghard.mohammad Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market [ Vol.17, Issue 62 - Summer Year 1403]
  • Koohestani.Behnam The Effect of National Culture On Banks’ Bankruptcy Risk: An International Study [ Vol.17, Issue 63 - Autumn Year 1403]

L

  • loni.somaieh Testing the effect of government policy uncertainty on corporate investment (revolutionary Markov switching approach) [ Vol.17, Issue 63 - Autumn Year 1403]

M

  • Madanchi Zaj.Mahdi Providing a decision support system to assess the credit risk of real bank customers [ Vol.17, Issue 63 - Autumn Year 1403]
  • Madanchi Zaj.Mahdi Design an integrated optimal hybrid algorithmic trading system with simultaneous multi-price estimation [ Vol.17, Issue 63 - Autumn Year 1403]
  • Maleki Oskouei.Malektaj The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption [ Vol.17, Issue 62 - Summer Year 1403]
  • Mashhadizadeh.reza Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach [ Vol.17, Issue 62 - Summer Year 1403]
  • matinfard.mehran Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market [ Vol.17, Issue 62 - Summer Year 1403]
  • Mirlohi.Seyed Mojtaba Identifying and prioritizing financing management methods in the face of environmental risks [ Vol.17, Issue 63 - Autumn Year 1403]
  • mirzaeinejad.mohamadreza The impact of exchange rate shock and gross domestic product on the country's Islamic contracts [ Vol.17, Issue 62 - Summer Year 1403]
  • moghaddam.javad The sensitivity of equity returns to investors' sentiments despite the quality of financial disclosures and corruption [ Vol.17, Issue 62 - Summer Year 1403]
  • Mohammadi.Teymoor Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic [ Vol.17, Issue 62 - Summer Year 1403]
  • mohammadipour.rahmatullah Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach [ Vol.17, Issue 62 - Summer Year 1403]
  • Mohseni.Ghasem Providing a decision support system to assess the credit risk of real bank customers [ Vol.17, Issue 63 - Autumn Year 1403]
  • 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 [ Vol.17, Issue 61 - Spring Year 1403]
  • Moradi.Zahra Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market [ Vol.17, Issue 61 - Spring Year 1403]
  • motadel.mohammadereza Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions [ Vol.17, Issue 61 - Spring Year 1403]
  • motevasel.morteza Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market [ Vol.17, Issue 62 - Summer Year 1403]
  • Mousavi Sarhadi.Seyed Ali Estimation of tail Risk measures in Tehran Stock Exchange Using Generalized Multi-Dimensional Autoregressive Ranking Approach (DMS-GAS) [ Vol.17, Issue 61 - Spring Year 1403]

N

  • nagilo.hamad The effect of monetary and financial policies on the price of financial assets Using the Panel VAR method [ Vol.17, Issue 63 - Autumn Year 1403]
  • najafe zade.sara Predicting prices of stocks listed in Tehran Stock Exchange using Generative Adversarial Networks [ Vol.17, Issue 63 - Autumn Year 1403]
  • 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 - Spring Year 1403]
  • NAMAKI.ali Predicting prices of stocks listed in Tehran Stock Exchange using Generative Adversarial Networks [ Vol.17, Issue 63 - Autumn Year 1403]
  • Nikvash.Sama Feasibility Study of Imposing Tax on Stock Gains in Tehran Stock Exchange [ Vol.17, Issue 62 - Summer Year 1403]

P

  • pevand.alireza Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach [ Vol.17, Issue 62 - Summer Year 1403]
  • pilehvari.nazanin Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions [ Vol.17, Issue 61 - Spring Year 1403]

R

  • radfar.hadi Designing a financial stability model in order to respond to Islamic banking returns to shocks in the value of the national currency [ Vol.17, Issue 61 - Spring Year 1403]
  • Radfar.Reza Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions [ Vol.17, Issue 61 - Spring Year 1403]
  • Rahimi.Mehran Financial Modeling through Behavioral Simulation of Investors in the Face of Financial Crises in the Tehran Stock Exchange Market [ Vol.17, Issue 62 - Summer Year 1403]
  • 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 - Spring Year 1403]
  • Rahnamay Roodposhti.Fereydoon Prioritizing the components affecting financial resilience in fintech businesses using the fuzzy ANP approach [ Vol.17, Issue 62 - Summer Year 1403]
  • Rajaei.Yadollah The effect of monetary and financial policies on the price of financial assets Using the Panel VAR method [ Vol.17, Issue 63 - Autumn Year 1403]
  • Ranjbar.Samira Conceptual Thematic Framework of Corporate Governance Philanthropy and Fuzzy Todim Evaluation of Main themes in the capital market [ Vol.17, Issue 62 - Summer Year 1403]
  • Rayati Shavazi.Alireza Predicting Financial Contagion from Generating shock in Investment Institutions Activated in Capital Market due to Overlapping Portfolios Risk [ Vol.17, Issue 61 - Spring Year 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 [ Vol.17, Issue 62 - Summer Year 1403]
  • Rezaei Pandari.Abbas Predicting Financial Contagion from Generating shock in Investment Institutions Activated in Capital Market due to Overlapping Portfolios Risk [ Vol.17, Issue 61 - Spring Year 1403]

S

  • safa.mojgan Estimation of tail Risk measures in Tehran Stock Exchange Using Generalized Multi-Dimensional Autoregressive Ranking Approach (DMS-GAS) [ Vol.17, Issue 61 - Spring Year 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 [ Vol.17, Issue 61 - Spring Year 1403]
  • sarlak.ahmad Long memory in Tehran Stock Market Index Compared to Exchange Rate (USD) in Iran Economic [ Vol.17, Issue 62 - Summer Year 1403]
  • seidshokri.khashayar The impact of exchange rate shock and gross domestic product on the country's Islamic contracts [ Vol.17, Issue 62 - Summer Year 1403]
  • Shahri.Maryam Appraisal the Ground Drivers of Creative Accounting for the Neurofinance Effectiveness in the Logic of Financial Decision Makers [ Vol.17, Issue 63 - Autumn Year 1403]
  • Shahverdiani.Shadi Design an integrated optimal hybrid algorithmic trading system with simultaneous multi-price estimation [ Vol.17, Issue 63 - Autumn Year 1403]
  • Sharifi-Renani.Hossein Threshold effects of good governance in relation to public spending, financial inclusion and economic growth in selected MENA countries [ Vol.17, Issue 61 - Spring Year 1403]
  • Sherkhani.Abolfazl Investigating the Effect of CEO Narcissism on Shareholder Swarm Intelligence: Hubris Phenomenon Test [ Vol.17, Issue 62 - Summer Year 1403]

T

  • tabatabaei.sadat A Model for Deviation from target capital structure and cost of equity [ Vol.17, Issue 63 - Autumn Year 1403]
  • tabatabaienasab.zohre 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 - Summer Year 1403]
  • tabatabaienasab.zohre Asymmetric effects of financial conditions on the growth of GDP in Iran (Quantile regression analysis) [ Vol.17, Issue 61 - Spring Year 1403]
  • Tabibi.Seyed Jamaleddin Evaluation of the performance of investment funds in the capital market of Iran: A panel smooth transition regression approach [ Vol.17, Issue 62 - Summer Year 1403]
  • Tavakoli zadeh.Rohollah Identifying and prioritizing factors affecting financial flexibility in Tehran Stock Exchange Companies Using Fuzzy cognitive maps Approach [ Vol.17, Issue 62 - Summer Year 1403]
  • tehrani.reza Identifying and prioritizing financing management methods in the face of environmental risks [ Vol.17, Issue 63 - Autumn Year 1403]
  • torabi.taghi Explaining the fuzzy genetic model of choosing a resilient supplier portfolio in the supply chain of the construction industry under recession conditions [ Vol.17, Issue 61 - Spring Year 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 [ Vol.17, Issue 62 - Summer Year 1403]

V

  • Vakili Fard.Hamidreza The Impact of Abnormal Stock Returns on Future Volatility of Stock Returns [ Vol.17, Issue 63 - Autumn Year 1403]
  • vakilifard.hamidreza Predicting the Overall Index of Tehran Stock Exchange UsingSingular spectrum analysis Based on Genetic Algorithm and Overlap Singular spectrum analysis [ Vol.17, Issue 61 - Spring Year 1403]
  • Valiyan.Hasan Appraisal the Ground Drivers of Creative Accounting for the Neurofinance Effectiveness in the Logic of Financial Decision Makers [ Vol.17, Issue 63 - Autumn Year 1403]
  • Valiyan.Hasan Investigating the Effect of CEO Narcissism on Shareholder Swarm Intelligence: Hubris Phenomenon Test [ Vol.17, Issue 62 - Summer Year 1403]
  • Vasheghani Farahani.Abbas Identifying and prioritizing financing management methods in the face of environmental risks [ Vol.17, Issue 63 - Autumn Year 1403]

Y

  • Yazdani.Shohreh Interpretive Evaluation of the Dimensions of Advantageous Equity Valuations in the Capital Market [ Vol.17, Issue 61 - Spring Year 1403]

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 [ Vol.17, Issue 61 - Spring Year 1403]
  • Zare shahneh.Mohammad Mehdi A Model for Deviation from target capital structure and cost of equity [ Vol.17, Issue 63 - Autumn Year 1403]
  • 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 - Summer Year 1403]