A

  • Aali.Rahman The relationship between managers' overconfidence, inflation uncertainty and overinvestment [ Vol.9, Issue 35 - Autumn Year 1399]
  • aarabi.ghasem Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [ Vol.9, Issue 36 - Winter Year 1399]
  • aarabi.mehran Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [ Vol.9, Issue 36 - Winter Year 1399]
  • abasiyan.ezatolah Investigating investment policy effect on objective achievement in personal account plan [ Vol.9, Issue 35 - Autumn Year 1399]
  • abbasi asl.mahdi Explaining the model of investors' emotional biases affecting stock price fluctuations in Tehran Stock Exchange By relying on the biases of Endowment, self-control, Optimism and Cognitive Dissonance [ Vol.13, Issue 51 - Autumn Year 1403]
  • abbasi.ebrahim Review is research affect Tobin q ratio and Revenue growth rate on the level of investment in listed companies in Tehran Stock Exchange [ Vol.1, Issue 1 - Spring Year 1391]
  • abbasi.ebrahim عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [ Vol.10, Issue 40 - Winter Year 1400]
  • abbasi.ebrahim Measurment of stock liquidity criteria surrounding capital raising decisions [ Vol.2, Issue 8 - Winter Year 1392]
  • abbasi.ebrahim Feasibility of using credit default swaps money market [ Vol.4, Issue 16 - Winter Year 1394]
  • abbasi.ebrahim The Impact of Financial Decisions on Valuation of Firms with Excess Cash flow and Firms with Low Investment Opportunities in TSE [ Vol.5, Issue 17 - Spring Year 1395]
  • abbasi.ebrahim The effect of corporate governance mechanisms on the relationship between excess free cash flow and earnings forecast [ Vol.5, Issue 20 - Winter Year 1395]
  • abbasi.ebrahim Designing a Hybrid Intelligent Model for Prediction of Stock Price Golden Points [ Vol.8, Issue 29 - Spring Year 1398]
  • abbasi.ebrahim Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [ Vol.9, Issue 33 - Spring Year 1399]
  • abbasi.ebrahim Designing a hybrid intelligent model for predicting the Financial Richness [ Vol.9, Issue 34 - Summer Year 1399]
  • abbasi.ebrahim Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [ Vol.9, Issue 36 - Winter Year 1399]
  • Abbasi.Ibrahim The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • Abbasi.Ibrahim Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [ Vol.4, Issue 15 - Autumn Year 1394]
  • abbasian.ezatollah Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [ Vol.10, Issue 39 - Autumn Year 1400]
  • abbasian.ezatollah Designing Investment conditions uncertainty index [ Vol.11, Issue 41 - Spring Year 1401]
  • Abbasifard.Mohammad Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [ Vol.7, Issue 28 - Winter Year 1397]
  • Abdi Hanjani.Hossein Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [ Vol.7, Issue 28 - Winter Year 1397]
  • abdi.ebrahim The Effect of Changes in the Banking Industry Structure on Firms Investment [ Vol.9, Issue 35 - Autumn Year 1399]
  • Abdi.Majid Evaluation of long term relations between Tehran Stock Exchange index and macroeconomic variables [ Vol.6, Issue 21 - Spring Year 1396]
  • Abdi.Nasimeh Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [ Vol.12, Issue 48 - Winter Year 1402]
  • abdi.rasoul The Effects of Social Performance Indices on the Credit Risk of Iranian Banking Industry [ Vol.10, Issue 40 - Winter Year 1400]
  • abdi.rasoul Designing a model for identifying auditors' stress triggers [ Vol.10, Issue 40 - Winter Year 1400]
  • abdi.rasoul Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [ Vol.11, Issue 42 - Summer Year 1401]
  • abdi.rasoul Investor behavior and bias resulting from of financial restatement [ Vol.12, Issue 48 - Winter Year 1402]
  • abdi.rasoul Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [ Vol.13, Issue 49 - Spring Year 1403]
  • abdi.rasoul Modeling the default correlation risk in the financial network based on the reduced model [ Vol.13, Issue 49 - Spring Year 1403]
  • abdi.rasoul The role of organizational risk management in the money laundering risk of organizations [ Vol.13, Issue 51 - Autumn Year 1403]
  • abdi.rasoul Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [ Vol.13, Issue 52 - Winter Year 1403]
  • abdi.sadegh Investigating production sharing agreement as a way to attract investment in Iran's oil industry [ Vol.11, Issue 42 - Summer Year 1401]
  • abdi.sadegh An overview of contractual methods of financing energy projects with emphasis on Project revenues [ Vol.13, Issue 51 - Autumn Year 1403]
  • Abdo Tabrizi.Hossein Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks [ Vol.12, Issue 45 - Spring Year 1402]
  • abdoh tabrizi.hossein An Evaluation of Mutual Funds Performance in Iranian Capital Market by combining Market Timing Models with the Fama and French three Factor Model [ Vol.8, Issue 31 - Autumn Year 1398]
  • abdollahian.farzaneh Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [ Vol.10, Issue 37 - Spring Year 1400]
  • abdolmaleki.amirhosein The difference between dimensions fractal and Fractal random walks of return index and future fall risk and systematic risk in Tehran Stock Exchange [ Vol.12, Issue 46 - Summer Year 1402]
  • Abdorrahimian.M. Hossein Behavioral Decision Making Pattern for Individual Investors In Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • Abed.Alimohammad Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [ Vol.13, Issue 52 - Winter Year 1403]
  • Abed.Mojtaba Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [ Vol.13, Issue 49 - Spring Year 1403]
  • Abedini.Bijan Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [ Vol.10, Issue 40 - Winter Year 1400]
  • Abolhasani Komle.Seyyede Maryam Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • abolhasani ranjbar.ahmad The mediator role of higher order math thinking skills between lower order math thinking in financial affairs and empowering financial employees based on revised bloom taxonomy [ Vol.7, Issue 28 - Winter Year 1397]
  • Abounoori.Abbasali Comparing the performance Of Artificial Neural Networks(ANN) and Auto Regressive Moving Average(ARIMA) Model in Modeling and Forecasting Short-term Exchange Rate Trend in Iran [ Vol.3, Issue 10 - Summer Year 1393]
  • Abounoori.Esmaiel The Effect of Economic and Financial Regime-switching on Equity Premium Puzzle In Fuzzy Logic Framework: The Evidence from Iran [ Vol.6, Issue 23 - Autumn Year 1396]
  • Abounoori.Esmaiel Evaluation of RGARCH Model to Estimate the Conditional Variance of Tehran Stock Exchange Index [ Vol.9, Issue 33 - Spring Year 1399]
  • abousaeidi.mina Identification of effective components in the formation of financial literacy of corporate executives using the phenomenological approach. [ Vol.10, Issue 37 - Spring Year 1400]
  • abtahi.ata ollah Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [ Vol.12, Issue 45 - Spring Year 1402]
  • abtahi.ata ollah Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [ Vol.12, Issue 48 - Winter Year 1402]
  • afruzian azar.ali The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [ Vol.7, Issue 28 - Winter Year 1397]
  • Afshar Kazemi.Mohammad Ali The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [ Vol.10, Issue 40 - Winter Year 1400]
  • Afshar Kazemi.Mohammad Ali Designing an intelligent model to optimize the safety risk of the takeoff flight using BIM-LSTM [ Vol.13, Issue 52 - Winter Year 1403]
  • Afshar Ramandi.mahdi Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [ Vol.11, Issue 42 - Summer Year 1401]
  • Afsharhajari.Firouzeh Studying the Effects of the Locus of Control on the Perceptual Errors in the Decision Making of the Investors in the Tehran Stock Exchange [ Vol.1, Issue 3 - Autumn Year 1391]
  • Afzalpour.Nima The impact of supporting minority shareholders and the majority stakeholder's patience on the relationship between managing information impact and corporate performance [ Vol.10, Issue 39 - Autumn Year 1400]
  • Aghaei.Masoud Evaluation of the effect of financial policies on Capital Market investment in financial friction [ Vol.13, Issue 49 - Spring Year 1403]
  • Aghajan Nashtaei.Reza Investigating the evaluation models of startup companies and identifying the dimensions, criteria and evaluation indicators for startup companies in the idea stage in Iran [ Vol.10, Issue 37 - Spring Year 1400]
  • Aghajan Nashtaei.Reza Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [ Vol.12, Issue 47 - Autumn Year 1402]
  • Aghajan Nashtaei.Reza Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [ Vol.12, Issue 48 - Winter Year 1402]
  • Aghajan Nashtaei.Reza Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [ Vol.13, Issue 50 - Summer Year 1403]
  • Aghajan Nashtaei.Reza The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • Aghamohammad semsar.mohammadreza Investigating the factors affecting the determination of deposit insurance premiums among Iranian banks listed on the Iranian stock exchange and OTC [ Vol.10, Issue 39 - Autumn Year 1400]
  • Aghazadeh Kamakli.Ahmad Designing the bank deposit forecasting model based on behavioral accounting and money market [ Vol.11, Issue 43 - Autumn Year 1401]
  • aghazadeh kamakoly.Ahmad Explaining the behavioral model of depositors (components suggestions and outcomes( [ Vol.13, Issue 52 - Winter Year 1403]
  • Aghili.seyed vahid Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [ Vol.7, Issue 28 - Winter Year 1397]
  • ahadzadeh.amirreza The Best Pattern of financial reporting quality in Iran from the viewpoint of investors and others interested groups [ Vol.12, Issue 46 - Summer Year 1402]
  • ahmadi niyasani.Asieh Shareholder behavior, suppression of managers' opportunistic behavior and capital market efficiency based on Baron and Kenny's regression method [ Vol.13, Issue 51 - Autumn Year 1403]
  • ahmadi.daryoosh Analyzing the Influence of Self-Esteem and Financial Knowledge on the Financial Behavior (Case study: brokerage of real investors of Eghtesade Novin Bank) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Ahmadi.Ehsan Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • ahmadi.faegh Explain the application of the theory of constraints model to assess credit risk in banks [ Vol.10, Issue 38 - Summer Year 1400]
  • ahmadi.faegh Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [ Vol.10, Issue 40 - Winter Year 1400]
  • ahmadi.faegh The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [ Vol.12, Issue 47 - Autumn Year 1402]
  • ahmadi.faegh Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [ Vol.13, Issue 52 - Winter Year 1403]
  • ahmadi.faeygh Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [ Vol.12, Issue 46 - Summer Year 1402]
  • Ahmadi.Fatemeh Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • Ahmadi.Nastaran applying Imperialist competitive algorithm (ICA) for construction and optimization Portfolio [ Vol.4, Issue 13 - Spring Year 1394]
  • Ahmadi.RAZIEH Relationship between risk and risk - aversion utility Based on Multi-Period prospect theory [ Vol.12, Issue 46 - Summer Year 1402]
  • Ahmadian.Davood Estimating Stock Prices in the Stock Market Using the Behavioral Financial Modeling Method and Comparing Results by Earning Per Share and Markov Chains [ Vol.7, Issue 26 - Summer Year 1397]
  • Ahmady.Fatemeh Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [ Vol.11, Issue 41 - Spring Year 1401]
  • Ahmadzade.Hamid The evalution of DCAPM,ACAPM model standard capital cost [ Vol.12, Issue 48 - Winter Year 1402]
  • Ahmadzadeh.Aziz Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [ Vol.13, Issue 49 - Spring Year 1403]
  • Ahmadzadeh.Hamid Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [ Vol.12, Issue 48 - Winter Year 1402]
  • Ahmadzadeh.Hamid Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Ahmadzadeh.Masoud Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [ Vol.12, Issue 48 - Winter Year 1402]
  • aidi.zeinab Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [ Vol.10, Issue 39 - Autumn Year 1400]
  • akbari moqadam.beitollah Analyzing profitable strategies on option market - evidence from the gold coin option contracts on the Iran mercantile exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • Akbari.Bahman Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [ Vol.10, Issue 38 - Summer Year 1400]
  • Akbari.Mehri Designing Investment conditions uncertainty index [ Vol.11, Issue 41 - Spring Year 1401]
  • Akbari.Mohsen Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [ Vol.6, Issue 21 - Spring Year 1396]
  • Akbari.Zahra Review and test the momentum phenomenon in terms of up and down market [ Vol.1, Issue 3 - Autumn Year 1391]
  • Akbarian.Saber The Effects of Social Performance Indices on the Credit Risk of Iranian Banking Industry [ Vol.10, Issue 40 - Winter Year 1400]
  • akhavanfar.amir Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • akhoondi.misagh Investigating some corporate governance mechanisms and its effect on stock value and projected income in companies listed on the stock exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • Alaei.Erfan The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies in Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • Alalhe.Narges Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [ Vol.2, Issue 5 - Spring Year 1392]
  • Alam Tabriz.Akbar Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [ Vol.12, Issue 48 - Winter Year 1402]
  • Alamdar yazdi.Mohammadreza Providin a model for university and industry intetaction based on Knowledge-based economy and investing research and development [ Vol.10, Issue 38 - Summer Year 1400]
  • alamtabriz.akbar عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [ Vol.10, Issue 40 - Winter Year 1400]
  • Alasvand.Farshid Regional Role of Tax Return Transcript Establishment in Intention-to-pay Taxes: (Study Case: Taxpayers of Iranian National Tax Admission Organization-Tehran) [ Vol.8, Issue 29 - Spring Year 1398]
  • alidostzoghi.peiman Social media marketing and brand social identity focusing on customer engagement in the investment process [ Vol.10, Issue 38 - Summer Year 1400]
  • alinejad.shahnaz Testing information content influenced by investors Sentiment Behavior and Financial Reporting Quality [ Vol.11, Issue 44 - Winter Year 1401]
  • Alipour Darvishi.Zahra A Conceptual Model for of Brand Value Creation in Insurance Industry with Focus on Investment on Life Insurance. [ Vol.13, Issue 50 - Summer Year 1403]
  • Alipour.Houshang Providing a Model of the Effect of Uncertainty about the Inflation Rate and More Trust of Managers on the Increase in Investment (Case Study: Fellowship Affiliated Companies in Tehran Stock Exchange) [ Vol.10, Issue 38 - Summer Year 1400]
  • Alirezaee.Mohammad Reza Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [ Vol.11, Issue 42 - Summer Year 1401]
  • Alivandi.Amin Analyzing the Influence of Self-Esteem and Financial Knowledge on the Financial Behavior (Case study: brokerage of real investors of Eghtesade Novin Bank) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Alizadeh meshgani.Fataneh Providing a model of value creation with customers in the banking industry from a phenomenological perspective [ Vol.12, Issue 45 - Spring Year 1402]
  • Alizadeh.nadi Analysis of Criteria for Improving the Efficiency of Cloud Computing Services Using DEMATEL Technique with Business Survival Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • alizadeh.rahmat Evaluating the impact of systematic risk on the stock returns of companies listed on the iran stock exchange using an optimal model based on rough set, regression and arbitrage pricing theory [ Vol.13, Issue 52 - Winter Year 1403]
  • alizadeh.ramin Provide a financing social businesses pattern for through the banking industry [ Vol.11, Issue 41 - Spring Year 1401]
  • Alizadeh.Taher Identifying and prioritizing the key indicators of financial technology evaluation in Iran's banking industry based on the DNAP technique [ Vol.13, Issue 51 - Autumn Year 1403]
  • Allahyari.Meysam Using Stress Test in Securitization Process [ Vol.4, Issue 16 - Winter Year 1394]
  • Allahyari.Meysam The use of stress testing in regulatory and supervisory perspectives [ Vol.5, Issue 19 - Autumn Year 1395]
  • Alvani.Sayyed Mehdi Validating the network policy making model in the field of digital banking in Iran [ Vol.13, Issue 50 - Summer Year 1403]
  • ALYASIN.Seyedeh Sama Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [ Vol.12, Issue 48 - Winter Year 1402]
  • amin.vahid Economic Analysis of the Possibility of a Tax on Bank Deposits [ Vol.5, Issue 19 - Autumn Year 1395]
  • Amini Khiabami.Gholamreza Examining the relationship between development of Islamic Financial Systems and Foreign Direct Investment [ Vol.7, Issue 28 - Winter Year 1397]
  • amini khouzani.mohsen An Analysis of Capital Structure and Ownership structure Resulted from Fraudulent Behaviors: The Role of Moderating Factors [ Vol.13, Issue 52 - Winter Year 1403]
  • amini khouzani.mohsen Cultural factors and risk-taking power of investment companies in Iran's stock exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • Amini.A. ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [ Vol.2, Issue 7 - Autumn Year 1392]
  • amini.mehdi ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [ Vol.12, Issue 47 - Autumn Year 1402]
  • aminisabegh.zeinolabedin Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [ Vol.10, Issue 39 - Autumn Year 1400]
  • aminizadeh.mohamad Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • aminnaseri.fatemeh Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [ Vol.10, Issue 40 - Winter Year 1400]
  • Amir- Hossieni.Zahra Investment Opportunity Evaluation by Analyzing the Effective Financial Structure on Company Value [ Vol.4, Issue 14 - Summer Year 1394]
  • Amir- Hossieni.Zahra Securitization in the Islamic Markets vs. Securitization in Major International one [ Vol.5, Issue 18 - Summer Year 1395]
  • amirazad.mirhafez The Best Pattern of financial reporting quality in Iran from the viewpoint of investors and others interested groups [ Vol.12, Issue 46 - Summer Year 1402]
  • Amirbeyki langroudi.Habib ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [ Vol.12, Issue 47 - Autumn Year 1402]
  • Amirhossieni.Zahra EVALUATION OF INVESTMENT IN RESEARCH ACTIVITIES [ Vol.2, Issue 5 - Spring Year 1392]
  • Amirhossieni.Zahra Portfolio Rebalancing Model based on Fuzzy Decision Theory [ Vol.2, Issue 8 - Winter Year 1392]
  • amiri.asgar Designing a model for identifying auditors' stress triggers [ Vol.10, Issue 40 - Winter Year 1400]
  • Amiri.Maghsod Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [ Vol.10, Issue 40 - Winter Year 1400]
  • Amiri.Maghsoud Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [ Vol.2, Issue 7 - Autumn Year 1392]
  • Amiri.Maghsoud A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [ Vol.4, Issue 15 - Autumn Year 1394]
  • Amiri.Maghsoud Tracking Stock Exchange Index with considering the limitation of loss aversion with using the new approach of Big Bang - Big Crunch [ Vol.5, Issue 19 - Autumn Year 1395]
  • Amiri.Maghsoud The effect of the brand on investor behavior and perceived risk as Mediate [ Vol.8, Issue 32 - Winter Year 1398]
  • AMIRI.MARYAM Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [ Vol.11, Issue 42 - Summer Year 1401]
  • Amiri.Meysam Investigating the effect of risk and competitiveness indicators of the banking industry on the index of economic growth and consumer inflation in iran’s economy [ Vol.12, Issue 48 - Winter Year 1402]
  • Amiri.Meysam Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model [ Vol.9, Issue 36 - Winter Year 1399]
  • AMIRI.SAEED The role of organizational risk management in the money laundering risk of organizations [ Vol.13, Issue 51 - Autumn Year 1403]
  • Amirinejad.Mahdiyeh Analyzing profitable strategies on option market - evidence from the gold coin option contracts on the Iran mercantile exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • Amoozad Khalili.Hossein Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [ Vol.12, Issue 46 - Summer Year 1402]
  • amouzad mahdiraji.hossein Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [ Vol.8, Issue 31 - Autumn Year 1398]
  • Andervazh.leila Presenting a strategic model of marketing capacities and its impact on financial performance in order to develop investment in Khuzestan steel industry [ Vol.13, Issue 50 - Summer Year 1403]
  • Andervazh.Leila Presenting a strategic model of marketing capacities and its impact on financial performance in order to develop investment in Khuzestan steel industry [ Vol.13, Issue 50 - Summer Year 1403]
  • aniran.seyedfazlollah Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • ansari.hojjatallah Fuzzy portfolio selection under down risk measure by hybrid intelligent algorithm [ Vol.8, Issue 30 - Summer Year 1398]
  • ansari.Hojjat-Allah Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [ Vol.10, Issue 39 - Autumn Year 1400]
  • ANSARI.SADEGH Identifying the influential macro factors in the creation of non-performing loans by the method of theme analysis, the case study of Bank Mehr Eghtesad [ Vol.13, Issue 50 - Summer Year 1403]
  • aqamiri.nafiseh Assessed valuation of intellectual capital and its relation to the performance of the capital market [ Vol.7, Issue 26 - Summer Year 1397]
  • Arab Mazar.Ali Akbar Designing a Risk of tax arrears model with a tax litigation approach [ Vol.11, Issue 44 - Winter Year 1401]
  • arabzadeh hosseini.marjan sadat The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [ Vol.10, Issue 40 - Winter Year 1400]
  • arabzadeh hosseini.marjan sadat The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [ Vol.10, Issue 40 - Winter Year 1400]
  • arabzadeh hosseini.marjan sadat The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [ Vol.11, Issue 41 - Spring Year 1401]
  • Arani.hosein Investors ' Trading Behavior in stock Market Under Information Ambiguity Formality of Hearding Behavior [ Vol.13, Issue 51 - Autumn Year 1403]
  • Argha.Leila The Effect of Shockes of Selected Domestic and Foreign Markets on the Volatilities of Investment Return in Tehran Stock Exchange: DCC-FIAPARCH Model [ Vol.10, Issue 37 - Spring Year 1400]
  • Arjmand.Masoud Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [ Vol.6, Issue 21 - Spring Year 1396]
  • Arya.Kiumars Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [ Vol.13, Issue 52 - Winter Year 1403]
  • asadi ghareh jeloo.behrang An Evaluation of Mutual Funds Performance in Iranian Capital Market by combining Market Timing Models with the Fama and French three Factor Model [ Vol.8, Issue 31 - Autumn Year 1398]
  • asadi.gholamhosein Efficient market in gold future market in high and low volatility [ Vol.7, Issue 27 - Autumn Year 1397]
  • asadi.gholamhosein Accrual Quality Assessment Model in Banking Industry [ Vol.7, Issue 28 - Winter Year 1397]
  • asadi.gholamhosein Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [ Vol.9, Issue 34 - Summer Year 1399]
  • Asadi.Gholamhosein Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [ Vol.5, Issue 20 - Winter Year 1395]
  • asadi.saleh The clarification of Relation between Accounting conservatism and bankruptcy of accepted companies in Tehran stock exchange (TSE) using models of bankruptcy prediction [ Vol.9, Issue 35 - Autumn Year 1399]
  • Asadian Feyli.Saeid Assessment the Impact of Inefficient Investment Decisions on the Relationship between Conservatism and New Investment [ Vol.9, Issue 36 - Winter Year 1399]
  • asadian.samira The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • asadnia.jahanbakhsh Evaluation and ranking of factors affecting the profitability of pharmaceutical companies listed on the Tehran Stock Exchange using a hybrid model of fuzzy hierarchical analysis process [ Vol.10, Issue 38 - Summer Year 1400]
  • asadnia.jahanbakhsh Factors affecting liquidity management in pharmaceutical companies: Bayesian averaging approach [ Vol.12, Issue 45 - Spring Year 1402]
  • asadnia.jahanbakhsh The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [ Vol.12, Issue 47 - Autumn Year 1402]
  • asadollahi.seyyed yahya Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [ Vol.13, Issue 49 - Spring Year 1403]
  • asgari.kazem The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [ Vol.9, Issue 33 - Spring Year 1399]
  • Asghapour.Hossein Cultural factors and risk-taking power of investment companies in Iran's stock exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • Asghari.Ebrahim Investigating the Effect of Investors' Behavioral Tendencies on Stock Market Liquidity: (Quantile Regression Approach) [ Vol.13, Issue 50 - Summer Year 1403]
  • Asghari.Mahdi Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [ Vol.13, Issue 51 - Autumn Year 1403]
  • Asgharizadeh.Ezzatollah Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • AshouriRoudposhti.Alireza Provide intelligent classification model based on perceptron artificial neural network (MLP) and hierarchical analysis (AHP) in digital marketing services to prioritize liquidity and investment risk [ Vol.10, Issue 37 - Spring Year 1400]
  • Ashoury.Sima Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [ Vol.7, Issue 26 - Summer Year 1397]
  • ashrafi.bakhtyar Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • ashrafi.majid Presenting a Model of Technological Entrepreneurship Ecosystem in the Field of Knowledge-Based Businesses Active in the Field of Financial Technology [ Vol.11, Issue 44 - Winter Year 1401]
  • ashrafi.majid Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • Ashrafi.Yekta Spillover Effect On Different industries For Capital Market [ Vol.9, Issue 34 - Summer Year 1399]
  • Askari Firouzjaei.Ehsan Identifying the Effective Factors on developing a model for Supervision and Regulation of Financial Markets using Meta-Synthesis Approach [ Vol.10, Issue 39 - Autumn Year 1400]
  • Askarinejad Amiri.Ali Macroeconomics variables and corporate events effect on systematic risk according to jump beta [ Vol.8, Issue 29 - Spring Year 1398]
  • askarzadeh.gholamreza Comparing the Behavioral Model of Stock Images with Traditional Models in estimating Stock values of Companies Listed on Tehran Stock Exchange [ Vol.7, Issue 25 - Spring Year 1397]
  • Aslani Manarebazari.Maryam Investigating the Nonlinear Relationship between CEO Power and Capital Structure [ Vol.9, Issue 35 - Autumn Year 1399]
  • Aslani.Mohammad Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [ Vol.11, Issue 41 - Spring Year 1401]
  • asoudeh.zeinab Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [ Vol.12, Issue 45 - Spring Year 1402]
  • asoudeh.zeinab Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [ Vol.12, Issue 48 - Winter Year 1402]
  • assari.mohammad hossein Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [ Vol.10, Issue 40 - Winter Year 1400]
  • atarasadi.maryam An Analysis of Capital Structure and Ownership structure Resulted from Fraudulent Behaviors: The Role of Moderating Factors [ Vol.13, Issue 52 - Winter Year 1403]
  • Atrchi.Romina An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • Avazzadeh Fath.Fariborz Investigating the effect of underreaction and overreaction on Iran's capital market risk [ Vol.13, Issue 52 - Winter Year 1403]
  • Ayaran.Abbas Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [ Vol.12, Issue 46 - Summer Year 1402]
  • AZADEHDEL.MOHAMMAD REZA Social media marketing and brand social identity focusing on customer engagement in the investment process [ Vol.10, Issue 38 - Summer Year 1400]
  • AZADEHDEL.MOHAMMAD REZA Designing the bank deposit forecasting model based on behavioral accounting and money market [ Vol.11, Issue 43 - Autumn Year 1401]
  • Azadehdel.mohammadreza Explaining the behavioral model of depositors (components suggestions and outcomes( [ Vol.13, Issue 52 - Winter Year 1403]
  • Azadi hir.Keyhan Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • Azadi.Farhad Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [ Vol.13, Issue 51 - Autumn Year 1403]
  • Azadi.Keyhan Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [ Vol.10, Issue 38 - Summer Year 1400]
  • azadi.kyhan Investigating the Relationship between Political Influence and Investment Efficiency of Listed Companies in Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • Azarang.Shahnaz The exploration of affective factors on price bulb in Tehran exchange [ Vol.1, Issue 4 - Winter Year 1391]
  • Azarnivar.Leila The role of management's expected profit on the investment efficiency in stock market [ Vol.11, Issue 44 - Winter Year 1401]
  • Azarnivar.Leila Measuring systemic risk and the effect of fundamental variables on it in the country's banking system [ Vol.12, Issue 48 - Winter Year 1402]
  • Azarnivar.Leila Information Environment and Earnings Management in Companies to Dual Holdings [ Vol.8, Issue 29 - Spring Year 1398]
  • Azhang.Ahmad Effect of family firms on information asymmetry and cost of capital [ Vol.6, Issue 21 - Spring Year 1396]
  • Azinfar.Kaveh Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [ Vol.9, Issue 36 - Winter Year 1399]
  • Azizi.Homa Agent-oriented modeling for credit risk analysis [ Vol.4, Issue 15 - Autumn Year 1394]
  • Azizi.Mansoureh The relationships between market beta with macroeconomic variables and accounting information [ Vol.3, Issue 10 - Summer Year 1393]
  • Azizi.Mohammadreza Application of Extreme Value Theory in Value at Risk forecasting [ Vol.3, Issue 12 - Winter Year 1393]
  • Azizi.Shirin applying Imperialist competitive algorithm (ICA) for construction and optimization Portfolio [ Vol.4, Issue 13 - Spring Year 1394]
  • Azizzadeh.Fatemeh Style investing and portfolio composition based on fundamental ratios and technical indicators [ Vol.6, Issue 21 - Spring Year 1396]

B

  • Babakhani.Massoud Constant Conditional Correlation Volatility Transmission Model with Long Memory Effect, evidence from Tehran and Dubai Stock Market [ Vol.3, Issue 11 - Autumn Year 1393]
  • Babalooyan.Shahram Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [ Vol.5, Issue 19 - Autumn Year 1395]
  • badiei.hossein A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [ Vol.13, Issue 52 - Winter Year 1403]
  • Badizadeh.Ali Designing a balanced development model for the freight transport industry based on strategic capital management [ Vol.10, Issue 38 - Summer Year 1400]
  • Badizadeh.Ali Strategic factors affecting investment in the freight industry [ Vol.11, Issue 43 - Autumn Year 1401]
  • badkoobeh Hezaveh.Alireza Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA) [ Vol.9, Issue 36 - Winter Year 1399]
  • Badri.Ahmad Higher Moments and Idiosyncratic Volatility Puzzle [ Vol.3, Issue 11 - Autumn Year 1393]
  • Badri.Ahmad Information Content of Limit Order Book in Tehran Stock Exchange [ Vol.5, Issue 18 - Summer Year 1395]
  • Baghan.Ali i The difference between dimensions fractal and Fractal random walks of return index and future fall risk and systematic risk in Tehran Stock Exchange [ Vol.12, Issue 46 - Summer Year 1402]
  • BAGHANI.ALI Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [ Vol.10, Issue 37 - Spring Year 1400]
  • BAGHANI.ALI The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • baghani.elahe Review the monitoring of modern financial technology and digital currency [ Vol.9, Issue 35 - Autumn Year 1399]
  • baghani.fahimeh Liquidity Trap in Iranian Banks (Based on Indexing of Key Ratios) [ Vol.9, Issue 34 - Summer Year 1399]
  • Bagheri.Akabar Testing the Effectiveness of Capital Market Efficiency through Investment Mediator Variables on Earnings Management Quality of Companies Listed in Iranian Stock Exchange [ Vol.11, Issue 44 - Winter Year 1401]
  • Bagheri.Akabar Test the effectiveness of internal and external methods of financing on the real total returns of stock [ Vol.7, Issue 26 - Summer Year 1397]
  • Bagheri.Oveis Presenting a Model for Idiosyncratic Risk Effects on the Policies for Financing the Entire Manufacturing Companies Accepted in Tehran Stock Exchange. [ Vol.7, Issue 27 - Autumn Year 1397]
  • Bagheri.Oveis Test of effect the rational speculative bubbles and the political cycle based based on the theory of constraint on the rate of return in selected companies of the Tehran Capital Market [ Vol.8, Issue 32 - Winter Year 1398]
  • baghfalaki.afshin Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [ Vol.11, Issue 43 - Autumn Year 1401]
  • baghlaniani.Yousef Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [ Vol.9, Issue 34 - Summer Year 1399]
  • baharestan.jalal Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [ Vol.9, Issue 33 - Spring Year 1399]
  • baharvand.faezeh The Effect of Investment Firms Ownership on Earnings Overstatement: Test of Strategic Alignment and Efficient Monitoring Hypothesis [ Vol.6, Issue 23 - Autumn Year 1396]
  • bahramian.samira Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [ Vol.9, Issue 34 - Summer Year 1399]
  • bahrevar.elham Conditioned Effect Pricing of Return Dispersion [ Vol.7, Issue 28 - Winter Year 1397]
  • Bahri Sales.Jamal corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [ Vol.12, Issue 46 - Summer Year 1402]
  • Bahri Sales.Jamal The Effect of Individual Differences Based on Cognition on Investors Judgment and Decision Making: The Role of Information Overload [ Vol.9, Issue 35 - Autumn Year 1399]
  • Bahrololoum.Mohammad Mahdi A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [ Vol.4, Issue 15 - Autumn Year 1394]
  • Bahrololoum.Mohammad Mahdi Stock Price Clustering and Factors Affecting on It in Iran Capital Market [ Vol.7, Issue 26 - Summer Year 1397]
  • Bakhshian.Asal Emotional intelligence effect on the quality of decision making by investors in the stock exchange [ Vol.5, Issue 17 - Spring Year 1395]
  • bakhshmohammadlou.minoo Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [ Vol.8, Issue 31 - Autumn Year 1398]
  • bakhshodeh.mohamad The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [ Vol.11, Issue 42 - Summer Year 1401]
  • bakhtiari.masoud Investigate the relationship between investor sentiment, courage in predicting dividends and future corporate performance [ Vol.8, Issue 30 - Summer Year 1398]
  • Bakhtiarian.Tayebe Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks [ Vol.12, Issue 45 - Spring Year 1402]
  • Bakhttiari.sadegh The role of good government and human resource in attracting direct foreign investment and economical growth (a selection of developing countries) [ Vol.13, Issue 50 - Summer Year 1403]
  • Bakyhoskoie.Morteza Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [ Vol.2, Issue 7 - Autumn Year 1392]
  • Bakyhoskoie.Morteza Investment Project Valuation Using Real Option Approach(The Case of a 500 MV Power Generation Plant) [ Vol.5, Issue 17 - Spring Year 1395]
  • bamdad Soufi.jahanyar Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [ Vol.10, Issue 40 - Winter Year 1400]
  • Bamzaar.Amirali Estimation of the model of factors affecting financial stability of companies listed on the Tehran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • Banaizadeh.Ameneh Studying the Return of value and Growth Stock Based on the ratio of Book Value/MARKET Value (Case: Publicly Traded Companies) [ Vol.2, Issue 7 - Autumn Year 1392]
  • Banakar.Mahsa The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [ Vol.12, Issue 46 - Summer Year 1402]
  • Banimahd.Bahman The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [ Vol.10, Issue 40 - Winter Year 1400]
  • Banimahd.Bahman Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [ Vol.12, Issue 46 - Summer Year 1402]
  • Banimahd.Bahman Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Banimahd.Bahman Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Banimahd.Bahman Dividend Smoothing Based on Dependent Structure of Investment of Firms [ Vol.9, Issue 35 - Autumn Year 1399]
  • banisharif.abas Modeling the Liquidity Risk Spillover Between Banks Accepted in the Tehran Stock Exchange Market [ Vol.11, Issue 42 - Summer Year 1401]
  • banitalebi.sadegh The Impact of Optional Disclosure of Asset Sales on the Financial Performance [ Vol.13, Issue 50 - Summer Year 1403]
  • barahimipour.Mohammad mehdi The profitability of pairs trading strategy based on linear state-space models and the Kalman filter in Tehran Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • barari.shirvan The Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [ Vol.11, Issue 43 - Autumn Year 1401]
  • Barasoud.Mahdi Comparative study of the behavior of investors in equity portfolio (Classic financial approach or behavioral finance approach) [ Vol.8, Issue 29 - Spring Year 1398]
  • Barati.Leila Investigation the Impact of Earning Smoothing and Financial Information Transparency on Stock Price Crash Risk [ Vol.10, Issue 39 - Autumn Year 1400]
  • Barzegar.Behrouz The contagiousness of the risk of financial distress in Iranian banks with a dynamic conditional turbulence approach [ Vol.12, Issue 45 - Spring Year 1402]
  • Barzideh.Farookh Investigating the Simultaneous Relationship between Credit and Liquidity Risks and Their Impacts on Financial Stability of Banks; A Quintile Regression Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • Barzideh.Farrokh The effect of prior performance of investors on stock price based on Prospect theory [ Vol.6, Issue 23 - Autumn Year 1396]
  • Basiri.Fereshteh The Effect of Earning Consistent Growth on the Stock Price Reactions to the EPS Forecast Characteristic [ Vol.2, Issue 5 - Spring Year 1392]
  • bavaghar.morteza Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [ Vol.11, Issue 41 - Spring Year 1401]
  • Bavarsad.Belgheys Identification and prioritization of effective components on capital distribution in the agricultural sector of Khuzestan province with a fuzzy approach [ Vol.11, Issue 43 - Autumn Year 1401]
  • Bayati.Gholamreza Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [ Vol.13, Issue 50 - Summer Year 1403]
  • Bayatmanesh.mahdi Provide an innovative model of fluctuation of the daily trading volume of shares in Tehran Stock Exchange; Central Bank Financial and Monetary Policy [ Vol.10, Issue 40 - Winter Year 1400]
  • behnia.bardia Developing a Sport Clubs Financing Model with a Analysis Hierarchical Process (AHP) [ Vol.10, Issue 40 - Winter Year 1400]
  • Behzadi.Adel Fuzzy portfolio selection under down risk measure by hybrid intelligent algorithm [ Vol.8, Issue 30 - Summer Year 1398]
  • beigvand.ali Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [ Vol.12, Issue 47 - Autumn Year 1402]
  • beiky.atefeh The effect of cash flow classes on the speed of adjustment of capital structure [ Vol.13, Issue 50 - Summer Year 1403]
  • Beki Haskooi.Morteza Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • Bidgoli.Mohammad The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [ Vol.10, Issue 40 - Winter Year 1400]
  • Bidi.Ahmad Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • Biglari.Ali Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [ Vol.2, Issue 7 - Autumn Year 1392]
  • biglarkhai.gholam reza Explain the relationship between the complexity of financial reports used by investors and corporate governance in companies listed on the Tehran Stock Exchange [ Vol.11, Issue 41 - Spring Year 1401]
  • bineshian.zahra Providing a model for evaluating and measuring the impact of types of intelligence on investor decisions [ Vol.10, Issue 39 - Autumn Year 1400]
  • bineshian.zahra Studying the Effect of the components of the cash conversion cycle and return on assets in abkame company. [ Vol.2, Issue 8 - Winter Year 1392]
  • bineshian.zahra Present the Model of the relationship between financial intelligence behavioral trends and their impact on investors decisions based on the theory of planned behavior [ Vol.7, Issue 25 - Spring Year 1397]
  • Bokharaeian Khorasani.Maryam Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • Borhanian Ghanad.Alireza Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • Borzabadi Farahani.maryam The oil and gold global market interaction on the stock market of Iran; the GARCH-Copula approach [ Vol.8, Issue 30 - Summer Year 1398]
  • Borzabadi Farahani.maryam The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • Botshekan.Mohammad Hashem Investigation volatility spillovers between oil market and stock index return [ Vol.7, Issue 25 - Spring Year 1397]
  • Botshekan.Mohammad Hashem Financial Institutes for Financing Infrastructure Transport Projects through Capital Market of Iran [ Vol.7, Issue 26 - Summer Year 1397]
  • Bozorg Asl.Mousa Investigating the Impact of Diversification Strategy in Assets and Loans on Bank Risk [ Vol.6, Issue 21 - Spring Year 1396]
  • Bozorg Asl.Mousa Investigating the Simultaneous Relationship between Credit and Liquidity Risks and Their Impacts on Financial Stability of Banks; A Quintile Regression Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • bozorg asl.musa Investigating the Simultaneous Relationship between Credit and Liquidity Risks and Their Impacts on Financial Stability of Banks; A Quintile Regression Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • Bozorg Tabar Baei.zahra Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [ Vol.13, Issue 50 - Summer Year 1403]

C

  • Chaharmahali.Aliakbar Investigation of economic uncertainty on cash holding [ Vol.11, Issue 41 - Spring Year 1401]
  • Chamani.Omid Ali Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • Chavoshi.Kazem Optimization of portfolio Constituted from mutual funds of Tehran stock exchange using genetic algorithm [ Vol.3, Issue 12 - Winter Year 1393]
  • Chavoshi.Kazem An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • Chavoshi.Kazem Systemic risk assessment of the banking system by modeling of the topology of the interbank market network [ Vol.9, Issue 35 - Autumn Year 1399]
  • Chenari.Hassan The Study of Mean reversion in Tehran Stock Exchange with unit root test [ Vol.1, Issue 4 - Winter Year 1391]
  • Chenari.Hassan Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Chenari.Hassan The study of the effect of motivation on the senior managers of wealth creation for Shareholders [ Vol.2, Issue 5 - Spring Year 1392]
  • Chirani.Ebrahim Investigating the evaluation models of startup companies and identifying the dimensions, criteria and evaluation indicators for startup companies in the idea stage in Iran [ Vol.10, Issue 37 - Spring Year 1400]
  • Chirani.Ebrahim Social media marketing and brand social identity focusing on customer engagement in the investment process [ Vol.10, Issue 38 - Summer Year 1400]
  • Chirani.Ebrahim Financial crimes; Model design and explanation With grounded theory Method [ Vol.10, Issue 38 - Summer Year 1400]
  • Chirani.Ebrahim Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [ Vol.10, Issue 39 - Autumn Year 1400]
  • Chirani.Ebrahim Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [ Vol.10, Issue 40 - Winter Year 1400]
  • Chirani.Ebrahim An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [ Vol.11, Issue 41 - Spring Year 1401]
  • Chirani.Ebrahim Explain the shocks and fluctuations of the foreign exchange market and how to transfer these shocks to other markets [ Vol.12, Issue 46 - Summer Year 1402]
  • Chirani.Ebrahim Investigating the Relationship between Acquired Factors and Monetary Disorders (Case Study: Banks of Tehran Stock Exchange) [ Vol.13, Issue 51 - Autumn Year 1403]
  • Chirani.Ebrahim Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [ Vol.9, Issue 36 - Winter Year 1399]
  • Chirani.Ebrahim The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • Chitsazan.Hasti The effect of financial development on corporate finance using club convergence approach in Tehran stock exchange [ Vol.10, Issue 40 - Winter Year 1400]

D

  • dadashi.iman The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • dadashi.iman The effect of cash flow classes on the speed of adjustment of capital structure [ Vol.13, Issue 50 - Summer Year 1403]
  • Dadashi.Iman Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [ Vol.9, Issue 36 - Winter Year 1399]
  • DADASHI.NASRIN The Impact of risk-taking on performance according to financial constraints of companies [ Vol.12, Issue 47 - Autumn Year 1402]
  • Dadashpour.Ahmad A New Approach to Evaluate the Performance of Value-at-risk Estimators, Using Genetic Algorithms [ Vol.1, Issue 1 - Spring Year 1391]
  • Dadbeh.fatemeh Portfolio Performance Assessment Based on a Mixed (Economic-Accounting) Approach and Data Envelopment Analysis (DEA) [ Vol.9, Issue 36 - Winter Year 1399]
  • dadras.keyvan Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [ Vol.7, Issue 28 - Winter Year 1397]
  • Danesh Fard.Karam Allah Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [ Vol.8, Issue 29 - Spring Year 1398]
  • Danesh Fard.Karam Allah Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [ Vol.8, Issue 31 - Autumn Year 1398]
  • Daneshvar.Amir A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [ Vol.12, Issue 47 - Autumn Year 1402]
  • daneshyar.fatemeh Investigating the relationship between audit quality and growth and value stock return based on 6-factor model of Hagen [ Vol.11, Issue 41 - Spring Year 1401]
  • Darabi.Roya The Impact of Disclose of Intellectual Capital Components on Financial Reporting Quality [ Vol.1, Issue 4 - Winter Year 1391]
  • Darabi.Roya Predict the Financial Limitations of Companies Accepted in Tehran Stock Exchange Using the Relief-Svm-Caiid methods [ Vol.10, Issue 37 - Spring Year 1400]
  • Darabi.Roya Providing a model for transparency of financial information in the country's insurance industry [ Vol.10, Issue 38 - Summer Year 1400]
  • Darabi.Roya corporate governance role in readability of board of directors' report of companies listed in Tehran Stock Exchange [ Vol.10, Issue 39 - Autumn Year 1400]
  • Darabi.Roya Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [ Vol.11, Issue 41 - Spring Year 1401]
  • Darabi.Roya Emotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [ Vol.11, Issue 42 - Summer Year 1401]
  • Darabi.Roya Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [ Vol.11, Issue 44 - Winter Year 1401]
  • Darabi.Roya Analyzing the relationship between performance metrics and investment cash flow with emphasis on the role of corporate political communication [ Vol.12, Issue 45 - Spring Year 1402]
  • Darabi.Roya Designing a Model for Measuring the Impact of Intellectual Capital, Profit Quality, Audit Report and Capital Structure on Bankruptcy Risk of Tehran Stock Exchange Companies [ Vol.12, Issue 46 - Summer Year 1402]
  • Darabi.Roya Evaluation of the effect of financial policies on Capital Market investment in financial friction [ Vol.13, Issue 49 - Spring Year 1403]
  • Darabi.Roya نقش واسطه ای پیش‌بینی‌پذیری و مقایسه‌پذیری سود در تأثیر مولفه حاکمیتی گزارشگری عملکرد پایدار بر ریسک سقوط قیمت سهام و نقدشوندگی سهام [ Vol.13, Issue 51 - Autumn Year 1403]
  • Darabi.Roya The study of behavioral factors in the selection of optimal portfolio in [ Vol.6, Issue 22 - Summer Year 1396]
  • Darabi.Roya Behavioral Decision Making Pattern for Individual Investors In Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • DARABI.ROYA Design of Financial Procedure Patterns for supply Chain with Credit Coverage Approach by Agricultural Bank [ Vol.12, Issue 46 - Summer Year 1402]
  • DARABI.ROYA Different Effect of Corporate size on The Relationship Between conventional Returns, unconventional Returns and Heterogeneous Investor Beliefs [ Vol.8, Issue 31 - Autumn Year 1398]
  • Daryabari.Abbas Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [ Vol.12, Issue 46 - Summer Year 1402]
  • Dasineh.Mehdi Earning Downside Risk and Market-based Characteristics Earning Attributes [ Vol.10, Issue 40 - Winter Year 1400]
  • Dastani Heris.sara Modeling the estimation of the price bubble probability in the capital market :Evidence from Tehran Stock Exchange [ Vol.9, Issue 34 - Summer Year 1399]
  • Dastgir.Mohsen Evaluate Capital market analyst’s personality traits as a third dimension to their success [ Vol.6, Issue 22 - Summer Year 1396]
  • Dastgir.Mohsen A Comparison of Explanation Power of Karhart And HXZ Model at Basic Form and by Using Conditional Dual-Beta [ Vol.9, Issue 35 - Autumn Year 1399]
  • Dastgir.Mohsen A Comparison of Explanation Power of Karhart And HXZ Model at Basic Form and by Using Conditional Dual-Beta [ Vol.9, Issue 35 - Autumn Year 1399]
  • Dastgir.Mohsen Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Dastoori.Mojtaba Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [ Vol.10, Issue 40 - Winter Year 1400]
  • Dastpak.Mohsen Presenting of High-frequency Trading System [ Vol.4, Issue 15 - Autumn Year 1394]
  • davallou.maryam Conditioned Effect Pricing of Return Dispersion [ Vol.7, Issue 28 - Winter Year 1397]
  • Davarzadeh.Mahtab A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [ Vol.3, Issue 11 - Autumn Year 1393]
  • Davarzadeh.Mahtab Usefulness Assessment of Technical Analysis of World Gold Prices (Approach to the Directional Indicators or Oscillators) [ Vol.3, Issue 9 - Spring Year 1393]
  • davoodi.sayyed mohammad reza The profitability of pairs trading strategy based on linear state-space models and the Kalman filter in Tehran Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • davoodi.sayyed mohammad reza Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • dehbashi.Masoumeh Examining the impact of the Corona epidemic on the capital market price index in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • Dehdar.F. Present the Model of the relationship between financial intelligence behavioral trends and their impact on investors decisions based on the theory of planned behavior [ Vol.7, Issue 25 - Spring Year 1397]
  • Dehghan Mirokabad.Mohsen Explain the strategic and non-strategic industries distinction Tehran Stock Exchange with emphasis on capital structure and cash value added (CVA) with panel data approach [ Vol.2, Issue 5 - Spring Year 1392]
  • Dehghan.Abdolmajid Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • Dehghan.Abdolmajid Investigating some corporate governance mechanisms and its effect on stock value and projected income in companies listed on the stock exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • Dehghan.Abdolmajid Catastrophe Bonds Securitization in Iran's Insurance Industry [ Vol.7, Issue 27 - Autumn Year 1397]
  • Dehghan.Abdolmajid Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [ Vol.7, Issue 28 - Winter Year 1397]
  • Dehghan.Abdolmajid Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [ Vol.8, Issue 29 - Spring Year 1398]
  • Dehghani.Amir Forecasting Stock Price Manipulation in Capital Market [ Vol.1, Issue 1 - Spring Year 1391]
  • Del Afrooz.Narges Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Delafrooz.Narges Ranking of Competitive Power Components in Tejarat Bank Using Fuzzy TOPSIS Technique [ Vol.12, Issue 46 - Summer Year 1402]
  • Delafrooz.Narges Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [ Vol.12, Issue 48 - Winter Year 1402]
  • delkhah.jalil Credit rating modeling of pharmaceutical companies in Iran [ Vol.13, Issue 52 - Winter Year 1403]
  • dianati dalami.zahra Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk [ Vol.1, Issue 2 - Summer Year 1391]
  • dianati dalami.zahra The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [ Vol.10, Issue 38 - Summer Year 1400]
  • dianati dalami.zahra The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [ Vol.10, Issue 40 - Winter Year 1400]
  • dianati dalami.zahra Examination of investor reaction to unexpected economic and political events in Tehran stock market [ Vol.2, Issue 7 - Autumn Year 1392]
  • dianati dalami.zahra The impact of environmental news on stock prices of companies listed in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • dianati dalami.zahra Prioritizing of printing technology for Investment by Fuzzy TOPSIS [ Vol.9, Issue 33 - Spring Year 1399]
  • Dindar Farkoushi.Parviz Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [ Vol.11, Issue 44 - Winter Year 1401]
  • doostian.rahman Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • doostian.Rahman Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • doostian.Rahman Investigating the Conceptual Model Explaining the Contagion Turbulence Influencing Returns in Banks Accepted in the Stock Exchange [ Vol.8, Issue 31 - Autumn Year 1398]
  • dorostkar.maliheh Presenting a model identification and prioritize for customer preferences in selecting banks and do invest based on grounded theory method and structural equation modeling (case study: Iran’s banking industry) [ Vol.8, Issue 30 - Summer Year 1398]

E

  • ebadi.reza Test inflation uncertainty and overinvestment with emphasis on managerial overconfidence [ Vol.7, Issue 28 - Winter Year 1397]
  • Ebadpoor.Bahram Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [ Vol.6, Issue 22 - Summer Year 1396]
  • Ebrahimi kavari.sadegh Developing an expert system to create and rebalance investment portfolio, using technical analysis [ Vol.8, Issue 29 - Spring Year 1398]
  • Ebrahimi kavari.sadegh Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [ Vol.8, Issue 30 - Summer Year 1398]
  • Ebrahimi kavari.sadegh Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [ Vol.8, Issue 31 - Autumn Year 1398]
  • Ebrahimi Sarv Olya.Mohammad Hassan The effect of a coherent presentation model of financial statements on investors' judgment and decisions in comparison with the model presented by the Tehran Stock Exchange and the auditing organization using a quasi-experimental approach [ Vol.12, Issue 46 - Summer Year 1402]
  • ebrahimi shaghaghi.marzieh Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks) [ Vol.11, Issue 43 - Autumn Year 1401]
  • ebrahimi.ebrahim Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • ebrahimi.esmail Social capital, Sticky Dividend and investment efficiency [ Vol.11, Issue 44 - Winter Year 1401]
  • ebrahimi.esmail Social capital and investment efficiency [ Vol.12, Issue 45 - Spring Year 1402]
  • ebrahimi.mehrzad Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [ Vol.7, Issue 27 - Autumn Year 1397]
  • ebrahimi.mehrzad Effects of exchange rates shocks on Tehran stock market returns: MSFITGARCH model [ Vol.9, Issue 33 - Spring Year 1399]
  • Ebrahimi.Sajad Comparing Between Multivariate Volatility Models in Estimation of Exchange Rate and Stock Index Relationship [ Vol.3, Issue 11 - Autumn Year 1393]
  • Ebrahimian.KAMEL عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [ Vol.10, Issue 40 - Winter Year 1400]
  • ebrahimiyan.nader The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • ebrahimiyan.nader Mutual Fund Liquidity Risk Management Tools [ Vol.12, Issue 47 - Autumn Year 1402]
  • ebrahimiyan.nader Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [ Vol.6, Issue 22 - Summer Year 1396]
  • ebrahimiyan.nader Regional Role of Tax Return Transcript Establishment in Intention-to-pay Taxes: (Study Case: Taxpayers of Iranian National Tax Admission Organization-Tehran) [ Vol.8, Issue 29 - Spring Year 1398]
  • Ebrahimzadeh Rahimlou.Behrooz Review is research affect Tobin q ratio and Revenue growth rate on the level of investment in listed companies in Tehran Stock Exchange [ Vol.1, Issue 1 - Spring Year 1391]
  • Ebrati.Mohammadreza The Impact of Political Connections on Stock Price Crash Risk with an Emphasize on Product Market Competition in Tehran Stock Exchange listed companies [ Vol.8, Issue 29 - Spring Year 1398]
  • edalatpanah.seyed ahmad The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • eftekhari sinjani.seyedeh shima Investigating the Impact of Factors Affecting the Acceptance of Financial Technology by Bank Customers (Case Study of Pasargad Bank) [ Vol.10, Issue 38 - Summer Year 1400]
  • eftekhari.vahid Investigating the relationship between audit quality and growth and value stock return based on 6-factor model of Hagen [ Vol.11, Issue 41 - Spring Year 1401]
  • eftekhari.vahid The effect of a coherent presentation model of financial statements on investors' judgment and decisions in comparison with the model presented by the Tehran Stock Exchange and the auditing organization using a quasi-experimental approach [ Vol.12, Issue 46 - Summer Year 1402]
  • Eghbal.Mohammad Reza Factors Influencing the Performance of Acquisition Companies [ Vol.12, Issue 45 - Spring Year 1402]
  • ehsani.amir Systematic research review of bank mergers in Iran and the world [ Vol.10, Issue 40 - Winter Year 1400]
  • eidi goosh.mahdi Credit Risk Modeling: Spline based logistic regression Survival approach [ Vol.9, Issue 34 - Summer Year 1399]
  • elahi.ahmadreza Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • elahi.naser The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [ Vol.6, Issue 24 - Winter Year 1396]
  • Emamat.Mir Seyed Mohammad Mohsen Stock portfolio optimization using reliability approach [ Vol.9, Issue 36 - Winter Year 1399]
  • Emamdoost.Mostafa Fuzzy portfolio selection under down risk measure by hybrid intelligent algorithm [ Vol.8, Issue 30 - Summer Year 1398]
  • emami naeini.mohammad reza The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [ Vol.5, Issue 20 - Winter Year 1395]
  • Emami.Karim Competitiveness of Iran's Power Industry [ Vol.10, Issue 39 - Autumn Year 1400]
  • emamverdi,.Ghodrat alah Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [ Vol.11, Issue 41 - Spring Year 1401]
  • Emamverdi.Ghodratollah Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [ Vol.12, Issue 48 - Winter Year 1402]
  • Emsia.Elmira Identifying and Ranking Digital Marketing Factors in the Banking Industry: with an Emphasis on Financial and Investment Services (using Grounded Theory) [ Vol.12, Issue 48 - Winter Year 1402]
  • Enayatollahi.Sna Evaluating the Relationship between Tehran Stock Exchange and Istanbul Stock Exchange: Causality and Co-Integration [ Vol.8, Issue 29 - Spring Year 1398]
  • entezar.elnaz The Investigating of Exchange Rate Volatility Impact on Stock Market Price Efficiency and Optimization of Investment Portfolio [ Vol.8, Issue 31 - Autumn Year 1398]
  • Erfani.Heyedeh Bank opacity and efficiency of stock prices [ Vol.10, Issue 39 - Autumn Year 1400]
  • Erza.Amir Hossein Design of dividends receivable backed securities [ Vol.4, Issue 16 - Winter Year 1394]
  • eshaghzade.ali Investigating the Relationship between Financial Reporting Quality andCorporate Investment Decisions with an Emphasis on Accounting Information Governance Role [ Vol.11, Issue 42 - Summer Year 1401]
  • eslami.khadijeh Providing a model for evaluating and measuring the impact of types of intelligence on investor decisions [ Vol.10, Issue 39 - Autumn Year 1400]
  • eslami.seyed mahmod Institutional Policy of Foreign Investment in the Framework of Multilateral and Regional Investment Treaties [ Vol.13, Issue 52 - Winter Year 1403]
  • Esmaeel Pour.Soheil The impact of financial position and industry characteristics on adjustment speed of capital structure [ Vol.10, Issue 37 - Spring Year 1400]
  • Esmaeeli Atooie.Salman Comparative Analysis of Oil Price and Exchange Rate Volatility in Industries Return Relating to Petroleum Based On Arbitrage Pricing Theory and Dynamic Regression Model [ Vol.1, Issue 1 - Spring Year 1391]
  • Esmaeili.Bahman Initial public offering (IPO) price Short-term Overreaction: The Effect of price and other factors in Tehran Stock Exchange [ Vol.3, Issue 11 - Autumn Year 1393]
  • esmaeili.masoumeh Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [ Vol.12, Issue 45 - Spring Year 1402]
  • Esmaeilzadeh Maghari.ali The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [ Vol.10, Issue 40 - Winter Year 1400]
  • Esmaeilzadeh Maghari.ali A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [ Vol.12, Issue 46 - Summer Year 1402]
  • Esmaeilzadeh Maghari.ali Evaluation of investment methods and comparison between the behavioral model and common logical models in choosing the optimal portfolio [ Vol.13, Issue 50 - Summer Year 1403]
  • Esmaeilzadeh Maghari.ali Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA) [ Vol.9, Issue 36 - Winter Year 1399]
  • Esmaeilzadeh.Abolfazl Providing a model of integration and acquisition in the Iranian automotive industry based on Fuzzy MCDM [ Vol.10, Issue 37 - Spring Year 1400]
  • Esmaeilzadeh.Hojjat Analysing Investors’ overreaction to the Accruals (Accrulas Anomoly) in Tehran Stock Exchange [ Vol.4, Issue 14 - Summer Year 1394]
  • Esmayeelzadeh.Ali Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [ Vol.12, Issue 48 - Winter Year 1402]

F

  • fadaee vahed.meysam Investigating the effect of risk and competitiveness indicators of the banking industry on the index of economic growth and consumer inflation in iran’s economy [ Vol.12, Issue 48 - Winter Year 1402]
  • fadaee vahed.meysam Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model [ Vol.9, Issue 36 - Winter Year 1399]
  • Fadaei Eshkiki.Mehdi Management of Downside risk and Upside risk with exchange rates and stock prices [ Vol.10, Issue 39 - Autumn Year 1400]
  • Fadaei Eshkiki.Mehdi Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [ Vol.12, Issue 46 - Summer Year 1402]
  • Fadaei Eshkiki.Mehdi Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • Fadaei Eshkiki.Mehdi Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Fadaei.Mehdi Presenting of Investment Model for Interaction Between Industry and University with System Dynamic [ Vol.2, Issue 8 - Winter Year 1392]
  • Fadvi.Arefeh Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [ Vol.13, Issue 50 - Summer Year 1403]
  • faezyrazi.farshad Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [ Vol.11, Issue 44 - Winter Year 1401]
  • faghani makrani.khosro Providing a model for evaluating and measuring the impact of types of intelligence on investor decisions [ Vol.10, Issue 39 - Autumn Year 1400]
  • faghani makrani.khosro A Model to Identify the Impact of Spiritual Intelligence on Emotional Intelligence and Its Role in Behavioral Bias Control (Based on Halo Error) and Its Role on Investor Decision Making [ Vol.11, Issue 42 - Summer Year 1401]
  • faghani makrani.khosro Economic Analysis of the Possibility of a Tax on Bank Deposits [ Vol.5, Issue 19 - Autumn Year 1395]
  • faghani makrani.khosro Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [ Vol.8, Issue 31 - Autumn Year 1398]
  • Faghani Makrani.khosro The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • Faghani Makranin.Khosro A Model to Identify the Impact of Spiritual Intelligence on Emotional Intelligence and Its Role in Behavioral Bias Control (Based on Halo Error) and Its Role on Investor Decision Making [ Vol.11, Issue 42 - Summer Year 1401]
  • faghani.elham Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [ Vol.11, Issue 41 - Spring Year 1401]
  • Fahimi Doab.Reza Feasibility study of the pricing of crude oil by OPEC and OECD countries using game theory in the form of a win– win [ Vol.3, Issue 10 - Summer Year 1393]
  • fahimi.alireza Catastrophe Bonds Securitization in Iran's Insurance Industry [ Vol.7, Issue 27 - Autumn Year 1397]
  • fahimi.alireza Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [ Vol.7, Issue 28 - Winter Year 1397]
  • fahimi.alireza Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [ Vol.8, Issue 29 - Spring Year 1398]
  • fakhari.hossin The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [ Vol.5, Issue 20 - Winter Year 1395]
  • Falatoon Nejhad.Farshid An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • Fallah Mahdidoust.zahra The gap between actual and optimal leverage financial leverage due to risk of bankruptcy [ Vol.5, Issue 19 - Autumn Year 1395]
  • Fallah pour.Saeed Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Fallah pour.Saeed Effect of induced magnetic domain price fluctuations in the Tehran Stock Exchange [ Vol.5, Issue 17 - Spring Year 1395]
  • Fallah Shams.Mirfeyz The exploration of affective factors on price bulb in Tehran exchange [ Vol.1, Issue 4 - Winter Year 1391]
  • Fallah Shams.Mirfeyz Research the effects of market microstructure on the stock price in Tehran Stock Exchange [ Vol.2, Issue 5 - Spring Year 1392]
  • Fallah Shams.Mirfeyz Survey of the effects fundamental variables on stock price [ Vol.2, Issue 6 - Summer Year 1392]
  • Fallah Shams.Mirfeyz Capture the effect of amplitude fluctuation permitted in Tehran Stock Exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • Fallah Shams.Mirfeyz Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange [ Vol.4, Issue 13 - Spring Year 1394]
  • Fallah Shams.Mirfeyz A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [ Vol.4, Issue 15 - Autumn Year 1394]
  • fallah.Mohammad The impact of business model innovation on financial performance of petrochemical company [ Vol.10, Issue 39 - Autumn Year 1400]
  • Fallah.Reza Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange [ Vol.12, Issue 47 - Autumn Year 1402]
  • fallahpour.saeed Investigating the factors affecting the determination of deposit insurance premiums among Iranian banks listed on the Iranian stock exchange and OTC [ Vol.10, Issue 39 - Autumn Year 1400]
  • Fallahshams.Miffeiz Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [ Vol.9, Issue 36 - Winter Year 1399]
  • fallahshams.mir fiz Studying the Effects of the Locus of Control on the Perceptual Errors in the Decision Making of the Investors in the Tehran Stock Exchange [ Vol.1, Issue 3 - Autumn Year 1391]
  • Fallahshams.Mirfeiz A hybrid model based on three-tier approach to predict corporate default [ Vol.10, Issue 40 - Winter Year 1400]
  • fallahzadeh Abarghouhei.Ahmad The investigation of relationship between stock liquidity and Stock price synchronicity using the simultaneous equations system in the accepted companies in the Tehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • Farahani.azadeh Evaluating the Sequrity Selection Skill and Market timing Ability of Iranian Mutual Fund Managers [ Vol.7, Issue 25 - Spring Year 1397]
  • farahani.Morteza Prioritizing of printing technology for Investment by Fuzzy TOPSIS [ Vol.9, Issue 33 - Spring Year 1399]
  • FARAJI.MORTEZA Presentation of Parsian Bank Brand Promotion Model Base on Grounded Theory with a Value Creation Approach [ Vol.9, Issue 35 - Autumn Year 1399]
  • Farhadi sharif Abad.Mohsen Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [ Vol.7, Issue 28 - Winter Year 1397]
  • Farhadi sharif Abad.Mohsen Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [ Vol.8, Issue 29 - Spring Year 1398]
  • Farhadi.Hamid Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [ Vol.13, Issue 52 - Winter Year 1403]
  • farhadi.roohollah Forecasting Investors Trading Behavior: Evidence from Prospect Theory [ Vol.4, Issue 15 - Autumn Year 1394]
  • farhadi.roohollah Risk-Return Tradeoff: Evidence of Capital Assets Pricing Model [ Vol.5, Issue 17 - Spring Year 1395]
  • Farhadian.Ali Investigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [ Vol.11, Issue 43 - Autumn Year 1401]
  • Farhang Hoseini.Seyed Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [ Vol.5, Issue 19 - Autumn Year 1395]
  • Farhangi.Ali Akbar Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [ Vol.12, Issue 45 - Spring Year 1402]
  • Farhangi.Ali Akbar Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [ Vol.12, Issue 48 - Winter Year 1402]
  • faridnia.Amir The Impact of Management Overconfidence on Value Creation and Stock Return Risk [ Vol.8, Issue 31 - Autumn Year 1398]
  • Faridnia.Amir Explaining the role of personality and structural characteristics of management on the competitiveness in the market of products of companies listed on the Tehran Stock Exchange: Emphasis on data mining models and data envelopment analysis [ Vol.12, Issue 48 - Winter Year 1402]
  • farnia.pooneh Catastrophe Bonds Securitization in Iran's Insurance Industry [ Vol.7, Issue 27 - Autumn Year 1397]
  • Farnoosh.rahman Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [ Vol.8, Issue 31 - Autumn Year 1398]
  • farsad amanollahi.gholamreza Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange [ Vol.13, Issue 50 - Summer Year 1403]
  • Farshad.Abolfazl Investor behavior and bias resulting from of financial restatement [ Vol.12, Issue 48 - Winter Year 1402]
  • Farzinfar.Ali Akbar Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]
  • Fasihe.Elham The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [ Vol.5, Issue 20 - Winter Year 1395]
  • fatahi.hamid investing in start-ups in order to achieve a resilient economy and economic defense [ Vol.13, Issue 49 - Spring Year 1403]
  • Fatemi.Alireza presenting a model to optimize liquidity measures in tehran stock exchange [ Vol.12, Issue 46 - Summer Year 1402]
  • Fathi.Mohammad Reza Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [ Vol.12, Issue 48 - Winter Year 1402]
  • fathi.zadalah Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [ Vol.10, Issue 39 - Autumn Year 1400]
  • Fathi.Zadalh Predicting the factors affecting on the transfer (Migration) of value Firms with financial health in the Tehran Stock Exchange by using the nonlinear algorithm of random forest [ Vol.12, Issue 46 - Summer Year 1402]
  • fathi.Zadollah Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [ Vol.13, Issue 51 - Autumn Year 1403]
  • Fathi.Zadollah Investigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [ Vol.11, Issue 42 - Summer Year 1401]
  • Fathullahi.Fuad Return Momentum:Evidence from Tehran Stock Exchange [ Vol.3, Issue 9 - Spring Year 1393]
  • Fattahi.Shahram Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [ Vol.11, Issue 43 - Autumn Year 1401]
  • Fazel Yazdi.Ali Identifying the relative efficiency of banks, using the data envelopment analysis and fuzzy multi-attribute decision-making approach (Case Study: The Bank accepted in the Tehran Stock Exchange) [ Vol.2, Issue 7 - Autumn Year 1392]
  • Fazel Yazdi.Ali The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [ Vol.3, Issue 9 - Spring Year 1393]
  • Fazilat.Farhd The moderating effect of social responsibility on the relationship between investment and performance with emphasis on factors based on agency theory [ Vol.10, Issue 38 - Summer Year 1400]
  • Fegh-hi Farahmand.Nasser Providing a model of value creation with customers in the banking industry from a phenomenological perspective [ Vol.12, Issue 45 - Spring Year 1402]
  • Feizollahzadeh.Mansour Comparative Analysis of Oil Price and Exchange Rate Volatility in Industries Return Relating to Petroleum Based On Arbitrage Pricing Theory and Dynamic Regression Model [ Vol.1, Issue 1 - Spring Year 1391]
  • Feizollahzadeh.Mansour Financial Marketing [ Vol.2, Issue 6 - Summer Year 1392]
  • fereidouny.Mohammad Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [ Vol.11, Issue 42 - Summer Year 1401]
  • Fogharaei.Hamed Optimizing technical indicator rules [ Vol.6, Issue 22 - Summer Year 1396]
  • Foroghi.Dariosh Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [ Vol.2, Issue 6 - Summer Year 1392]
  • Foroghi.Dariosh Evaluation Fundamental based risk model in predicting stock prices [ Vol.3, Issue 12 - Winter Year 1393]
  • foroughnejad.heidar Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [ Vol.2, Issue 6 - Summer Year 1392]
  • foroughnejad.heidar Efficiency Evaluation and Rating of registerd brokerage firms of Tehran Stock Exchange Using data envelopment analysis (DEA) [ Vol.2, Issue 8 - Winter Year 1392]
  • foroughnejad.heidar An Investigation of Affecting Factors in Bid Ask Spread as a Measure for Information Asymmetry [ Vol.3, Issue 12 - Winter Year 1393]
  • foroughnejad.heidar Agent-based modeling in financial markets [ Vol.3, Issue 12 - Winter Year 1393]
  • foroush bastani.ali Investigating the factors affecting the determination of deposit insurance premiums among Iranian banks listed on the Iranian stock exchange and OTC [ Vol.10, Issue 39 - Autumn Year 1400]
  • foroush bastani.ali Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • foroush bastani.ali The Evaluation of Venture Capital as an Installment Option and Real Options [ Vol.6, Issue 21 - Spring Year 1396]
  • Fotouhi Foshtomi.Hassan Presenting an Investment Efficiency Model Based on Managers' Behavioral Biases with Emphasis on the Role of Investment Sentiment [ Vol.12, Issue 48 - Winter Year 1402]
  • FRIDONI.FARSHID Comparative analysis of the effect of performance criteria and monitoring TZ and Jones Earning Smoothing Models (RELIEF LARS - Variable Selection Approach) [ Vol.10, Issue 39 - Autumn Year 1400]

G

  • galebafasl.hasan Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [ Vol.10, Issue 37 - Spring Year 1400]
  • galebafasl.hasan A hybrid model based on three-tier approach to predict corporate default [ Vol.10, Issue 40 - Winter Year 1400]
  • galebafasl.hasan The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [ Vol.12, Issue 46 - Summer Year 1402]
  • galebafasl.hasan The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [ Vol.6, Issue 24 - Winter Year 1396]
  • Gelard.parvaneh The role of government in financing and developing investment in small and medium-sized businesses [ Vol.9, Issue 35 - Autumn Year 1399]
  • Geraeeli Nezhad Foomeshi.mehdi Evaluating the impact of systematic risk on the stock returns of companies listed on the iran stock exchange using an optimal model based on rough set, regression and arbitrage pricing theory [ Vol.13, Issue 52 - Winter Year 1403]
  • Ghadami.Mohsen Designing an Econometric Innovation Model Based on the Main Dimensions of Strategy in Iranian Governmental Organizations (Case Study: the state organization for registration of deeds and properties) [ Vol.8, Issue 29 - Spring Year 1398]
  • ghaderi.farzad The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [ Vol.7, Issue 28 - Winter Year 1397]
  • Ghaderi.Foad Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [ Vol.1, Issue 2 - Summer Year 1391]
  • Ghaderi.Salahedin Social capital, Sticky Dividend and investment efficiency [ Vol.11, Issue 44 - Winter Year 1401]
  • Ghaderi.Salahedin Social capital and investment efficiency [ Vol.12, Issue 45 - Spring Year 1402]
  • Ghaed.Maryam Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [ Vol.12, Issue 46 - Summer Year 1402]
  • ghaedi.hossein The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [ Vol.9, Issue 36 - Winter Year 1399]
  • ghafari.farhad Measuring systemic risk and the effect of fundamental variables on it in the country's banking system [ Vol.12, Issue 48 - Winter Year 1402]
  • ghaffari.farhad Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [ Vol.13, Issue 50 - Summer Year 1403]
  • Ghaffari.Sepideh Examining the Effects of Securitization Process on Credit Risk and Banking Stability: Empirical Evidence from Commercial Banks in Iran [ Vol.4, Issue 16 - Winter Year 1394]
  • Ghafouri.Masoumeh The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [ Vol.11, Issue 41 - Spring Year 1401]
  • ghahremani.hosna corporate governance role in readability of board of directors' report of companies listed in Tehran Stock Exchange [ Vol.10, Issue 39 - Autumn Year 1400]
  • ghalandarzadeh.afsaneh Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [ Vol.11, Issue 42 - Summer Year 1401]
  • ghalmegh.karim The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [ Vol.8, Issue 30 - Summer Year 1398]
  • Ghanbari.Mehrdad Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [ Vol.10, Issue 37 - Spring Year 1400]
  • Ghanbari.Mehrdad Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [ Vol.11, Issue 43 - Autumn Year 1401]
  • Ghanbari.Mehrdad Investigating the models of the impact of different types of cash flows from the differentiation strategy and cost leadership with emphasis on the capital structure [ Vol.12, Issue 47 - Autumn Year 1402]
  • Ghanbari.Mehrdad Interpretive structural modeling to improve the financial fragility of companies listed on the Iranian Stock Exchange with a screening approach [ Vol.13, Issue 50 - Summer Year 1403]
  • Ghanbari.Mehrdad Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [ Vol.13, Issue 51 - Autumn Year 1403]
  • Ghanbarpour.ronak Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [ Vol.10, Issue 39 - Autumn Year 1400]
  • Ghasemi Shams.Masoomeh Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [ Vol.6, Issue 21 - Spring Year 1396]
  • Ghasemi.Ahmad Reza Evaluating and Prioritizing of the Risk of Money Laundering Criteria (Case Study: Refah Bank) [ Vol.8, Issue 31 - Autumn Year 1398]
  • Ghasemi.Azam Identifying the causal and effect factors affecting organizational silence using the Fuzzy Dimtel method in Khorasan Razavi financial and investment companies. [ Vol.13, Issue 52 - Winter Year 1403]
  • Ghasemi.Esmaeil Emotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [ Vol.11, Issue 42 - Summer Year 1401]
  • ghasemi.maziar Measuring investment strategies, light or heavy assets and debt multiplication based on consistent decisions in industry group companies [ Vol.11, Issue 43 - Autumn Year 1401]
  • Ghasemi.Mozhde Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [ Vol.4, Issue 14 - Summer Year 1394]
  • ghasemi.saeid predicted profit on the possibility of revision in profit prediction [ Vol.8, Issue 31 - Autumn Year 1398]
  • Ghasemian Safaei.Hajieh Financial Astrology in Stock Market Analysis [ Vol.5, Issue 20 - Winter Year 1395]
  • Ghasempour.Maasomeh Evaluation the Effects of Monetary and Fiscal Policy and Iindustry Growth on Changes of Tehran Security Exchange Index [ Vol.6, Issue 22 - Summer Year 1396]
  • Ghavidel.Saleh Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [ Vol.11, Issue 41 - Spring Year 1401]
  • ghayoumi.zohreh Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • Ghazanfari.Hossein A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • Ghazi.Iran Developing a strategic model for earthquake crisis management, targeting to minimize economic vulnerability; case study on district 22 of Tehran [ Vol.12, Issue 48 - Winter Year 1402]
  • Gheyasi Tabari.Fatemeh Presenting a model for the development of green investment in smart production systems based on digital transformation in the automotive industry [ Vol.13, Issue 52 - Winter Year 1403]
  • ghobanhosini.masod Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • Ghodrati Ghazaani.Hasan Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • Ghodrati.Hasan Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]
  • Ghodrati.Hasan Dividend Smoothing Based on Dependent Structure of Investment of Firms [ Vol.9, Issue 35 - Autumn Year 1399]
  • Ghodrati.Hassan Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • ghodsi.masoud Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • Gholami CHENARESTAN OLYA.Abdolghalegh Examining the Impact of Managers' Social Capital on Bank Risks [ Vol.12, Issue 48 - Winter Year 1402]
  • Gholami Jamkarani.Reza The relationship between managers' overconfidence, inflation uncertainty and overinvestment [ Vol.9, Issue 35 - Autumn Year 1399]
  • Gholami Moghaddam.faezah Investors Reaction to the Disclosure of CEO Compensation [ Vol.9, Issue 33 - Spring Year 1399]
  • gholami.Elham Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [ Vol.3, Issue 12 - Winter Year 1393]
  • GHOLAMI.PARISA Presentation of Parsian Bank Brand Promotion Model Base on Grounded Theory with a Value Creation Approach [ Vol.9, Issue 35 - Autumn Year 1399]
  • gholamijamkarani.Reza Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]
  • Gholami-Jamkarani.Reza Designing a Risk of tax arrears model with a tax litigation approach [ Vol.11, Issue 44 - Winter Year 1401]
  • Gholami-Jamkarani.Reza A model for strengthening banks with approach of antifragility to financial crises [ Vol.13, Issue 50 - Summer Year 1403]
  • Gholami-Jamkarani.Reza Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • Gholami-Jamkarani.Reza Investigate the relationship between investor sentiment, courage in predicting dividends and future corporate performance [ Vol.8, Issue 30 - Summer Year 1398]
  • Gholamlou.Ghasem The effect of the political cycle on the Tehran Stock market trading volume and liquidity [ Vol.3, Issue 10 - Summer Year 1393]
  • gholamnia roshan.hamid reza The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • Gholipour Khaneghah.Mahdi Role of Investment Opportunities Set (IOS) in Companies Financing Policy [ Vol.8, Issue 29 - Spring Year 1398]
  • Gholizadeh.Alireza The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [ Vol.10, Issue 40 - Winter Year 1400]
  • gholizadeh.mohammadhasan Financial crimes; Model design and explanation With grounded theory Method [ Vol.10, Issue 38 - Summer Year 1400]
  • gholizadeh.mohammadhasan Management of Downside risk and Upside risk with exchange rates and stock prices [ Vol.10, Issue 39 - Autumn Year 1400]
  • gholizadeh.mohammadhasan An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [ Vol.11, Issue 41 - Spring Year 1401]
  • gholizadeh.mohammadhasan Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [ Vol.12, Issue 47 - Autumn Year 1402]
  • gholizadeh.mohammadhasan Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [ Vol.13, Issue 50 - Summer Year 1403]
  • gholizadeh.mohammadhasan Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • Ghorbani Bavani.Mahsa New methods of financing football clubs in developed countries and the developing countries have a comparative study [ Vol.4, Issue 13 - Spring Year 1394]
  • ghorbani bejandi.shahla Behavioral factors affecting on investors behavior in Iran different cultures [ Vol.9, Issue 35 - Autumn Year 1399]
  • ghorbani nasab.fatemeh The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [ Vol.7, Issue 25 - Spring Year 1397]
  • Ghorbani.AmirHassan Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [ Vol.13, Issue 52 - Winter Year 1403]
  • ghorbani.Mahmoud Identification of Indicators of Banks subject to Bankruptcy Crisis Based on Thematic Analysis Method [ Vol.10, Issue 40 - Winter Year 1400]
  • ghorchian.nader gholi Providin a model for university and industry intetaction based on Knowledge-based economy and investing research and development [ Vol.10, Issue 38 - Summer Year 1400]
  • Ghouchani.Rouzbeh. The Effect of trading volume and high P/E ratio on the price bubble in Tehran stock exchange market [ Vol.2, Issue 8 - Winter Year 1392]
  • givaki.ebrahim Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • Golami.Samad Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [ Vol.9, Issue 34 - Summer Year 1399]
  • Goodarzi.Ahmad Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [ Vol.10, Issue 39 - Autumn Year 1400]
  • goodarzi.arash Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Goorani.Pouya Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [ Vol.10, Issue 39 - Autumn Year 1400]
  • gorganli davaji.jomadoordi Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • Gorganli Doji., Jamadori Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • gorji.ali akbar Human Development, State and Investment Policies [ Vol.7, Issue 25 - Spring Year 1397]
  • Gorji.Mohammadbagher Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • Gouchifard.Hamze The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • goudarzi.mahmoud Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [ Vol.12, Issue 45 - Spring Year 1402]
  • Goudarzvand Chegini.Mehrdad The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]

H

  • Hadilu.Bahman Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Hafezalkotob.Ashkan Corporative Game Theoretic Application in Stock Selection Optimization [ Vol.10, Issue 39 - Autumn Year 1400]
  • Haghighat monfared.Jalal Identifying and investigating the factors affecting investment in new product development in the area of supervisory financial technologies (Case study of Tejarat Bank) [ Vol.11, Issue 41 - Spring Year 1401]
  • haghighat.ali Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [ Vol.7, Issue 27 - Autumn Year 1397]
  • haghighat.ali Effects of exchange rates shocks on Tehran stock market returns: MSFITGARCH model [ Vol.9, Issue 33 - Spring Year 1399]
  • haghighi.saman Heavenly Bodies and the Performance of the Tehran Stock Exchange [ Vol.8, Issue 29 - Spring Year 1398]
  • Haghshenas Kashani.Farideh Studying the Effects of the Locus of Control on the Perceptual Errors in the Decision Making of the Investors in the Tehran Stock Exchange [ Vol.1, Issue 3 - Autumn Year 1391]
  • Haghverdilou.Mahmoud Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [ Vol.11, Issue 44 - Winter Year 1401]
  • Haidari.AmirHooshang Future scenarios of the banking industry [ Vol.12, Issue 46 - Summer Year 1402]
  • Haj Akbari.Seyed Mahmoud Identifying Risks of Outsourcing Information Technology Contracts in Government Organizations (Case Study: Level one Organozation In Tehran) [ Vol.10, Issue 40 - Winter Year 1400]
  • Hajali.Mohammad Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [ Vol.4, Issue 14 - Summer Year 1394]
  • hajian.mahdi Design of Financial Procedure Patterns for supply Chain with Credit Coverage Approach by Agricultural Bank [ Vol.12, Issue 46 - Summer Year 1402]
  • Hajiha.Zohreh Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [ Vol.10, Issue 37 - Spring Year 1400]
  • Hajiha.Zohreh Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [ Vol.11, Issue 41 - Spring Year 1401]
  • Hajiha.Zohreh Provide a model for measuring the effects of banking risks on the stability of the banking system [ Vol.11, Issue 41 - Spring Year 1401]
  • Hajiha.Zohreh Analyzing the relationship between performance metrics and investment cash flow with emphasis on the role of corporate political communication [ Vol.12, Issue 45 - Spring Year 1402]
  • Hajiha.Zohreh The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [ Vol.12, Issue 46 - Summer Year 1402]
  • Hajiha.Zohreh Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [ Vol.12, Issue 46 - Summer Year 1402]
  • Hajiha.Zohreh Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • Hajiha.Zohreh The effect of transparency of information on the relationship between family ownership and cost of debt [ Vol.7, Issue 26 - Summer Year 1397]
  • Hajiha.Zohreh Effect of price gap and inappropriate selection as information asymmetric measures on the level of cash holdings [ Vol.7, Issue 27 - Autumn Year 1397]
  • Hajiha.زهره The study of the effect of motivation on the senior managers of wealth creation for Shareholders [ Vol.2, Issue 5 - Spring Year 1392]
  • Hajiha.زهره Studying the Effect of Information Asymmetry and Firm Value on the Firm Investment in Companies Listed in Tehran Stock Exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • HajiHashemi Vernosefaderani.Mansoureh Effects of Managers’ over confidence on Voluntarily Information Disclosure and Social Responsibility of Companies Listed in Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • hakimian.hasan The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [ Vol.9, Issue 35 - Autumn Year 1399]
  • hamdi.karim Provide intelligent classification model based on perceptron artificial neural network (MLP) and hierarchical analysis (AHP) in digital marketing services to prioritize liquidity and investment risk [ Vol.10, Issue 37 - Spring Year 1400]
  • Hamedinia.Hamed The Evaluation of Venture Capital as an Installment Option and Real Options [ Vol.6, Issue 21 - Spring Year 1396]
  • Hamedinia.Hamed Installment Option Valuation by Least Squares with Checking the Solution Convergence [ Vol.8, Issue 32 - Winter Year 1398]
  • hamidian.mohsen Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [ Vol.11, Issue 43 - Autumn Year 1401]
  • hamidian.mohsen Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • hamidifar.fatemeh Identifying the dimensions and indicators of school organizational culture development and its role in economic development: A data research foundation [ Vol.12, Issue 48 - Winter Year 1402]
  • Hamidizadeh.Mohammadreza Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [ Vol.5, Issue 20 - Winter Year 1395]
  • Hamzeh.A. Impact of Climate Change Risk and Insurance Industry [ Vol.12, Issue 46 - Summer Year 1402]
  • Hanifi.Farhad Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • Hanifi.Farhad The impact of financial and money market developments on foreign direct investment in Iran [ Vol.7, Issue 25 - Spring Year 1397]
  • hanjari.sara Investing in the Culture and Economic Growth [ Vol.10, Issue 38 - Summer Year 1400]
  • Hasanalizadeh.Alireza Legal analysis of the fiscal regime of IPC upstream contracts in the oil and gas industry in Iran. [ Vol.12, Issue 46 - Summer Year 1402]
  • Hasanalizadeh.Alireza Comparative Analysis of the Financial Regime of New Petroleum Contracts, Known as IPC, and Buyback Trade in Terms of Costs [ Vol.13, Issue 49 - Spring Year 1403]
  • hasanpour.esmaeil Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • hasanzadeh.ali Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [ Vol.10, Issue 40 - Winter Year 1400]
  • hasanzadeh.roghayeh Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [ Vol.11, Issue 41 - Spring Year 1401]
  • Hasanzadeh.Roghayieh The Effect of Banking Credit Clients Validation on Economic Growth in Iran (Case study of Bank Saderat Iran) [ Vol.12, Issue 48 - Winter Year 1402]
  • Hasas Yeganeh.Yahya Regional Role of Tax Return Transcript Establishment in Intention-to-pay Taxes: (Study Case: Taxpayers of Iranian National Tax Admission Organization-Tehran) [ Vol.8, Issue 29 - Spring Year 1398]
  • Hashemi.Hasan Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [ Vol.13, Issue 52 - Winter Year 1403]
  • hashemikhah.mohammad Quality of Management Performance, Information Confidence and market Confidence [ Vol.13, Issue 50 - Summer Year 1403]
  • hasheminejad.seyed mohammad Modeling volatility and conditional VaR measure using GARCH models and theoretical EVT in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • Hasheminejad.Seyed Mohammad Effects of Quality Management Systems on the financial performance of the Companies listed in Tehran Stock Exchange [ Vol.1, Issue 4 - Winter Year 1391]
  • Hasheminejad.Seyed Mohammad Identifying the influential macro factors in the creation of non-performing loans by the method of theme analysis, the case study of Bank Mehr Eghtesad [ Vol.13, Issue 50 - Summer Year 1403]
  • hashemloo.akram Comparing the superiority of Glomar stock using multi-criteria decision-making models, Taxonomy and PROMETHEE [ Vol.10, Issue 38 - Summer Year 1400]
  • hashemloo.akram Design the model for Glomar Stock Selection in the Tehran Securities Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • Hashempoor.Morteza Proposing a novel model based on ARIMA technique for forecasting housing price: a case study of Tehran [ Vol.4, Issue 14 - Summer Year 1394]
  • Hashemzadeh Khorasgani.Gholamreza Investigating the Importance of R & D Capacity Factors on Technology Transfer Techniques (Case Study: Iranian Automotive Industry) [ Vol.6, Issue 22 - Summer Year 1396]
  • hashmiyan.mehdi The Effect of CEO Power on Corporate Risk Taking using the Generalized Method of Moments (GMM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Hassani.Mohammad Analytical Analysis the Impact of Economic Complexity Index & Business Strategies on Firms’ Capital Expenditure under Iran's Vision Plan [ Vol.11, Issue 42 - Summer Year 1401]
  • Hassani.Mohammad Assessment the Impact of Inefficient Investment Decisions on the Relationship between Conservatism and New Investment [ Vol.9, Issue 36 - Winter Year 1399]
  • hassani.zahra Investigating the Relationship between Political Influence and Investment Efficiency of Listed Companies in Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • hassannezhad.mohammad Exchange rate fluctuations and reaction Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • Hatam.javid Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • hazaveh.ali Providing a model of investment ethics for managers in the financial crisis with a qualitative approach [ Vol.11, Issue 43 - Autumn Year 1401]
  • hedayat.mehdi Investigating factors affecting demand in mutual funds, focusing on cash flows. [ Vol.9, Issue 33 - Spring Year 1399]
  • Hedayati.Shohreh Estimation of Value at Risk by using Extreme Value Theory [ Vol.3, Issue 9 - Spring Year 1393]
  • heidari haratemeh.mostafa Institutional Policy of Foreign Investment in the Framework of Multilateral and Regional Investment Treaties [ Vol.13, Issue 52 - Winter Year 1403]
  • heidari mogadam.bahareh The impact of personality phases of managers of mutual funds on smart money by considering the moderating role of manager's financial intelligence [ Vol.13, Issue 50 - Summer Year 1403]
  • Heidari.Mehdi Predicting Financial Distress with a Combined Model Case Study: Companies Listed on the Tehran Stock Exchange [ Vol.13, Issue 50 - Summer Year 1403]
  • heidari.seyedali Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Heidarzadeh Hanzaei.Alireza Investigation the Impact of Earning Smoothing and Financial Information Transparency on Stock Price Crash Risk [ Vol.10, Issue 39 - Autumn Year 1400]
  • Heidarzadeh Hanzaei.Alireza Bank opacity and efficiency of stock prices [ Vol.10, Issue 39 - Autumn Year 1400]
  • Heidarzadeh Hanzaei.Alireza A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • Heidarzadeh Hanzaei.Alireza Measuring systemic risk and the effect of fundamental variables on it in the country's banking system [ Vol.12, Issue 48 - Winter Year 1402]
  • Heidarzadeh Hanzaei.Alireza Investigating the Impact of Political Communication on the Relationship between Investment Performance and Cost of Capital [ Vol.13, Issue 52 - Winter Year 1403]
  • Heidarzadeh Hanzaei.Alireza Information Environment and Earnings Management in Companies to Dual Holdings [ Vol.8, Issue 29 - Spring Year 1398]
  • Heidarzadeh.kambiz Designing an economic pattern of buying in-house goods with an emphasis on customer motivational categories (Studied by the automotive industry) [ Vol.11, Issue 41 - Spring Year 1401]
  • Heidarzadeh.Kambiz New Customer Oriented Banking: Approaches, Challenges and Patterns [ Vol.12, Issue 46 - Summer Year 1402]
  • Hejazi.Rezvan Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • hejazi.seyaed reza Power option pricing Under Heston model (Evidences of Tehran stock exchange) [ Vol.9, Issue 33 - Spring Year 1399]
  • Hematfar.Mahmmoud Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [ Vol.11, Issue 41 - Spring Year 1401]
  • Hematfar.Mahmmoud Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • Hematfar.Mahmmoud Mathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [ Vol.11, Issue 44 - Winter Year 1401]
  • Hematfar.Mahmmoud Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [ Vol.12, Issue 45 - Spring Year 1402]
  • Hematfar.Mahmmoud Explain the appropriate pattern of risk-taking power of stock market investors based on social capital using the factor of exploratory factor analysis approach and modeling of structural equations [ Vol.12, Issue 47 - Autumn Year 1402]
  • Hematfar.Mahmmoud The relationship between stock liquidity, cost of capital, and family ownership [ Vol.12, Issue 48 - Winter Year 1402]
  • Hematfar.Mahmmoud Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]
  • hematfar.mahmoud Designing a Model for Fiscal Discipline of Companies Listed in the Tehran Stock Exchange Using Logistic Regression [ Vol.12, Issue 45 - Spring Year 1402]
  • hemati.davod Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [ Vol.12, Issue 48 - Winter Year 1402]
  • hemati.hoda Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [ Vol.12, Issue 46 - Summer Year 1402]
  • Hemmati.Davoud Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations [ Vol.9, Issue 33 - Spring Year 1399]
  • Hemmati.Hoda Evaluation Grid matrix model according to Sharp and Traynor ratio for assessing portfolio’s performance in selective model [ Vol.1, Issue 3 - Autumn Year 1391]
  • Hemmati.Hoda Overflow of parallel markets of Tehran Stock Exchange over the trading industries of the stock exchange. [ Vol.11, Issue 44 - Winter Year 1401]
  • Hemmati.Hoda Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • Hemmati.Hoda Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [ Vol.12, Issue 47 - Autumn Year 1402]
  • Hemmati.Hoda Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [ Vol.13, Issue 52 - Winter Year 1403]
  • Hemmati.Hoda Identifying and explaining mutual relationships of investment risks in public-private partnership projects in the oil industry [ Vol.13, Issue 52 - Winter Year 1403]
  • Hendijanizadeh.Mohammad A novel approach to fulfill active portfolio management and automatic stock trading based on feature selection algorithm [ Vol.4, Issue 13 - Spring Year 1394]
  • Heydari.Mohsen Information Content of Financial Reporting and the development of interactive capability with stakeholders: Pygmalion Theory Test [ Vol.11, Issue 44 - Winter Year 1401]
  • heydary.keramat allah Economic Analysis of the Possibility of a Tax on Bank Deposits [ Vol.5, Issue 19 - Autumn Year 1395]
  • heydarzadeh aghdam.narjes Presentation of Risk Management Model in Digital Banking - A rational approach [ Vol.10, Issue 37 - Spring Year 1400]
  • hezarkhani.masoumeh Cash Flow Sensitivity Analysis on the Impact of Financial Constraints Based on the Bao Model [ Vol.3, Issue 12 - Winter Year 1393]
  • hijroudi.fateme Analysis of the role of five factor model of personality on the The effect of financial information acquisition on behavior of investors in the Tehran Stock Exchange [ Vol.7, Issue 25 - Spring Year 1397]
  • Hirani.Forough Identification of effective components in the formation of financial literacy of corporate executives using the phenomenological approach. [ Vol.10, Issue 37 - Spring Year 1400]
  • Hirani.Forough The investigation of relationship between stock liquidity and Stock price synchronicity using the simultaneous equations system in the accepted companies in the Tehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • Hirani.Forough Self-Control, Financial Literacy and Consumer Over-Indebtedness (Case Study: Yazd Tire Industries Complex) [ Vol.9, Issue 33 - Spring Year 1399]
  • Hojabrkiani.هژبر کیانی Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [ Vol.3, Issue 12 - Winter Year 1393]
  • Homayounfar.Mahdi Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [ Vol.12, Issue 46 - Summer Year 1402]
  • Homayounfar.Mahdi Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Honardoost.Azam Fama and French Three-factor Model and Liquidity Risk: Evidence from Tehran Stock Exchange Market [ Vol.1, Issue 2 - Summer Year 1391]
  • Honardoost.Azam The effect of maturity date, trade volume and open interests on gold coin future price volatility [ Vol.3, Issue 9 - Spring Year 1393]
  • Honardoust.Azam Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [ Vol.10, Issue 39 - Autumn Year 1400]
  • Hoseinalinezhad.Morteza Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [ Vol.13, Issue 52 - Winter Year 1403]
  • hossaini.seyed mehdi Investor sentiment under representativeness heuristic: The case of Tehran Stock Exchange [ Vol.5, Issue 19 - Autumn Year 1395]
  • hossaini.seyed mehdi Installment Option Valuation by Least Squares with Checking the Solution Convergence [ Vol.8, Issue 32 - Winter Year 1398]
  • Hosseini Dana.Hamidreza Desirable model for news marketing in financial markets [ Vol.11, Issue 42 - Summer Year 1401]
  • Hosseini Esfidvajani.Seyed Ali Investigation of information interaction in Iranian capital market companies using transfer entropy matrix [ Vol.9, Issue 36 - Winter Year 1399]
  • Hosseini Nasab.SyedEbrahim Factor affecting on health in the Organization of the Islamic Conference (OIC) Member Countries’ case (social – economic approach) [ Vol.2, Issue 6 - Summer Year 1392]
  • Hosseini Shirvani.Mirsaeid Optimal Portfolio Selection using Machine Learning Algorithms [ Vol.12, Issue 48 - Winter Year 1402]
  • hosseini.ali The investigation of the effect of risk disclosure on investment efficiency of accepted companies in Tehran stock exchange [ Vol.8, Issue 31 - Autumn Year 1398]
  • hosseini.ardalan Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • Hosseini.Bistoon Locally Stationary Wavelet Process and Its Application in Consumer Price Index [ Vol.1, Issue 1 - Spring Year 1391]
  • Hosseini.Mehri Scientometrics studies the impact of business model innovation on financial performance [ Vol.11, Issue 41 - Spring Year 1401]
  • hosseini.sayedeh monireh Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [ Vol.11, Issue 41 - Spring Year 1401]
  • hosseini.seyed hossein Mutual Fund Liquidity Risk Management Tools [ Vol.12, Issue 47 - Autumn Year 1402]
  • Hosseinpur.arash The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [ Vol.12, Issue 47 - Autumn Year 1402]
  • hossinpour.mohammad Presenting a strategic model of marketing capacities and its impact on financial performance in order to develop investment in Khuzestan steel industry [ Vol.13, Issue 50 - Summer Year 1403]
  • hozoori.mohamadjavad Measuring Risk Excesses in Iran’s Mutual Funds industry [ Vol.1, Issue 2 - Summer Year 1391]

I

  • Iman zadeh.Peyman Latent Volatility Modeling and Bayesian Analysis of stochastic Volatility of Intraday Data of Tehran Stock Exchange Index Based on Markov Monte Carlo Chain [ Vol.13, Issue 51 - Autumn Year 1403]
  • Imani Barandagh.Mohammad Biorhythm and cognitive function of investors In the stock market [ Vol.13, Issue 51 - Autumn Year 1403]
  • imankhan.niloufar Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • Irani janyarlou.Shahram Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • Iravani.Hamidreza Modeling risk in accordance with the financing structure in the money market based on probabilistic decision theory [ Vol.10, Issue 37 - Spring Year 1400]
  • iravani.mahnaz The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [ Vol.12, Issue 46 - Summer Year 1402]
  • Islami.Reza The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [ Vol.8, Issue 32 - Winter Year 1398]
  • Izadi.Mansoureh An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [ Vol.4, Issue 13 - Spring Year 1394]

J

  • Jaafari.Parivash Provide an appropriate model for financing entrepreneurship with a collective participation approach in knowledge-based businesses [ Vol.12, Issue 48 - Winter Year 1402]
  • Jabari.Mohammadreza Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [ Vol.11, Issue 42 - Summer Year 1401]
  • jabbari piryousefian.jaber Identification and Ranking of Green investment Factors [ Vol.9, Issue 34 - Summer Year 1399]
  • Jabbari.Hosein Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [ Vol.11, Issue 44 - Winter Year 1401]
  • Jabbari.Hosein Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]
  • Jabbari.Hossein Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • Jabbari.Hossein Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • jabbarzadeh.vahid corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [ Vol.12, Issue 46 - Summer Year 1402]
  • jabbarzadeh.vahid The Effect of Individual Differences Based on Cognition on Investors Judgment and Decision Making: The Role of Information Overload [ Vol.9, Issue 35 - Autumn Year 1399]
  • jafari doudaran.alireza Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle [ Vol.11, Issue 44 - Winter Year 1401]
  • Jafari Samimi.Ahmad Investing in the Culture and Economic Growth [ Vol.10, Issue 38 - Summer Year 1400]
  • Jafari Samimi.Ahmad An Optimization of Moving Average Stock Price in Tehran Stock Exchange: Meta-heuristic approach Adaptive Improved Genetic Algorithm [ Vol.7, Issue 25 - Spring Year 1397]
  • jafari tajangooke.Abuozar Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • Jafari yazdi.Hamideh Investigating the Impact of Political Communication on the Relationship between Investment Performance and Cost of Capital [ Vol.13, Issue 52 - Winter Year 1403]
  • Jafari.Ali Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [ Vol.13, Issue 52 - Winter Year 1403]
  • Jafari.Fatemeh Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [ Vol.12, Issue 47 - Autumn Year 1402]
  • Jafari.Gholamreza Investigation of information interaction in Iranian capital market companies using transfer entropy matrix [ Vol.9, Issue 36 - Winter Year 1399]
  • Jafari.Mostafa Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle [ Vol.11, Issue 44 - Winter Year 1401]
  • jafari.seyedeh mahboobeh Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [ Vol.10, Issue 37 - Spring Year 1400]
  • jafari.seyedeh mahboobeh Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [ Vol.11, Issue 43 - Autumn Year 1401]
  • jafari.seyedeh mahboobeh Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [ Vol.11, Issue 44 - Winter Year 1401]
  • jafari.seyedeh mahboobeh The Effect of Investors Sentiment and Free Float on Stock return in TSE Listed Companies by Using Generalized Method of Moments (GMM) [ Vol.9, Issue 34 - Summer Year 1399]
  • jafari.vahid The Role of corporate governance culture and Investor Rights In corporate Health [ Vol.12, Issue 47 - Autumn Year 1402]
  • Jafarnejad.Ahmad Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [ Vol.4, Issue 14 - Summer Year 1394]
  • Jafarnejad.Ahmad Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [ Vol.8, Issue 31 - Autumn Year 1398]
  • Jafarzadeh.Soodabeh Evaluating and Prioritizing of the Risk of Money Laundering Criteria (Case Study: Refah Bank) [ Vol.8, Issue 31 - Autumn Year 1398]
  • jafri.ali akbar Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Jahanbakhsh Qarebaghi.Hamid The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [ Vol.13, Issue 52 - Winter Year 1403]
  • Jahandoust Marghoub.Mehran Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [ Vol.12, Issue 46 - Summer Year 1402]
  • Jahani.Amir Masoud Analysis and Evaluation of Effective Behavioral Biases in Investors' Decisions and Determining the Priority of Identified Categories from the Perspective of Experts using Demetel Technique and Analytic Hierarchy Process (AHP) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Jahanmiri.Mohamad hesam Informational uncertainty a criterion to explain stock returns (Behavioral Approach) [ Vol.7, Issue 26 - Summer Year 1397]
  • Jahanshad.Azita Investigation the Effects of management earning forecasts on the cost of equity capital [ Vol.1, Issue 4 - Winter Year 1391]
  • Jahanshad.Azita Stakeholder Integration and Financial Performance: The Mediating Role of Environmental Sustainability Orientation [ Vol.10, Issue 39 - Autumn Year 1400]
  • Jahanshad.Azita Optimal short-term prediction of initial supply yields using bat and random forest algorithms [ Vol.12, Issue 45 - Spring Year 1402]
  • Jahanshad.Azita Topological analysis of accounting risks based on network theory [ Vol.13, Issue 49 - Spring Year 1403]
  • Jahanshad.Azita The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [ Vol.13, Issue 52 - Winter Year 1403]
  • Jahanshad.Azita Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [ Vol.2, Issue 7 - Autumn Year 1392]
  • Jahanshad.Azita Analysis of factors affecting expected stock returns based on the implied cost of capital [ Vol.4, Issue 14 - Summer Year 1394]
  • Jahanshad.Azita The gap between actual and optimal leverage financial leverage due to risk of bankruptcy [ Vol.5, Issue 19 - Autumn Year 1395]
  • Jahanshad.Azita Foresight of education and research in the Iranian tax system - with an economic approach [ Vol.9, Issue 36 - Winter Year 1399]
  • jalaeinobari.hossein Identification and Ranking of Green investment Factors [ Vol.9, Issue 34 - Summer Year 1399]
  • Jalali Nazari.Seyed Ali New Customer Oriented Banking: Approaches, Challenges and Patterns [ Vol.12, Issue 46 - Summer Year 1402]
  • Jalali.Seyyed Mahdi Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [ Vol.13, Issue 49 - Spring Year 1403]
  • jalali.soraya Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [ Vol.9, Issue 33 - Spring Year 1399]
  • jalalkamali.Mohammad Investigating the factors related to the implementation of economic policies of Bank Melli Iran in order to boost production to improve the performance of the financial system [ Vol.10, Issue 39 - Autumn Year 1400]
  • Jalilvand.Abol Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • Jalilvand.Ameneh Feasibility of using credit default swaps money market [ Vol.4, Issue 16 - Winter Year 1394]
  • Jamshidi.Ali Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [ Vol.7, Issue 28 - Winter Year 1397]
  • jamshidinavid.babak Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [ Vol.11, Issue 43 - Autumn Year 1401]
  • Jamshidinavid.Babak Interpretive structural modeling to improve the financial fragility of companies listed on the Iranian Stock Exchange with a screening approach [ Vol.13, Issue 50 - Summer Year 1403]
  • Jamshidinavid.Babak Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [ Vol.13, Issue 51 - Autumn Year 1403]
  • Jamshidinavid.Babak Investigating the Conceptual Model Explaining the Contagion Turbulence Influencing Returns in Banks Accepted in the Stock Exchange [ Vol.8, Issue 31 - Autumn Year 1398]
  • Janalizadeh.Mohammad Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • janani.mohammad hasan Modeling the Relationship between Efficiency, Risk and Capital in the Iranian Banking System [ Vol.10, Issue 40 - Winter Year 1400]
  • janani.mohammad hasan Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • janani.mohammad hasan Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [ Vol.12, Issue 45 - Spring Year 1402]
  • janani.mohammad hasan Explain the appropriate pattern of risk-taking power of stock market investors based on social capital using the factor of exploratory factor analysis approach and modeling of structural equations [ Vol.12, Issue 47 - Autumn Year 1402]
  • janani.mohammad hasan The relationship between stock liquidity, cost of capital, and family ownership [ Vol.12, Issue 48 - Winter Year 1402]
  • Janani.Mohammad Hassan Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]
  • Janfada.Reza Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [ Vol.3, Issue 10 - Summer Year 1393]
  • jani.siyavash Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [ Vol.11, Issue 41 - Spring Year 1401]
  • jani.siyavash The Effect of Banking Credit Clients Validation on Economic Growth in Iran (Case study of Bank Saderat Iran) [ Vol.12, Issue 48 - Winter Year 1402]
  • Janmohammadi.Javad Identifying and Ranking Digital Marketing Factors in the Banking Industry: with an Emphasis on Financial and Investment Services (using Grounded Theory) [ Vol.12, Issue 48 - Winter Year 1402]
  • Javanmard.fatemeh Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [ Vol.12, Issue 46 - Summer Year 1402]
  • Johari.Hadi The effect of leverage ratios customers on credit risk in Iranian Banks using mixed effects model (fixed and random) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Jokar.Iman Cash Flow Sensitivity Analysis on the Impact of Financial Constraints Based on the Bao Model [ Vol.3, Issue 12 - Winter Year 1393]
  • Jorjani.Sara Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [ Vol.11, Issue 44 - Winter Year 1401]
  • jorjorzadeh.alireza Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [ Vol.12, Issue 46 - Summer Year 1402]
  • jorjorzadeh.alireza The Effect of CEO Power on Corporate Risk Taking using the Generalized Method of Moments (GMM) [ Vol.12, Issue 47 - Autumn Year 1402]

K

  • Kaab Umair.Ahmad Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [ Vol.12, Issue 46 - Summer Year 1402]
  • Kafash Hoseini.Eftekhar Sadat The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [ Vol.2, Issue 8 - Winter Year 1392]
  • kahrarian.zahra The Impact of the Quality of Human Resources On attracting Foreign Direct Investment A Case Study of the South East Asian countries and Iran [ Vol.5, Issue 19 - Autumn Year 1395]
  • Kamali.Ehsan Evaluation Fundamental based risk model in predicting stock prices [ Vol.3, Issue 12 - Winter Year 1393]
  • Kamali.Mohamad Ali Investigating investment policy effect on objective achievement in personal account plan [ Vol.9, Issue 35 - Autumn Year 1399]
  • Kamarei.Hadi Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • karami chamgordani.marzieb Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • karami.gholamreza Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • Karami.Hosseyn Examining the potential of the energy exchange in performance resistive economic policies and transparency in capital market information [ Vol.4, Issue 13 - Spring Year 1394]
  • Karami.Hosseyn Weekly crude oil price forecasting by hybrid support vector machine model and Autoregressive Integrated Moving Average [ Vol.4, Issue 14 - Summer Year 1394]
  • Karami.Najaf Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [ Vol.13, Issue 49 - Spring Year 1403]
  • Karamy.Shayan Tracking Stock Exchange Index with considering the limitation of loss aversion with using the new approach of Big Bang - Big Crunch [ Vol.5, Issue 19 - Autumn Year 1395]
  • Kargar.Hashem Designing an Econometric Innovation Model Based on the Main Dimensions of Strategy in Iranian Governmental Organizations (Case Study: the state organization for registration of deeds and properties) [ Vol.8, Issue 29 - Spring Year 1398]
  • Kargari.Yasser A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [ Vol.3, Issue 11 - Autumn Year 1393]
  • Kargari.Yasser Usefulness Assessment of Technical Analysis of World Gold Prices (Approach to the Directional Indicators or Oscillators) [ Vol.3, Issue 9 - Spring Year 1393]
  • Kargarkamvar.Najmeh Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [ Vol.9, Issue 34 - Summer Year 1399]
  • Karimi.Arezou Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [ Vol.13, Issue 52 - Winter Year 1403]
  • Karimi.Mahmoud Investigating the Relationship between Financial Reporting Quality andCorporate Investment Decisions with an Emphasis on Accounting Information Governance Role [ Vol.11, Issue 42 - Summer Year 1401]
  • karimi.masoume Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • Karimkhani.Masoud Investigating the interactions of inequality income, employment and economic growth [ Vol.9, Issue 33 - Spring Year 1399]
  • kashanitabar.shahrzad Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [ Vol.9, Issue 36 - Winter Year 1399]
  • Kashipaz.Mohammad Reza Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [ Vol.5, Issue 20 - Winter Year 1395]
  • katebi.Hamid Reza Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • Kazemi Aliabad.Mostafa Self-Control, Financial Literacy and Consumer Over-Indebtedness (Case Study: Yazd Tire Industries Complex) [ Vol.9, Issue 33 - Spring Year 1399]
  • keramati.mohammadali The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [ Vol.11, Issue 41 - Spring Year 1401]
  • keramati.mohammadali Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [ Vol.12, Issue 48 - Winter Year 1402]
  • Keyghobadi.Amir Reza Systemic risk transmission in Iranian financial markets [ Vol.11, Issue 41 - Spring Year 1401]
  • Keyghobadi.Amir Reza A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [ Vol.12, Issue 46 - Summer Year 1402]
  • Keyghobadi.Amirreza The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [ Vol.10, Issue 40 - Winter Year 1400]
  • Keyghobadi.Amirreza Designing target leverage model over the life cycle of the company [ Vol.12, Issue 45 - Spring Year 1402]
  • Keyghobadi.Amirreza Using data mining techniques to measure tax risk of value added taxes [ Vol.8, Issue 32 - Winter Year 1398]
  • khademi.maryam Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [ Vol.12, Issue 45 - Spring Year 1402]
  • khademi.maryam Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [ Vol.12, Issue 48 - Winter Year 1402]
  • Khademian.Mohammad Content analysis of financial risk management research in Iranian banks [ Vol.13, Issue 51 - Autumn Year 1403]
  • khademian.TALIEE Content analysis of financial risk management research in Iranian banks [ Vol.13, Issue 51 - Autumn Year 1403]
  • khajavi.shokrollah Analysis of the Relationships Between Capital Structure and Cumulative Abnormal Returns (case Study :Tehran securities Exchange) [ Vol.1, Issue 2 - Summer Year 1391]
  • khajavi.shokrollah Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [ Vol.12, Issue 46 - Summer Year 1402]
  • khajavi.shokrollah Neuro finance, Perspective of Behavioral Finance [ Vol.2, Issue 7 - Autumn Year 1392]
  • khajavi.shokrollah Prospect Theory use in non-laboratory environment [ Vol.5, Issue 20 - Winter Year 1395]
  • khajehmahmoodabadi.hamid Threshold dynamics and asymmetric adjustment of stock and currency markets returns in Iran [ Vol.9, Issue 34 - Summer Year 1399]
  • Khajehnasiri.Mahmoudreza Performance Assessment of a Mutual Fund Using Fractional Modeling and the Concept of Value at Risk [ Vol.10, Issue 38 - Summer Year 1400]
  • Khajezadeh Dezfuli.Hadi Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [ Vol.9, Issue 34 - Summer Year 1399]
  • khaleghi kasbi.parvaneh Trend salience, investor behaviours and momentum profitability [ Vol.10, Issue 39 - Autumn Year 1400]
  • khaleghi zadeh dehkordi.maryam Application of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [ Vol.11, Issue 42 - Summer Year 1401]
  • Khalil poor.Mehdi provide a model to check MANAGERS' OVERCONFIDENCE, RISK PREFERENCE, HERD BEHAVIOR AND NON-EFFICIENT INVESTMENT( approach based on game theory ) [ Vol.11, Issue 43 - Autumn Year 1401]
  • khalili araghi.Maryam Portfolio Performance Assessment Based on a Mixed (Economic-Accounting) Approach and Data Envelopment Analysis (DEA) [ Vol.9, Issue 36 - Winter Year 1399]
  • Khalili Araghi.Maryam The contagiousness of the risk of financial distress in Iranian banks with a dynamic conditional turbulence approach [ Vol.12, Issue 45 - Spring Year 1402]
  • Khalili Araghi.Maryam Examining The Financial Engineering Approach’s Ability In Measuring Financial Distress [ Vol.13, Issue 51 - Autumn Year 1403]
  • Khalili Araghi.Maryam leverage decisions , economy policy uncertainty and peer-bank behavior in accepted banks of TSE [ Vol.13, Issue 52 - Winter Year 1403]
  • Khalili Araghi.Maryam Initial public offering (IPO) price Short-term Overreaction: The Effect of price and other factors in Tehran Stock Exchange [ Vol.3, Issue 11 - Autumn Year 1393]
  • Khalili Araghi.Maryam Comparing the Behavioral Model of Stock Images with Traditional Models in estimating Stock values of Companies Listed on Tehran Stock Exchange [ Vol.7, Issue 25 - Spring Year 1397]
  • khalili damghani.kaveh Designing a Hybrid Intelligent Model for Prediction of Stock Price Golden Points [ Vol.8, Issue 29 - Spring Year 1398]
  • khalili.soheil Dependence structure between Iranian financial system’s sub sectors: a vine copula approach [ Vol.8, Issue 30 - Summer Year 1398]
  • khaliliaraghi.maryam Analysis of the impact of Fintech on the financial inclusion in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • khaliliaraghi.maryam Designing a market-oriented and relationship-oriented organizational culture model using the Delphi method to evaluate the performance of financial management in the National Iranian Gas Company. [ Vol.13, Issue 52 - Winter Year 1403]
  • Khalilpour.Mehdi comparative study of dynamic performance of investment according to method (garch)and kalman filter [ Vol.12, Issue 45 - Spring Year 1402]
  • Khamseh.Abbas Identifying the factors affecting the acceptance of Multi-purpose Card Innovation in investment Bank and ranking the factors with the fuzzy approach [ Vol.10, Issue 37 - Spring Year 1400]
  • Khamseh.Abbas Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [ Vol.10, Issue 40 - Winter Year 1400]
  • Khamseh.Abbas Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [ Vol.12, Issue 47 - Autumn Year 1402]
  • Khandan.Saber Presenting a model for the development of green investment in smart production systems based on digital transformation in the automotive industry [ Vol.13, Issue 52 - Winter Year 1403]
  • Khandan.Saber Identifying and explaining mutual relationships of investment risks in public-private partnership projects in the oil industry [ Vol.13, Issue 52 - Winter Year 1403]
  • Khanipour.Saeid Identification, Analysis and Evaluation Risk's of Subsidiaries in Holdings [ Vol.10, Issue 37 - Spring Year 1400]
  • khanmohammadi.mohammadhamed Investigating the behavior of individual investors after the release of financial statements [ Vol.10, Issue 38 - Summer Year 1400]
  • khanmohammadi.mohammadhamed Explain the application of the theory of constraints model to assess credit risk in banks [ Vol.10, Issue 38 - Summer Year 1400]
  • khanmohammadi.mohammadhamed The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [ Vol.12, Issue 46 - Summer Year 1402]
  • khanmohammadi.mohammadhamed A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios [ Vol.12, Issue 48 - Winter Year 1402]
  • khanmohammadi.mohammadhamed Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [ Vol.12, Issue 48 - Winter Year 1402]
  • khanmohammadi.mohammadhamed Explaining the credit rating model in the investment industry [ Vol.13, Issue 50 - Summer Year 1403]
  • khanmohammadi.mohammadhamed Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [ Vol.13, Issue 52 - Winter Year 1403]
  • khanmohammadi.mohammadhamed Influence of Behavioral finance factors on the decisions of individual investors [ Vol.6, Issue 24 - Winter Year 1396]
  • khanmohammadi.mohammadhamed The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [ Vol.7, Issue 25 - Spring Year 1397]
  • khanmohammadi.mohammadhamed Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [ Vol.9, Issue 33 - Spring Year 1399]
  • khanmohammadi.mohammadhamed Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [ Vol.9, Issue 34 - Summer Year 1399]
  • khatib.mahmoud Clarification of the Factors the investment of Technological Projects in the growth Stage with an emphasis on the banking system [ Vol.12, Issue 46 - Summer Year 1402]
  • Kheilnejad.Hamid Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [ Vol.13, Issue 49 - Spring Year 1403]
  • kheirollahi.farshid Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Kheradyar.Sina Validation a Model of Financial Empowerment Based on Financial Therapy Approaches [ Vol.10, Issue 40 - Winter Year 1400]
  • Kheradyar.Sina Evaluate the stock market performance of companies based on uncertainty in the internal information environment and behavioral biases [ Vol.10, Issue 40 - Winter Year 1400]
  • Kheradyar.Sina Shareholder behavior, suppression of managers' opportunistic behavior and capital market efficiency based on Baron and Kenny's regression method [ Vol.13, Issue 51 - Autumn Year 1403]
  • Kheradyar.Sina Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [ Vol.7, Issue 27 - Autumn Year 1397]
  • khermandar.khadijeh Testing the application of inflows (outflows) of mutual funds in the assessment and prioritization of asset pricing models [ Vol.9, Issue 35 - Autumn Year 1399]
  • Khezri poor.Mohammadreza Explain the application of the theory of constraints model to assess credit risk in banks [ Vol.10, Issue 38 - Summer Year 1400]
  • Khodadad Hosseini.Seyed Hamid A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • khodaei Valeh Zaghard.Mohammad Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [ Vol.12, Issue 46 - Summer Year 1402]
  • Khodamoradi.Saeed Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [ Vol.4, Issue 13 - Spring Year 1394]
  • khodarahmi.behroz Optimal short-term prediction of initial supply yields using bat and random forest algorithms [ Vol.12, Issue 45 - Spring Year 1402]
  • Khoddam.Mahmoud Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [ Vol.12, Issue 48 - Winter Year 1402]
  • Khoramnasab.Seyed Hamzeh Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [ Vol.9, Issue 34 - Summer Year 1399]
  • khorani.Masoud Evaluating the Impact of Organizational Factors on Sepah Bank's Deposit and Assets in Preparing a Strategic Model Using Hierarchical Decision Making System and Simultaneous Equation System (Case Study) [ Vol.11, Issue 42 - Summer Year 1401]
  • khorani.Masoud Presenting an artificial intelligence model based on fuzzy-hierarchical logic in order to measure the impact of organizational factors on Sepah Bank's investment deposit and assets by generalizing systems of simultaneous equations [ Vol.13, Issue 52 - Winter Year 1403]
  • khorani.massoud Evaluating the Impact of Organizational Factors on Sepah Bank's Deposit and Assets in Preparing a Strategic Model Using Hierarchical Decision Making System and Simultaneous Equation System (Case Study) [ Vol.11, Issue 42 - Summer Year 1401]
  • khorani.massoud Designing a market-oriented and relationship-oriented organizational culture model using the Delphi method to evaluate the performance of financial management in the National Iranian Gas Company. [ Vol.13, Issue 52 - Winter Year 1403]
  • khorani.massoud Presenting an artificial intelligence model based on fuzzy-hierarchical logic in order to measure the impact of organizational factors on Sepah Bank's investment deposit and assets by generalizing systems of simultaneous equations [ Vol.13, Issue 52 - Winter Year 1403]
  • khorani.massoud Examining the relationship between development of Islamic Financial Systems and Foreign Direct Investment [ Vol.7, Issue 28 - Winter Year 1397]
  • khorasani.saba Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [ Vol.6, Issue 21 - Spring Year 1396]
  • Khorshidi.Abbas Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [ Vol.7, Issue 27 - Autumn Year 1397]
  • khoshbin.Rasoul Liquidity Risk Management in Modern Interbank Payment Systems [ Vol.11, Issue 43 - Autumn Year 1401]
  • khoshkholg.iraj Explaining the effect of financial reporting concepts on the level of risk disclosure in annual financial reporting in companies listed on the Tehran Stock Exchange [ Vol.10, Issue 38 - Summer Year 1400]
  • khoshnood.mehdi A heterogeneous agent pricing model and simulation investor’s behavior on big decline on Tehran stock exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • khoshnood.mehdi Latent Volatility Modeling and Bayesian Analysis of stochastic Volatility of Intraday Data of Tehran Stock Exchange Index Based on Markov Monte Carlo Chain [ Vol.13, Issue 51 - Autumn Year 1403]
  • Khoshnood.Mehdi Agent-based modeling in financial markets [ Vol.3, Issue 12 - Winter Year 1393]
  • Khosravani.Arzoo Presentation a model for Identifying Human Influencing Investors' Behavior in the Iranian Capital Market [ Vol.10, Issue 40 - Winter Year 1400]
  • Khosravi.Tania The Effect of Inflation on Private Investment [ Vol.1, Issue 4 - Winter Year 1391]
  • Khosravi.Tania The effect of governmental investment on the effect private investment with the existence of corporate tax" [ Vol.3, Issue 10 - Summer Year 1393]
  • Kiamehr.Ali Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]
  • Kiamehr.Mohammad The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [ Vol.6, Issue 22 - Summer Year 1396]
  • Kiani Bakhtiari.Abolfazl Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [ Vol.8, Issue 31 - Autumn Year 1398]
  • Kiani Bakhtiyari.Abolfazl Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [ Vol.4, Issue 14 - Summer Year 1394]
  • Kiani Harchegani.Maedeh Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm [ Vol.3, Issue 11 - Autumn Year 1393]
  • Kiani Harchegani.Maedeh Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [ Vol.5, Issue 19 - Autumn Year 1395]
  • kianirad.bahman Interpretive structural modeling to improve the financial fragility of companies listed on the Iranian Stock Exchange with a screening approach [ Vol.13, Issue 50 - Summer Year 1403]
  • Kiyanoosh.Mahsa Students’ knowledge and understanding of personal financial security Analysis of students’ attitude towards knowledge of personal financial security [ Vol.3, Issue 12 - Winter Year 1393]
  • kooklan.niloofar Heavenly Bodies and the Performance of the Tehran Stock Exchange [ Vol.8, Issue 29 - Spring Year 1398]
  • Kordbacheh.Hamid Measuring Risk Excesses in Iran’s Mutual Funds industry [ Vol.1, Issue 2 - Summer Year 1391]
  • Kordestani.Gholamreza Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [ Vol.4, Issue 14 - Summer Year 1394]
  • Kordi.Maliheh Survey on the relationship between transaction activity ratio and risk, return & portfolio diversification of mutual funds [ Vol.2, Issue 5 - Spring Year 1392]
  • kordlouie.hamidreza Modeling risk in accordance with the financing structure in the money market based on probabilistic decision theory [ Vol.10, Issue 37 - Spring Year 1400]
  • kordlouie.hamidreza Explain the application of the theory of constraints model to assess credit risk in banks [ Vol.10, Issue 38 - Summer Year 1400]
  • kordlouie.hamidreza To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership [ Vol.10, Issue 39 - Autumn Year 1400]
  • kordlouie.hamidreza Measuring investment strategies, light or heavy assets and debt multiplication based on consistent decisions in industry group companies [ Vol.11, Issue 43 - Autumn Year 1401]
  • kordlouie.hamidreza Prioritization of stock price bubble measuring factors with a behavioral approach [ Vol.12, Issue 46 - Summer Year 1402]
  • kordlouie.hamidreza Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [ Vol.12, Issue 46 - Summer Year 1402]
  • kordlouie.hamidreza Investigating the role of market timing as a model and investment strategy on the performance of capital market professionals [ Vol.12, Issue 47 - Autumn Year 1402]
  • kordlouie.hamidreza Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [ Vol.12, Issue 48 - Winter Year 1402]
  • kordlouie.hamidreza Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [ Vol.13, Issue 50 - Summer Year 1403]
  • kordlouie.hamidreza Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • kordlouie.hamidreza Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [ Vol.13, Issue 52 - Winter Year 1403]
  • kordlouie.hamidreza The Relationship between Net Share Value and Trade Value of Companies Listed On Tehran Stock Exchange in Securities Market Boom and Bust Cycles [ Vol.6, Issue 24 - Winter Year 1396]
  • kordlouie.Hamidreza Studying the Return of value and Growth Stock Based on the ratio of Book Value/MARKET Value (Case: Publicly Traded Companies) [ Vol.2, Issue 7 - Autumn Year 1392]
  • Kordlouie.Hamidreza Forecasting Stock Price Manipulation in Capital Market [ Vol.1, Issue 1 - Spring Year 1391]
  • Kordlouie.Hamidreza Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]
  • Kordlouie.Hamidreza Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [ Vol.13, Issue 49 - Spring Year 1403]
  • Kordlouie.Hamidreza A comparative survey on behavioral factors on financial assets investment [ Vol.4, Issue 15 - Autumn Year 1394]
  • Kordrostami.Sohrab Production planning in parallel production systems such as banks: A DEA-based approach [ Vol.2, Issue 5 - Spring Year 1392]
  • Korzbor.Bahram The effect of capital structure on firm efficiency and product competitive market of Listed Companies in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • Koushki.Amir Ali Providing a model of value creation with customers in the banking industry from a phenomenological perspective [ Vol.12, Issue 45 - Spring Year 1402]

L

  • Lalegani.Esmaeil Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE) [ Vol.7, Issue 26 - Summer Year 1397]
  • Lari Dashtbayaz.Mahmoud Minimizing portfolio variance with the limitations of (L) [ Vol.6, Issue 21 - Spring Year 1396]
  • Lari Dashtbayaz.Mahmoud Predicting Liquidity Trap in Companies with Financial Clinic Approach [ Vol.7, Issue 28 - Winter Year 1397]
  • lashgari.zahra Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [ Vol.12, Issue 47 - Autumn Year 1402]
  • Latifi Benmaran.Masoumeh Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [ Vol.11, Issue 44 - Winter Year 1401]
  • lotfi.behnaz Predicting Financial Distress with a Combined Model Case Study: Companies Listed on the Tehran Stock Exchange [ Vol.13, Issue 50 - Summer Year 1403]
  • Lotfi.Forough Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [ Vol.12, Issue 48 - Winter Year 1402]
  • Lotfi.Mohsen Explaining the role of personality and structural characteristics of management on the competitiveness in the market of products of companies listed on the Tehran Stock Exchange: Emphasis on data mining models and data envelopment analysis [ Vol.12, Issue 48 - Winter Year 1402]
  • lotfollah hamadani.mohammad hossein Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [ Vol.9, Issue 35 - Autumn Year 1399]

M

  • Maadi Roudsari.Mohammad Hassan Pathology of the Automobile Industry of the Country Using the Grounded Theory Strategy and provide solutions to get it out of the current situation [ Vol.12, Issue 45 - Spring Year 1402]
  • maatoofi.alireza The Features of Financial Stress in Iran's Capital Market [ Vol.7, Issue 26 - Summer Year 1397]
  • madadi-amiri.rohollah The process of Technology Selection in the Upstream Oil and Gas Industry of Iran in terms of Spillover Effect from the perspective of Economic Profit [ Vol.13, Issue 49 - Spring Year 1403]
  • Madani Zaj.Mehdi Providing a model of investment ethics for managers in the financial crisis with a qualitative approach [ Vol.11, Issue 43 - Autumn Year 1401]
  • Madani Zaj.Mehdi A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [ Vol.12, Issue 47 - Autumn Year 1402]
  • Madani Zaj.Mehdi Investigating the role of market timing as a model and investment strategy on the performance of capital market professionals [ Vol.12, Issue 47 - Autumn Year 1402]
  • Madani Zaj.Mehdi A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • Madani Zaj.Mehdi Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [ Vol.13, Issue 49 - Spring Year 1403]
  • Madani Zaj.Mehdi Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [ Vol.13, Issue 50 - Summer Year 1403]
  • Madani Zaj.Mehdi Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [ Vol.9, Issue 33 - Spring Year 1399]
  • Madani Zaj.Mehdi Comparative study of the structure and pattern of supervision of financial institutions in the Iranian capital market and selected countries [ Vol.9, Issue 36 - Winter Year 1399]
  • Mahboubi.Babak The impact of financial and money market developments on foreign direct investment in Iran [ Vol.7, Issue 25 - Spring Year 1397]
  • mahdavi panah.hassan Analysis of the impact of Fintech on the financial inclusion in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • mahdaviparsa.ali Ranking Iranian banks according to corporate governance based on banks documents [ Vol.7, Issue 26 - Summer Year 1397]
  • Mahdian.Syed Ali A Model for Explaining Working Capital Management: A Structural Equilibrium Modeling Approach [ Vol.6, Issue 24 - Winter Year 1396]
  • Mahfoozi.Gholalreza Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [ Vol.6, Issue 21 - Spring Year 1396]
  • mahfoozi.gholamreza Investigating the Relationship between Political Influence and Investment Efficiency of Listed Companies in Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • mahfoozi.gholamreza comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [ Vol.4, Issue 16 - Winter Year 1394]
  • mahfoozi.gholamreza Investigating the Nonlinear Relationship between CEO Power and Capital Structure [ Vol.9, Issue 35 - Autumn Year 1399]
  • mahjoub.mohamadreza Existing bubble stock test with Generalized Supremum Augmented Dickey-Fuller techniques and Impulse Response Function and analysis of Variance Decomposition [ Vol.10, Issue 38 - Summer Year 1400]
  • Mahmoodi Rad.Ali Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [ Vol.9, Issue 34 - Summer Year 1399]
  • Mahmoodi.Fereshteh Proposing a model of financial resilience in Tehran stock exchange companies in order to prevent bankruptcy [ Vol.13, Issue 51 - Autumn Year 1403]
  • mahmoodian.tahereh Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [ Vol.12, Issue 48 - Winter Year 1402]
  • Mahmoodzadeh.Saeid Idiosyncratic Risk and Market Friction in Investment Process [ Vol.6, Issue 22 - Summer Year 1396]
  • Mahmoudi.Saeed Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk [ Vol.1, Issue 2 - Summer Year 1391]
  • majidi.maryam Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • makhmalbaf.Narges Minimizing portfolio variance with the limitations of (L) [ Vol.6, Issue 21 - Spring Year 1396]
  • maleki choobari.mojtaba Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [ Vol.10, Issue 38 - Summer Year 1400]
  • maleki choobari.mojtaba Granger causality analysis in mean patterns to measure the number of lags of the cross-correlation between the standard residuals of returns and trading volume in crisis situation [ Vol.13, Issue 51 - Autumn Year 1403]
  • Maleki Choubari.Mojtaba Shareholder behavior, suppression of managers' opportunistic behavior and capital market efficiency based on Baron and Kenny's regression method [ Vol.13, Issue 51 - Autumn Year 1403]
  • Maleki.Ali Designing a platform the Crowdfunding Process By the way of Murabeh in Iran [ Vol.11, Issue 44 - Winter Year 1401]
  • Maleki.Mohammadhasan A model for strengthening banks with approach of antifragility to financial crises [ Vol.13, Issue 50 - Summer Year 1403]
  • Maleki.Mostafa Validation a Model of Financial Empowerment Based on Financial Therapy Approaches [ Vol.10, Issue 40 - Winter Year 1400]
  • Malekiniya.Nahid Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [ Vol.10, Issue 38 - Summer Year 1400]
  • malekpour.siavash Identify and examine the process of impact of the most important variables affecting the banking crisis over time [ Vol.12, Issue 47 - Autumn Year 1402]
  • malekzadeh.hourieh Evaluation of investment methods and comparison between the behavioral model and common logical models in choosing the optimal portfolio [ Vol.13, Issue 50 - Summer Year 1403]
  • Malmir.Ali Measuring Risk Excesses in Iran’s Mutual Funds industry [ Vol.1, Issue 2 - Summer Year 1391]
  • Mami.Shahram Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [ Vol.11, Issue 41 - Spring Year 1401]
  • Mansoory.Sholeh Psychological entropy theory in behavioral finance [ Vol.3, Issue 11 - Autumn Year 1393]
  • manteghi.manouchehr Investigating the Importance of R & D Capacity Factors on Technology Transfer Techniques (Case Study: Iranian Automotive Industry) [ Vol.6, Issue 22 - Summer Year 1396]
  • maranjory.mehdi The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [ Vol.11, Issue 44 - Winter Year 1401]
  • maranjory.mehdi Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange [ Vol.12, Issue 47 - Autumn Year 1402]
  • mardaneh.maryam Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [ Vol.13, Issue 51 - Autumn Year 1403]
  • Mashayekhi.Bita Effect of family firms on information asymmetry and cost of capital [ Vol.6, Issue 21 - Spring Year 1396]
  • Mashayekhi.Bita The Position of Balanced Scorecard in Stock Selection Decision Making Using PAPRIKA Technique [ Vol.9, Issue 34 - Summer Year 1399]
  • Mashaykhi.SH Identifying Determinants of Corporate Credit Rating [ Vol.5, Issue 19 - Autumn Year 1395]
  • Mashhadizadeh.reza Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • Masihi.Mohammad Using data mining techniques to measure tax risk of value added taxes [ Vol.8, Issue 32 - Winter Year 1398]
  • Masoomi.Ayesheh The role of earnings management in the effect of related party transactions, financial crisis and firm size on tax avoidance [ Vol.13, Issue 52 - Winter Year 1403]
  • Masoudian.Seyed Mohammad Reza Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [ Vol.11, Issue 41 - Spring Year 1401]
  • Masoumi.Maryam Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [ Vol.11, Issue 42 - Summer Year 1401]
  • Matinfard.Mehran Investigation of economic uncertainty on cash holding [ Vol.11, Issue 41 - Spring Year 1401]
  • mazaheri khourzani.tahmasb Designing Investment conditions uncertainty index [ Vol.11, Issue 41 - Spring Year 1401]
  • Mazaheri.Tahmaseb Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [ Vol.13, Issue 52 - Winter Year 1403]
  • mehdikhani.حبیب Analyzing the Influence of Self-Esteem and Financial Knowledge on the Financial Behavior (Case study: brokerage of real investors of Eghtesade Novin Bank) [ Vol.7, Issue 27 - Autumn Year 1397]
  • mehrabian.azadeh The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [ Vol.11, Issue 41 - Spring Year 1401]
  • Mehradi.Ramin A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [ Vol.11, Issue 42 - Summer Year 1401]
  • Mehrarad.Mohammad Hossein Designing a market-oriented and relationship-oriented organizational culture model using the Delphi method to evaluate the performance of financial management in the National Iranian Gas Company. [ Vol.13, Issue 52 - Winter Year 1403]
  • Mehravar.HamidReza Financial Reporting Quality, Investment Horizon، and Institutional Investor Trading Strategies [ Vol.11, Issue 42 - Summer Year 1401]
  • Mehrgan.Nader Risk Preferences and Crisis in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • memarnejad.abbas Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [ Vol.11, Issue 42 - Summer Year 1401]
  • memarnejad.abbas Capital Formation and Corporate Governance, Inter-country Approach [ Vol.13, Issue 52 - Winter Year 1403]
  • memarnezhad.abbas The Effect of Uncertainty of Macroeconomic Indices on Tehran Stock Exchange Returns with the Approach of Randomized Fluctuations Models with Time Variations [ Vol.6, Issue 23 - Autumn Year 1396]
  • meshki miavaghi.mahdi Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • Meshki Miavaghi.Mehdi The Impact of Excess Cash Holding on Liquidity Risk by Using Liu’s Theoretical framework [ Vol.10, Issue 39 - Autumn Year 1400]
  • Meshki Miavaghi.Mehdi Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [ Vol.12, Issue 48 - Winter Year 1402]
  • minoii.mehrzad Explaining the model of investors' emotional biases affecting stock price fluctuations in Tehran Stock Exchange By relying on the biases of Endowment, self-control, Optimism and Cognitive Dissonance [ Vol.13, Issue 51 - Autumn Year 1403]
  • minooei.mehrzad Systematic research review of bank mergers in Iran and the world [ Vol.10, Issue 40 - Winter Year 1400]
  • Minouie.Mehrzad A study Of the contagion of financial helplessness and credit risk in the country's banking system [ Vol.10, Issue 37 - Spring Year 1400]
  • Minouie.Mehrzad Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [ Vol.10, Issue 39 - Autumn Year 1400]
  • Minouie.Mehrzad Investigation Of The Relationship Between Corporate Governance And Profitability Indexes Of Investment In Iranian Commercial Banks. [ Vol.10, Issue 39 - Autumn Year 1400]
  • Minouie.Mehrzad The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [ Vol.12, Issue 46 - Summer Year 1402]
  • Mir.Hedyeh Effect of exchange rate pass on Stock Returns in Tehran Stock Exchange [ Vol.5, Issue 19 - Autumn Year 1395]
  • Mirabi.Vahidreza Identification of the indicators of the life cycle management model for the development of banking services Case Study: Parsian Bank)) [ Vol.10, Issue 39 - Autumn Year 1400]
  • Mirabi.Vahidreza Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • Mirabi.Vahidreza Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [ Vol.12, Issue 46 - Summer Year 1402]
  • Mirbozorgi.seyed pouria Explain the appropriate pattern of risk-taking power of stock market investors based on social capital using the factor of exploratory factor analysis approach and modeling of structural equations [ Vol.12, Issue 47 - Autumn Year 1402]
  • miresmaili.Bibisadat Desirable model for news marketing in financial markets [ Vol.11, Issue 42 - Summer Year 1401]
  • Mirmohammad.Seyed Hamidreza Comedown or emergence of legal personality of commercial companies in the process of merger and acquisition with comparative approach in English law [ Vol.11, Issue 42 - Summer Year 1401]
  • Mirmohammad.Seyed Hamidreza Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [ Vol.13, Issue 51 - Autumn Year 1403]
  • Mirmoini.Hamid Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [ Vol.5, Issue 20 - Winter Year 1395]
  • Mirsepasi.Niloufar The impact of cultural Factors based on schein model on herding behavior in Investors’ Decision-Making [ Vol.8, Issue 31 - Autumn Year 1398]
  • Mirtaher.Seyed Mohammad Javad The Securitization of Insurances In the Leading Industries (Based On Sukuk Models) [ Vol.5, Issue 19 - Autumn Year 1395]
  • Mirtaheri.Ali Designing and explaining the integrated marketing communication model in the financial and economic growth of the tourism industry [ Vol.12, Issue 47 - Autumn Year 1402]
  • Mirza Kochak Shirazi.Mohammad Ali Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • mirzazadeh.zahra Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [ Vol.12, Issue 48 - Winter Year 1402]
  • moazzez.Hashem Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [ Vol.12, Issue 48 - Winter Year 1402]
  • moeinadin.Mahmoud Identification of effective components in the formation of financial literacy of corporate executives using the phenomenological approach. [ Vol.10, Issue 37 - Spring Year 1400]
  • Mogharebi.Narjes Designing a Model for Measuring the Impact of Intellectual Capital, Profit Quality, Audit Report and Capital Structure on Bankruptcy Risk of Tehran Stock Exchange Companies [ Vol.12, Issue 46 - Summer Year 1402]
  • mohaghegh.arefeh Investigation of information interaction in Iranian capital market companies using transfer entropy matrix [ Vol.9, Issue 36 - Winter Year 1399]
  • mohamadi poor.rahmat alla Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • mohamadi.esfandiar Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • mohamadi.seyed moosa Examining the Impact of Managers' Social Capital on Bank Risks [ Vol.12, Issue 48 - Winter Year 1402]
  • mohamadpur zarandi.mohamad ebrahim Investigation Of The Relationship Between Corporate Governance And Profitability Indexes Of Investment In Iranian Commercial Banks. [ Vol.10, Issue 39 - Autumn Year 1400]
  • Mohammad Gholiha.Ali The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [ Vol.10, Issue 40 - Winter Year 1400]
  • Mohammad Pourzarandi.Mohammad Ebrahim A study Of the contagion of financial helplessness and credit risk in the country's banking system [ Vol.10, Issue 37 - Spring Year 1400]
  • Mohammad Pourzarandi.Mohammad Ebrahim Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [ Vol.12, Issue 48 - Winter Year 1402]
  • Mohammad Pourzarandi.Mohammad Ebrahim Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [ Vol.13, Issue 50 - Summer Year 1403]
  • Mohammad Pourzarandi.Mohammad Ebrahim Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [ Vol.13, Issue 51 - Autumn Year 1403]
  • mohammadi alamuti.mahmood Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [ Vol.9, Issue 33 - Spring Year 1399]
  • Mohammadi Darvishvand.Reza Analysis of capital increase of public joint stock companies in Iranian law. [ Vol.13, Issue 52 - Winter Year 1403]
  • Mohammadi mlgrny.Ataullah Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • mohammadi nodeh.fazel Investigating the Relationship between Acquired Factors and Monetary Disorders (Case Study: Banks of Tehran Stock Exchange) [ Vol.13, Issue 51 - Autumn Year 1403]
  • Mohammadi Noodeh.Fazel The Impact of Perceived Portfolio Returns on Investor Decisions - The underlying psychological mechanism [ Vol.12, Issue 45 - Spring Year 1402]
  • Mohammadi Noodeh.Fazel Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • mohammadi Todeshki.nima Portfolio Optimization Using Hierarchical and Denotation Clustering in Tehran Stock Exchange. [ Vol.9, Issue 34 - Summer Year 1399]
  • Mohammadi.Rahim Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [ Vol.13, Issue 51 - Autumn Year 1403]
  • mohammadi.reza Provide a model for measuring the effects of banking risks on the stability of the banking system [ Vol.11, Issue 41 - Spring Year 1401]
  • mohammadi.shaban The Fuzzy Mean-Entropy Portfolio Model : Sensitivity Analysis, Transaction Costs Based on Credibility Theory [ Vol.8, Issue 29 - Spring Year 1398]
  • mohammadi.shaban Stock Portfolio Selection Using Dempster-Shafer Evidence Theory [ Vol.8, Issue 32 - Winter Year 1398]
  • Mohammadi.Shapoor Design and explanation of fractional multiresoloution capital asset pricing model with higher co-moments on Tehran stock exchange [ Vol.6, Issue 21 - Spring Year 1396]
  • Mohammadi.Shapor Weekly crude oil price forecasting by hybrid support vector machine model and Autoregressive Integrated Moving Average [ Vol.4, Issue 14 - Summer Year 1394]
  • Mohammadi.Teimor The effect of leverage ratios customers on credit risk in Iranian Banks using mixed effects model (fixed and random) [ Vol.9, Issue 35 - Autumn Year 1399]
  • mohammadi.timour Competitiveness of Iran's Power Industry [ Vol.10, Issue 39 - Autumn Year 1400]
  • Mohammadi.Zohre Presenting National Sustainable Development Model Based on the Basics of Strategic Knowledge Management according to Chaos Theory [ Vol.7, Issue 25 - Spring Year 1397]
  • Mohammadian Amiri.Ehsan Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [ Vol.8, Issue 30 - Summer Year 1398]
  • mohammadipour.rahmatollah Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • Mohammadkazemi.Reza Identification and ranking of the marketing mix of services in the banking industry focusing on financial services & Investment using DEMATEL [ Vol.11, Issue 44 - Winter Year 1401]
  • Mohammadnezami.Alereza Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [ Vol.12, Issue 47 - Autumn Year 1402]
  • Mohammadpour Zarandi.Hosseyn Investigation of Effect Market Return on Stock Return [ Vol.2, Issue 7 - Autumn Year 1392]
  • mohammadrezai.masoumeh Topological analysis of accounting risks based on network theory [ Vol.13, Issue 49 - Spring Year 1403]
  • mohammadzade.mohammadbagher Dividend Policy Prediction by Multivariable and Univariate Neural Network Models [ Vol.7, Issue 26 - Summer Year 1397]
  • Mohammadzadegan.Hadi Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [ Vol.3, Issue 10 - Summer Year 1393]
  • Mohammadzadeh Moghadam.Mohamad Bagher The Impact of Agency Costs on Predicting Profitability [ Vol.7, Issue 25 - Spring Year 1397]
  • Mohammadzadeh Salteh.Heydar The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [ Vol.11, Issue 42 - Summer Year 1401]
  • Mohammadzadeh Salteh.Heydar The Role of corporate governance culture and Investor Rights In corporate Health [ Vol.12, Issue 47 - Autumn Year 1402]
  • Mohammadzadeh.Amir عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [ Vol.10, Issue 40 - Winter Year 1400]
  • Mohammadzadeh.َAmir Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [ Vol.12, Issue 45 - Spring Year 1402]
  • mohebi.mohsen Investigating production sharing agreement as a way to attract investment in Iran's oil industry [ Vol.11, Issue 42 - Summer Year 1401]
  • Mohseni.Hossein Investigation volatility spillovers between oil market and stock index return [ Vol.7, Issue 25 - Spring Year 1397]
  • mojtahedzade.vida The Relationship of Earnings Management and Investment Opportunities with Emphasizing on Ownership Concentration [ Vol.1, Issue 3 - Autumn Year 1391]
  • Mokhatab Rafiei.Farimah Statistical Arbitrage Strategy Based on Factor Models of Prices in Iran's stock exchange market [ Vol.8, Issue 32 - Winter Year 1398]
  • mokhlesi hoz sorkhi.majid Developing a Sport Clubs Financing Model with a Analysis Hierarchical Process (AHP) [ Vol.10, Issue 40 - Winter Year 1400]
  • mola alizade zavardehi.saber Identification and prioritization of effective components on capital distribution in the agricultural sector of Khuzestan province with a fuzzy approach [ Vol.11, Issue 43 - Autumn Year 1401]
  • molaei.babak Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [ Vol.11, Issue 42 - Summer Year 1401]
  • Momen.Morteza Evaluating the performance of private sector banks in Iran based on financial ability indicators using the fuzzy multi-criteria decision making method [ Vol.13, Issue 52 - Winter Year 1403]
  • momeni.alireza A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [ Vol.13, Issue 52 - Winter Year 1403]
  • Monavari.Hossein Styles of Financial Regulation in Iran & U.K [ Vol.6, Issue 22 - Summer Year 1396]
  • monjazeb.mohammadreza Provide an innovative model of fluctuation of the daily trading volume of shares in Tehran Stock Exchange; Central Bank Financial and Monetary Policy [ Vol.10, Issue 40 - Winter Year 1400]
  • monjazeb.mohammadreza Capture the effect of amplitude fluctuation permitted in Tehran Stock Exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • montazer.gholamali Comedown or emergence of legal personality of commercial companies in the process of merger and acquisition with comparative approach in English law [ Vol.11, Issue 42 - Summer Year 1401]
  • montazer.gholamali Legal analysis of the fiscal regime of IPC upstream contracts in the oil and gas industry in Iran. [ Vol.12, Issue 46 - Summer Year 1402]
  • montazer.gholamali Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [ Vol.13, Issue 51 - Autumn Year 1403]
  • montazer.gholamali Analysis of the impact of Fintech on the financial inclusion in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • montazer.gholamali Analysis of capital increase of public joint stock companies in Iranian law. [ Vol.13, Issue 52 - Winter Year 1403]
  • montazer.mahdi Comparative Analysis of the Financial Regime of New Petroleum Contracts, Known as IPC, and Buyback Trade in Terms of Costs [ Vol.13, Issue 49 - Spring Year 1403]
  • Moosavihaghighi.Mohammad Hashem Simulation of Model Changes by Exchange Rates and Gold Price on the Tehran Stock Exchange Performance with System Dynamics Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • Moradi.M Selection of optimal portfolio by using improved Non-Dominated Sorting Genetic Algorithm and Evolutionary Algorithm Strength Pareto By taking risk on the basis of conditional value at risk [ Vol.7, Issue 28 - Winter Year 1397]
  • moradi.mahsa Investigating the models of the impact of different types of cash flows from the differentiation strategy and cost leadership with emphasis on the capital structure [ Vol.12, Issue 47 - Autumn Year 1402]
  • moradi.mehdi The Role of Individual and Behavioral Characteristics On Demand for Financial Services [ Vol.7, Issue 25 - Spring Year 1397]
  • moradi.mehdi The comparative study of earning management and liquidity of stocks between the listed firms of Tehran stock exchange and OTC of Iran [ Vol.7, Issue 27 - Autumn Year 1397]
  • Moradi.Rouhalah The effect of the brand on investor behavior and perceived risk as Mediate [ Vol.8, Issue 32 - Winter Year 1398]
  • Moradi.جواد An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [ Vol.4, Issue 13 - Spring Year 1394]
  • moradian.hajar Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [ Vol.7, Issue 27 - Autumn Year 1397]
  • moradian.hajar Effects of exchange rates shocks on Tehran stock market returns: MSFITGARCH model [ Vol.9, Issue 33 - Spring Year 1399]
  • Moradijoz.Mohsen An Investigation of Affecting Factors in Bid Ask Spread as a Measure for Information Asymmetry [ Vol.3, Issue 12 - Winter Year 1393]
  • Moradijoz.Mohsen Stock Liquidity, Investment Efficiency, and Firm's Performance: Evidence from Tehran Stock Exchange [ Vol.5, Issue 18 - Summer Year 1395]
  • moradpour.saeed Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [ Vol.10, Issue 40 - Winter Year 1400]
  • moradpour.saeed Lending fluctuations in modeling monetary policy relationships, capital structure and banks' risk-taking [ Vol.12, Issue 46 - Summer Year 1402]
  • Moradzadeh Fard.mehdi Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [ Vol.12, Issue 48 - Winter Year 1402]
  • moridi.zeynab Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [ Vol.11, Issue 43 - Autumn Year 1401]
  • moridipour.hamid Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [ Vol.11, Issue 42 - Summer Year 1401]
  • morovati.ali applying Imperialist competitive algorithm (ICA) for construction and optimization Portfolio [ Vol.4, Issue 13 - Spring Year 1394]
  • Morshedzadeh.Mahnaz Identification of Indicators of Banks subject to Bankruptcy Crisis Based on Thematic Analysis Method [ Vol.10, Issue 40 - Winter Year 1400]
  • Mortazavi.Raheleh ossadat Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [ Vol.11, Issue 44 - Winter Year 1401]
  • Mosadegh.Alireza Study and Resolution of Legal Obstacles for Foreign Investment in Iran’s Real Estate [ Vol.12, Issue 45 - Spring Year 1402]
  • Moshabaki Esfahani.Asghar Designing a balanced development model for the freight transport industry based on strategic capital management [ Vol.10, Issue 38 - Summer Year 1400]
  • Moshabaki Esfahani.Asghar Strategic factors affecting investment in the freight industry [ Vol.11, Issue 43 - Autumn Year 1401]
  • Moshabaki Esfahani.Asghar Identifying the dimensions and indicators of school organizational culture development and its role in economic development: A data research foundation [ Vol.12, Issue 48 - Winter Year 1402]
  • Moshabaki Esfahani.Asghar The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [ Vol.9, Issue 33 - Spring Year 1399]
  • Moshari.Mohammad Designing a Hybrid Intelligent Model for Prediction of Stock Price Golden Points [ Vol.8, Issue 29 - Spring Year 1398]
  • Moshrefi.Mohammad Solving portfolio selection problem using Dantzig-Wolfe algorithm [ Vol.8, Issue 30 - Summer Year 1398]
  • motafaker azad.mohamadali Cultural factors and risk-taking power of investment companies in Iran's stock exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • motaghi.samira Application of AHP and fuzzy logic in analysis of impact Physical and human investment in promoting of industrial productivity [ Vol.9, Issue 36 - Winter Year 1399]
  • Motaghi.Samira Factor affecting on health in the Organization of the Islamic Conference (OIC) Member Countries’ case (social – economic approach) [ Vol.2, Issue 6 - Summer Year 1392]
  • Motamedi.Saeid Examination of investor reaction to unexpected economic and political events in Tehran stock market [ Vol.2, Issue 7 - Autumn Year 1392]
  • mottaghi.aliasghar Validation of Investment Efficiency Models Based on Agency Theory, Information Asymmetry, Managerial Entrenchment and Firm value maximization [ Vol.10, Issue 38 - Summer Year 1400]
  • Mousa Khani.Morteza Validating the network policy making model in the field of digital banking in Iran [ Vol.13, Issue 50 - Summer Year 1403]
  • Mousakhani.Morteza Scientometrics studies the impact of business model innovation on financial performance [ Vol.11, Issue 41 - Spring Year 1401]
  • mousavi.nemat alah Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]
  • Mousavi.Seyed Saeb Social Capital and Financial Leverage [ Vol.12, Issue 46 - Summer Year 1402]
  • Mowlaei.Mohammad The Effect of Shockes of Selected Domestic and Foreign Markets on the Volatilities of Investment Return in Tehran Stock Exchange: DCC-FIAPARCH Model [ Vol.10, Issue 37 - Spring Year 1400]
  • Mozafari.Mehrdokht Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index [ Vol.8, Issue 32 - Winter Year 1398]
  • Mozaffari.Mohammad Mahdi Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [ Vol.6, Issue 24 - Winter Year 1396]
  • musai.maysam Proper Indicators of Capital Market Analysis, Based on the Financial Market Sociology Approach [ Vol.9, Issue 34 - Summer Year 1399]

N

  • Naami.Abdullah Designing and explaining the integrated marketing communication model in the financial and economic growth of the tourism industry [ Vol.12, Issue 47 - Autumn Year 1402]
  • nabavi chashmi.seyed ali Tests pricing Capital assets with the approach of some value with the use of derivatives [ Vol.8, Issue 31 - Autumn Year 1398]
  • Nabizade.Ahmad Design and explanation of fractional multiresoloution capital asset pricing model with higher co-moments on Tehran stock exchange [ Vol.6, Issue 21 - Spring Year 1396]
  • Nademi.Younes Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [ Vol.9, Issue 33 - Spring Year 1399]
  • Naderian.Arash Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • nadighomi.vali Speculative bubble and stock return [ Vol.8, Issue 29 - Spring Year 1398]
  • naemi.zohreh Test of Five factors Model; Evidence from Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • NaghibulSadat.Seyed Reza Desirable model for news marketing in financial markets [ Vol.11, Issue 42 - Summer Year 1401]
  • naghshbandi.nader The Fuzzy Mean-Entropy Portfolio Model : Sensitivity Analysis, Transaction Costs Based on Credibility Theory [ Vol.8, Issue 29 - Spring Year 1398]
  • naghshbandi.nader Stock Portfolio Selection Using Dempster-Shafer Evidence Theory [ Vol.8, Issue 32 - Winter Year 1398]
  • Naghshineh.Nader Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • Nahidi amir khiz.Mohammadreza Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [ Vol.11, Issue 41 - Spring Year 1401]
  • Nahidi amir khiz.Mohammadreza The Effect of Banking Credit Clients Validation on Economic Growth in Iran (Case study of Bank Saderat Iran) [ Vol.12, Issue 48 - Winter Year 1402]
  • nahidi amirkhiz.mohammadreza Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [ Vol.11, Issue 41 - Spring Year 1401]
  • nahidi amirkhiz.mohammadreza The Effect of Banking Credit Clients Validation on Economic Growth in Iran (Case study of Bank Saderat Iran) [ Vol.12, Issue 48 - Winter Year 1402]
  • Najafi.Mehdi Analysis feasibility study of establishing a local hedge fund in Iran [ Vol.11, Issue 44 - Winter Year 1401]
  • Najafi.Rohollah Comparative study of the structure and pattern of supervision of financial institutions in the Iranian capital market and selected countries [ Vol.9, Issue 36 - Winter Year 1399]
  • najafimoghadam.ali Threshold effect in the relationship between investor sentiment and stock market returns: a PSTR specification [ Vol.12, Issue 47 - Autumn Year 1402]
  • najafimoghadam.ali Synchoronization of the stock price and the role of institutional investors in Tehran Stock Exchange [ Vol.6, Issue 23 - Autumn Year 1396]
  • najafimoghadam.ali A study of structural factors on the output of unconventional Initial Public Offering in Tehran Stock Exchange [ Vol.7, Issue 25 - Spring Year 1397]
  • nakhaei.hajiebrahim A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [ Vol.13, Issue 52 - Winter Year 1403]
  • nasire bonyad abad.zahra compare time series stock markets and bit coin and effect markets returns with fractal approach [ Vol.10, Issue 38 - Summer Year 1400]
  • nasiri.majid Provide a financing social businesses pattern for through the banking industry [ Vol.11, Issue 41 - Spring Year 1401]
  • Nasiri.Mehrab Surveying the Asymmetry of Price Impact of Block Trades in between Buying and Selling [ Vol.4, Issue 16 - Winter Year 1394]
  • Naslmosavi.Seyedhossein Investigating the Effect of Investors' Behavioral Tendencies on Stock Market Liquidity: (Quantile Regression Approach) [ Vol.13, Issue 50 - Summer Year 1403]
  • nasr.mohammad Tests pricing Capital assets with the approach of some value with the use of derivatives [ Vol.8, Issue 31 - Autumn Year 1398]
  • nasrolahi.hossein Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [ Vol.9, Issue 33 - Spring Year 1399]
  • Nasrolahi.Mahmood The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [ Vol.11, Issue 43 - Autumn Year 1401]
  • Nasseri.Esmaeil Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [ Vol.7, Issue 28 - Winter Year 1397]
  • Nategh Golestan.Ahmad Investigation of risk perception mental model of investors of Tehran Stock Exchange [ Vol.4, Issue 13 - Spring Year 1394]
  • Nategh Golestan.Ahmad The Impact of Investor’s Perception of Risk on Portfolio Management (Case Study: Active Investor’s Mashhad Stock brokers) [ Vol.8, Issue 30 - Summer Year 1398]
  • navidi abaspoor.ebrahim The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [ Vol.11, Issue 42 - Summer Year 1401]
  • Nayebi.Bahador Accrual Quality Assessment Model in Banking Industry [ Vol.7, Issue 28 - Winter Year 1397]
  • nazari.mohseni Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [ Vol.7, Issue 28 - Winter Year 1397]
  • Nazari.REZA Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [ Vol.12, Issue 46 - Summer Year 1402]
  • nazari.بهروز Investigating the role of market timing as a model and investment strategy on the performance of capital market professionals [ Vol.12, Issue 47 - Autumn Year 1402]
  • Neamatolahi.Amirreza Providing a model for transparency of financial information in the country's insurance industry [ Vol.10, Issue 38 - Summer Year 1400]
  • Nejadolhosseini.Neda Sadat The effect of financial development on corporate finance using club convergence approach in Tehran stock exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • Nekooei.Sadegh The identifying and investigating the factors of not applying inflation Impacts on the financial reporting in Iran [ Vol.3, Issue 11 - Autumn Year 1393]
  • Nekooei.Sadegh Effect of long memory dependence structure between the dollar exchange rate and oil products in the Tehran stock Exchange Index: A copula based approach [ Vol.4, Issue 14 - Summer Year 1394]
  • Nemati.Narges Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [ Vol.4, Issue 15 - Autumn Year 1394]
  • Nezami.Marziyeh Identifying and explaining mutual relationships of investment risks in public-private partnership projects in the oil industry [ Vol.13, Issue 52 - Winter Year 1403]
  • Nikandam modabber.Tara Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • Niknaghsh.Ebrahim Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • Niknia.Narges The Effect of Portfolio Diversification on Value at Risk in Tehran Stock Exchange (TSE) [ Vol.2, Issue 6 - Summer Year 1392]
  • nikoomaram.hashem Provide an innovative model of fluctuation of the daily trading volume of shares in Tehran Stock Exchange; Central Bank Financial and Monetary Policy [ Vol.10, Issue 40 - Winter Year 1400]
  • Nikoomaram.Hashem Dividend Smoothing Based on Dependent Structure of Investment of Firms [ Vol.9, Issue 35 - Autumn Year 1399]
  • Nikzad.Mahmoud Investigation of Effect Market Return on Stock Return [ Vol.2, Issue 7 - Autumn Year 1392]
  • Nili Ahmad Abadi.Majid Identification and prioritization of effective components on capital distribution in the agricultural sector of Khuzestan province with a fuzzy approach [ Vol.11, Issue 43 - Autumn Year 1401]
  • Nobari.Alireza Green Human Resource Management A Investment Approach and Sustainable Development [ Vol.5, Issue 20 - Winter Year 1395]
  • Nojavan.Majid Predicting Liquidity Trap in Companies with Financial Clinic Approach [ Vol.7, Issue 28 - Winter Year 1397]
  • Noorbakhsh.Asgar Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [ Vol.13, Issue 52 - Winter Year 1403]
  • Noorbakhsh.Asgar Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • NOORI FARD.YADOLLAH Providing a model for transparency of financial information in the country's insurance industry [ Vol.10, Issue 38 - Summer Year 1400]
  • noorifard.yadollah Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [ Vol.12, Issue 48 - Winter Year 1402]
  • noorolahzadeh.norouz The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • noorzadeh.Roghayyeh The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [ Vol.6, Issue 22 - Summer Year 1396]
  • noravesh.iraj presenting a model to optimize liquidity measures in tehran stock exchange [ Vol.12, Issue 46 - Summer Year 1402]
  • noravesh.iraj Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • noravesh.iraj A Model for Explaining Working Capital Management: A Structural Equilibrium Modeling Approach [ Vol.6, Issue 24 - Winter Year 1396]
  • noravesh.iraj Impact of cash flow shock and stock prices on stock price forecast In the Tehran Stock Exchange [ Vol.9, Issue 33 - Spring Year 1399]
  • Noravesh.Iraj Studying the Factors Affecting on the Investment Management in Holding Companies [ Vol.8, Issue 32 - Winter Year 1398]
  • noroozi.behnaz The impact of government expenditure and stock market on income distribution in selected MENA countries [ Vol.13, Issue 50 - Summer Year 1403]
  • Noroozi.Majid Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]
  • Norouzi.Alireza Economic policy uncertainty, banks’ lending decisions [ Vol.8, Issue 32 - Winter Year 1398]
  • Nosrati Barandagh.Bizhan Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [ Vol.10, Issue 39 - Autumn Year 1400]
  • nourahmadi.marziyeh Ranking Iranian banks according to corporate governance based on banks documents [ Vol.7, Issue 26 - Summer Year 1397]
  • nourahmadi.marziyeh Application of stress test models in risk management [ Vol.8, Issue 29 - Spring Year 1398]
  • nourbakhsh.kamyar Statistical Arbitrage Strategy Based on Factor Models of Prices in Iran's stock exchange market [ Vol.8, Issue 32 - Winter Year 1398]
  • nouri sefat.mina Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [ Vol.10, Issue 37 - Spring Year 1400]

O

  • ojaghi.hossein Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [ Vol.10, Issue 39 - Autumn Year 1400]
  • olfati.samira Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • omar.hasan Identification of the indicators of the life cycle management model for the development of banking services Case Study: Parsian Bank)) [ Vol.10, Issue 39 - Autumn Year 1400]
  • Omidi Ghasemabad.Dariush Investigating the Relationship between Acquired Factors and Monetary Disorders (Case Study: Banks of Tehran Stock Exchange) [ Vol.13, Issue 51 - Autumn Year 1403]
  • ooshaksaraie.Maryam Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • Oradi.Javad The effect of transparency of information on the relationship between family ownership and cost of debt [ Vol.7, Issue 26 - Summer Year 1397]
  • osoolian.mohammad Exchange rate fluctuations and reaction Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • Ostad.Iman A meta-analysis on the capital asset pricing model [ Vol.9, Issue 36 - Winter Year 1399]
  • Oyarhossein.Shadi Digital transformation in corporate banking: theoretical approach and behavioral analysis [ Vol.11, Issue 44 - Winter Year 1401]

P

  • Pahlavan.Morteza نقش واسطه ای پیش‌بینی‌پذیری و مقایسه‌پذیری سود در تأثیر مولفه حاکمیتی گزارشگری عملکرد پایدار بر ریسک سقوط قیمت سهام و نقدشوندگی سهام [ Vol.13, Issue 51 - Autumn Year 1403]
  • Pahlavan.Samaneh Explaining the credit rating model in the investment industry [ Vol.13, Issue 50 - Summer Year 1403]
  • Pahlavan.Sareh Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [ Vol.11, Issue 41 - Spring Year 1401]
  • Pahlavani.Ali The impact of business model innovation on financial performance of petrochemical company [ Vol.10, Issue 39 - Autumn Year 1400]
  • pahleh.behzad Investigating the evaluation models of startup companies and identifying the dimensions, criteria and evaluation indicators for startup companies in the idea stage in Iran [ Vol.10, Issue 37 - Spring Year 1400]
  • pahleh.behzad Financial management and Dungeon Kruger's (self-help) [ Vol.8, Issue 30 - Summer Year 1398]
  • pakizeh.kamran Style investing and portfolio composition based on fundamental ratios and technical indicators [ Vol.6, Issue 21 - Spring Year 1396]
  • pakmaram.asgar Designing a model for identifying auditors' stress triggers [ Vol.10, Issue 40 - Winter Year 1400]
  • pakmaram.asgar corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [ Vol.12, Issue 46 - Summer Year 1402]
  • pakmaram.asgar The Role of corporate governance culture and Investor Rights In corporate Health [ Vol.12, Issue 47 - Autumn Year 1402]
  • pakmaram.asgar Investor behavior and bias resulting from of financial restatement [ Vol.12, Issue 48 - Winter Year 1402]
  • pakmaram.asgar Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [ Vol.13, Issue 49 - Spring Year 1403]
  • pakmaram.asgar Quality of Management Performance, Information Confidence and market Confidence [ Vol.13, Issue 50 - Summer Year 1403]
  • pakmaram.asgar The role of organizational risk management in the money laundering risk of organizations [ Vol.13, Issue 51 - Autumn Year 1403]
  • pakmaram.asgar Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [ Vol.13, Issue 52 - Winter Year 1403]
  • pakmaram.asgar The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [ Vol.7, Issue 28 - Winter Year 1397]
  • pakmaram.askar Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [ Vol.11, Issue 42 - Summer Year 1401]
  • Panahi.Mehdi A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [ Vol.12, Issue 46 - Summer Year 1402]
  • Panahi.Yagoub Efficiency comparison among GARCH models in modeling and liquidity measurement. Case study: Tehran Stock Exchange [ Vol.3, Issue 9 - Spring Year 1393]
  • panahian.hosein Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [ Vol.11, Issue 44 - Winter Year 1401]
  • panahian.hosein Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • panahian.hosein Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • panahian.hosein Ranking P/E Predictor Factors In Tehran Stock Exchange With Using The Harmony Search Meta Heuristic Algorithm [ Vol.8, Issue 29 - Spring Year 1398]
  • parandin.kaveh Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [ Vol.11, Issue 43 - Autumn Year 1401]
  • parandin.kaveh Investigating the Relation between Political Management and Managerial efficiency on Tax aggressiveness reporting in Iran capital market [ Vol.13, Issue 49 - Spring Year 1403]
  • Pargar.Taleb Estimation of Net Present Value (NPV) in industrial and mine projects using General Regression Neural Network [ Vol.4, Issue 16 - Winter Year 1394]
  • Parsaei.Mahmood Analysis of factors affecting expected stock returns based on the implied cost of capital [ Vol.4, Issue 14 - Summer Year 1394]
  • Partoafkanan.Mostafa The role of government in financing and developing investment in small and medium-sized businesses [ Vol.9, Issue 35 - Autumn Year 1399]
  • Partovy.Ebrahim A model for strengthening banks with approach of antifragility to financial crises [ Vol.13, Issue 50 - Summer Year 1403]
  • pasamehr.fatemeh Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • pasha.pasha Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [ Vol.10, Issue 37 - Spring Year 1400]
  • Pashangpour.Mansoureh Loan Securities with Credit Risk Coverage Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • Pashootanizadeh.Hooman Simulation of Model Changes by Exchange Rates and Gold Price on the Tehran Stock Exchange Performance with System Dynamics Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • pazoki.nima Correlation Analysis of Stock Exchange Index, Oil price, Exchange Rate and Gold price: A Wavelet Decomposition Method [ Vol.2, Issue 7 - Autumn Year 1392]
  • Pedram.Parham Fractal Analysis of Tehran Stock Exchange Index With RS Method [ Vol.1, Issue 3 - Autumn Year 1391]
  • peykarjoo.kambiz Examining The Financial Engineering Approach’s Ability In Measuring Financial Distress [ Vol.13, Issue 51 - Autumn Year 1403]
  • Peymany Foroushany.Moslem Mutual Fund Liquidity Risk Management Tools [ Vol.12, Issue 47 - Autumn Year 1402]
  • Peymany Foroushany.Moslem Effect of Structural Reforms of Pension System on the Economy and Capital Market of Iran Based on Overlapping Generations Model [ Vol.13, Issue 52 - Winter Year 1403]
  • Peymany Foroushany.Moslem Stock Price Clustering and Factors Affecting on It in Iran Capital Market [ Vol.7, Issue 26 - Summer Year 1397]
  • Pezeshki.Mahsa Relationship between Stock price & NAV [ Vol.2, Issue 8 - Winter Year 1392]
  • pilevari.nazanin Analysis of Criteria for Improving the Efficiency of Cloud Computing Services Using DEMATEL Technique with Business Survival Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • Pirzad.Ali Investigating the effect of underreaction and overreaction on Iran's capital market risk [ Vol.13, Issue 52 - Winter Year 1403]
  • PO0RZAMANI.ZAHRA Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [ Vol.12, Issue 48 - Winter Year 1402]
  • Pouraghajan.Abbasali The moderating effect of environmental uncertainty and the existence of business ties on the relationship between social capital and performance in Tehran Stock Exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • Pourali.Mohammadreza The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [ Vol.11, Issue 44 - Winter Year 1401]
  • Pouralireza.Karim Relationship between Financial Constraint and Investment Efficiency and Working Capital Strategy [ Vol.8, Issue 32 - Winter Year 1398]
  • Pourbabagol.Hamze A New Approach to Evaluate the Performance of Value-at-risk Estimators, Using Genetic Algorithms [ Vol.1, Issue 1 - Spring Year 1391]
  • Pourebrahimi.Alireza Digital transformation in corporate banking: theoretical approach and behavioral analysis [ Vol.11, Issue 44 - Winter Year 1401]
  • Pourgholami Dafchahi.Gholamhossein The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [ Vol.11, Issue 44 - Winter Year 1401]
  • Pouriz.Mahnaz Identification and ranking of the marketing mix of services in the banking industry focusing on financial services & Investment using DEMATEL [ Vol.11, Issue 44 - Winter Year 1401]
  • Pourmousa.Ali Akbar Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [ Vol.3, Issue 10 - Summer Year 1393]
  • poursalehi.naeimeh impact of corporate governance strength on stock market liquidity: Emphasizing criteria Amihud, transaction volume and bid-ask spread [ Vol.10, Issue 37 - Spring Year 1400]
  • poursalehi.naeimeh Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [ Vol.9, Issue 34 - Summer Year 1399]
  • poursalehi.naeimeh The effect of forward-looking non-financial information (FNFI) on corporate investment efficiency & financing constraint [ Vol.9, Issue 36 - Winter Year 1399]
  • Pourtaheri.Reza Locally Stationary Wavelet Process and Its Application in Consumer Price Index [ Vol.1, Issue 1 - Spring Year 1391]
  • pouryaghoubi.hadi Spillover Effect On Different industries For Capital Market [ Vol.9, Issue 34 - Summer Year 1399]
  • Pourzamani.Zahra Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange [ Vol.1, Issue 3 - Autumn Year 1391]
  • Pourzamani.Zahra The Impact of intellectual capital on Economic Value Added in Growth and Value companies [ Vol.2, Issue 8 - Winter Year 1392]
  • Pourzamani.Zahra Spillover Effect On The On Contest Markets For Capital Market [ Vol.3, Issue 11 - Autumn Year 1393]
  • Pourzarandi.Mohammad Ebrahim A Comparative Study of Venture Capital Instruments in Iranian Commercial Banks [ Vol.4, Issue 15 - Autumn Year 1394]
  • puorsaeed.Abbas Test the effectiveness of internal and external methods of financing on the real total returns of stock [ Vol.7, Issue 26 - Summer Year 1397]

Q

  • qorbani.Hadi An Investigation of Stock Selection Ability between Institutional and Individual Investors [ Vol.2, Issue 5 - Spring Year 1392]

R

  • Rabiee.Khadijeh Presenting an Investment Efficiency Model Based on Managers' Behavioral Biases with Emphasis on the Role of Investment Sentiment [ Vol.12, Issue 48 - Winter Year 1402]
  • Radfar.Mohammad Reza Investigating the interactions of inequality income, employment and economic growth [ Vol.9, Issue 33 - Spring Year 1399]
  • Radfar.Reza Fuzzy Multi Criteria Decision Making Model for Prioritizing the Investment Methods in Technology Transfer in Shipping Industries [ Vol.1, Issue 3 - Autumn Year 1391]
  • Radfar.Reza Digital transformation in corporate banking: theoretical approach and behavioral analysis [ Vol.11, Issue 44 - Winter Year 1401]
  • Radfar.Reza Pathology of the Automobile Industry of the Country Using the Grounded Theory Strategy and provide solutions to get it out of the current situation [ Vol.12, Issue 45 - Spring Year 1402]
  • Radfar.Reza Investigating the key success factors of BOT method in financing service projects and presenting an operational model [ Vol.12, Issue 47 - Autumn Year 1402]
  • Radfar.Reza Designing an intelligent model to optimize the safety risk of the takeoff flight using BIM-LSTM [ Vol.13, Issue 52 - Winter Year 1403]
  • Radfar.Reza The Impact of the Quality of Human Resources On attracting Foreign Direct Investment A Case Study of the South East Asian countries and Iran [ Vol.5, Issue 19 - Autumn Year 1395]
  • Radfar.Reza Investigating the Importance of R & D Capacity Factors on Technology Transfer Techniques (Case Study: Iranian Automotive Industry) [ Vol.6, Issue 22 - Summer Year 1396]
  • Radfar.Reza Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [ Vol.7, Issue 28 - Winter Year 1397]
  • Radfar.Reza Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [ Vol.9, Issue 36 - Winter Year 1399]
  • Radmehr.Farid Forecasting Tehran’s bourse price index using return-based fuzzy time series [ Vol.1, Issue 4 - Winter Year 1391]
  • Raei Ezabadi.Mohammad Ebrahim Relation between “individual investors’ mental evaluations from product and brand” and “their preference to investing in stock” [ Vol.3, Issue 10 - Summer Year 1393]
  • Raei Ezabadi.Mohammad Ebrahim Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [ Vol.4, Issue 13 - Spring Year 1394]
  • Raei.Reza Examining the potential of the energy exchange in performance resistive economic policies and transparency in capital market information [ Vol.4, Issue 13 - Spring Year 1394]
  • Raei.Reza Weekly crude oil price forecasting by hybrid support vector machine model and Autoregressive Integrated Moving Average [ Vol.4, Issue 14 - Summer Year 1394]
  • Raghfar.Hossein The process of Technology Selection in the Upstream Oil and Gas Industry of Iran in terms of Spillover Effect from the perspective of Economic Profit [ Vol.13, Issue 49 - Spring Year 1403]
  • Rahbar.Sedigheh Research the effects of market microstructure on the stock price in Tehran Stock Exchange [ Vol.2, Issue 5 - Spring Year 1392]
  • rahgozar.mostafa The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport [ Vol.9, Issue 36 - Winter Year 1399]
  • Rahimi Ghasemabadi.Mohammad Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [ Vol.9, Issue 33 - Spring Year 1399]
  • rahimi mougouei.forough The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [ Vol.5, Issue 20 - Winter Year 1395]
  • rahimi.abdorrahim Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [ Vol.12, Issue 45 - Spring Year 1402]
  • rahimi.abdorrahim Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [ Vol.12, Issue 48 - Winter Year 1402]
  • rahimi.samira Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • Rahimian.Nezamoldin The association between excess Cash holding and shareholder value: The case of Tehran security exchange [ Vol.3, Issue 12 - Winter Year 1393]
  • Rahimzadeh.Mohammad Amin Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [ Vol.8, Issue 31 - Autumn Year 1398]
  • Rahmani.Majid Predicting the factors affecting on the transfer (Migration) of value Firms with financial health in the Tehran Stock Exchange by using the nonlinear algorithm of random forest [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahmani.Morteza Study the effect of call able convertible bond on investment timing [ Vol.5, Issue 18 - Summer Year 1395]
  • rahmati ghofrani.yalda Ranking of Competitive Power Components in Tejarat Bank Using Fuzzy TOPSIS Technique [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahnama Roodposhti.Fereydoon Fractal Analysis of Tehran Stock Exchange Index With RS Method [ Vol.1, Issue 3 - Autumn Year 1391]
  • Rahnama Roodposhti.Fereydoon Effect of asset-liability management on credit risk [ Vol.10, Issue 38 - Summer Year 1400]
  • Rahnama Roodposhti.Fereydoon Identifying the Effective Factors on developing a model for Supervision and Regulation of Financial Markets using Meta-Synthesis Approach [ Vol.10, Issue 39 - Autumn Year 1400]
  • Rahnama Roodposhti.Fereydoon A heterogeneous agent pricing model and simulation investor’s behavior on big decline on Tehran stock exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • Rahnama Roodposhti.Fereydoon Provide a model for measuring the effects of banking risks on the stability of the banking system [ Vol.11, Issue 41 - Spring Year 1401]
  • Rahnama Roodposhti.Fereydoon Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [ Vol.11, Issue 42 - Summer Year 1401]
  • Rahnama Roodposhti.Fereydoon Testing information content influenced by investors Sentiment Behavior and Financial Reporting Quality [ Vol.11, Issue 44 - Winter Year 1401]
  • Rahnama Roodposhti.Fereydoon Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahnama Roodposhti.Fereydoon Explain the shocks and fluctuations of the foreign exchange market and how to transfer these shocks to other markets [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahnama Roodposhti.Fereydoon Prioritization of stock price bubble measuring factors with a behavioral approach [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahnama Roodposhti.Fereydoon ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [ Vol.12, Issue 47 - Autumn Year 1402]
  • Rahnama Roodposhti.Fereydoon Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [ Vol.12, Issue 47 - Autumn Year 1402]
  • Rahnama Roodposhti.Fereydoon Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rahnama Roodposhti.Fereydoon Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • Rahnama Roodposhti.Fereydoon Financial Marketing [ Vol.2, Issue 6 - Summer Year 1392]
  • Rahnama Roodposhti.Fereydoon Comparative between Portfolio based on New & Past Grid Models [ Vol.2, Issue 7 - Autumn Year 1392]
  • Rahnama Roodposhti.Fereydoon Using Stress Test in Securitization Process [ Vol.4, Issue 16 - Winter Year 1394]
  • Rahnama Roodposhti.Fereydoon Survey of Magnet Effect in Business Cycle and Investment [ Vol.5, Issue 17 - Spring Year 1395]
  • Rahnama Roodposhti.Fereydoon Market Depth and Noisy Prices: A Maximum Likelihood Approach [ Vol.6, Issue 23 - Autumn Year 1396]
  • Rahnama Roodposhti.Fereydoon Loan Securities with Credit Risk Coverage Approach [ Vol.7, Issue 25 - Spring Year 1397]
  • Rahnama Roodposhti.Fereydoon Informational uncertainty a criterion to explain stock returns (Behavioral Approach) [ Vol.7, Issue 26 - Summer Year 1397]
  • Rahnama Roodposhti.Fereydoon The Application of Ecology Theories in Finance [ Vol.8, Issue 29 - Spring Year 1398]
  • Rahnama Roodposhti.Fereydoon Identification and Rating of Financing Criteria through Assets Securitization in Bank Keshavarzi [ Vol.8, Issue 30 - Summer Year 1398]
  • Rahnama Roodposhti.Fereydoon The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • Rahnama Roodposhti.Fereydoon Clarification of the Factors Affecting Finance through Assets Securitization to the Agricultural Bank [ Vol.8, Issue 31 - Autumn Year 1398]
  • Rahnama Roodposhti.Fereydoon Liquidity Trap in Iranian Banks (Based on Indexing of Key Ratios) [ Vol.9, Issue 34 - Summer Year 1399]
  • Rahnama Roodposhti.Fereydoon Proper Indicators of Capital Market Analysis, Based on the Financial Market Sociology Approach [ Vol.9, Issue 34 - Summer Year 1399]
  • Rahnama Roodposhti.Fereydoon The clarification of Relation between Accounting conservatism and bankruptcy of accepted companies in Tehran stock exchange (TSE) using models of bankruptcy prediction [ Vol.9, Issue 35 - Autumn Year 1399]
  • Rahnama Roodposhti.Fereydoon Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [ Vol.9, Issue 36 - Winter Year 1399]
  • Rahnamay Roodposhti.Fraydoon Liquidity analysis based on principle of fluidity of physics: a new approach. [ Vol.10, Issue 40 - Winter Year 1400]
  • Rahnamay Roodposhti.Fraydoon Measuring investment strategies, light or heavy assets and debt multiplication based on consistent decisions in industry group companies [ Vol.11, Issue 43 - Autumn Year 1401]
  • Rahnamay Roodposhti.Fraydoon Glibalization and its impact on foreign direct investment in developing and develoed countries [ Vol.12, Issue 45 - Spring Year 1402]
  • Rahnamay Roodposhti.Fraydoon The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [ Vol.12, Issue 46 - Summer Year 1402]
  • Rahnamay Roodposhti.Fraydoon Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • rahnamay roodposhty.fraydoon The mediator role of higher order math thinking skills between lower order math thinking in financial affairs and empowering financial employees based on revised bloom taxonomy [ Vol.7, Issue 28 - Winter Year 1397]
  • Rahnamay Roodposhty.Fraydoon Optimization of portfolio Constituted from mutual funds of Tehran stock exchange using genetic algorithm [ Vol.3, Issue 12 - Winter Year 1393]
  • Rahnamay Roodposhty.Fraydoon Investigation of risk perception mental model of investors of Tehran Stock Exchange [ Vol.4, Issue 13 - Spring Year 1394]
  • Rahnamay Roodposhty.Fraydoon Speed of Adjustment Scurities Prices, A Method for Evaluating of Investors Overreaction & Underreaction and Financial Markets Efficiently: Approches, Models and Results [ Vol.4, Issue 14 - Summer Year 1394]
  • rajab boloukat.mohsen The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rajabalizadeh.Javad Investors Reaction to the Disclosure of CEO Compensation [ Vol.9, Issue 33 - Spring Year 1399]
  • rajabi farjad.hajieh The impact of cultural Factors based on schein model on herding behavior in Investors’ Decision-Making [ Vol.8, Issue 31 - Autumn Year 1398]
  • rajabi khanghah.abdollah To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership [ Vol.10, Issue 39 - Autumn Year 1400]
  • rajabi khanghah.abdollah Expression and design a model to forecast the exchange rate shocks and stress testing of the currency in Iran [ Vol.6, Issue 24 - Winter Year 1396]
  • rajabi khanghah.abdollah Evaluation of multivariate GARCH models in estimating the Values at Risk (VaR) of currency, stock and gold markets [ Vol.9, Issue 34 - Summer Year 1399]
  • Rajaei bagh siaee.mohammad Regional Role of Tax Return Transcript Establishment in Intention-to-pay Taxes: (Study Case: Taxpayers of Iranian National Tax Admission Organization-Tehran) [ Vol.8, Issue 29 - Spring Year 1398]
  • Rakhshan.yaser Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [ Vol.11, Issue 42 - Summer Year 1401]
  • rameshg.mehdi Idiosyncratic Risk and Market Friction in Investment Process [ Vol.6, Issue 22 - Summer Year 1396]
  • Ramezan Ahmadi.Mohammad The Effect of CEO Power on Corporate Risk Taking using the Generalized Method of Moments (GMM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • RAMEZANI.ALI Testing the Effectiveness of Capital Market Efficiency through Investment Mediator Variables on Earnings Management Quality of Companies Listed in Iranian Stock Exchange [ Vol.11, Issue 44 - Winter Year 1401]
  • RAMEZANI.ALI Prioritization of stock price bubble measuring factors with a behavioral approach [ Vol.12, Issue 46 - Summer Year 1402]
  • RAMEZANI.ALI Test the effectiveness of internal and external methods of financing on the real total returns of stock [ Vol.7, Issue 26 - Summer Year 1397]
  • RAMEZANI.ALI Test of effect the rational speculative bubbles and the political cycle based based on the theory of constraint on the rate of return in selected companies of the Tehran Capital Market [ Vol.8, Issue 32 - Winter Year 1398]
  • RAMEZANI.ALI Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations [ Vol.9, Issue 33 - Spring Year 1399]
  • ramezani.javad corporate risk management and its components on corporate bankruptcy risk [ Vol.11, Issue 43 - Autumn Year 1401]
  • ramezani.JAVAD comparative study of dynamic performance of investment according to method (garch)and kalman filter [ Vol.12, Issue 45 - Spring Year 1402]
  • Ramezanian.Reza Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [ Vol.8, Issue 31 - Autumn Year 1398]
  • Ramezanpour Chardeh.Saeid Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [ Vol.7, Issue 26 - Summer Year 1397]
  • Ramtinnia.Shahin An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • Ramtinnia.Shahin Role of Investment Opportunities Set (IOS) in Companies Financing Policy [ Vol.8, Issue 29 - Spring Year 1398]
  • rangriz.hassan Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [ Vol.5, Issue 20 - Winter Year 1395]
  • Ranjbar navi.Rosam Modeling and Identifying Hierarchy of the Effective Measures of DUVOL Criteria and the period of falling stock prices in Tehran Stock Exchange with Panel Data Approach [ Vol.10, Issue 38 - Summer Year 1400]
  • Ranjbar navi.Rosam Effect of price gap and inappropriate selection as information asymmetric measures on the level of cash holdings [ Vol.7, Issue 27 - Autumn Year 1397]
  • Ranjbar navi.Rosam Modeling and Identifying Hierarchy of the Effective Measures of Negative Criteria Skewness on Stock Returns and the Extra Sigma of Stock Price Crash Risk in the Tehran Stock Exchange with Panel Data Approach [ Vol.9, Issue 34 - Summer Year 1399]
  • Ranjbar.M. Hossein Investigation the Un-Suretunetly of Exchange Rate On Index Price & Level of Investment In Tehran Stock Index (Using VAR and GARCH Models) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Ranjbar.M. Hossein Presenting a model identification and prioritize for customer preferences in selecting banks and do invest based on grounded theory method and structural equation modeling (case study: Iran’s banking industry) [ Vol.8, Issue 30 - Summer Year 1398]
  • ranjbar.mohammad hosein Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [ Vol.11, Issue 42 - Summer Year 1401]
  • ranjbar.mohammad hossein Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [ Vol.12, Issue 46 - Summer Year 1402]
  • ranjbar.mohammadhossein A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [ Vol.13, Issue 52 - Winter Year 1403]
  • Ranjbar.Mohammed Hussain Stock market reactions to earnings management, corporate risk and weak internal controls [ Vol.11, Issue 42 - Summer Year 1401]
  • Ranjbar.Mohammed Hussain The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [ Vol.12, Issue 47 - Autumn Year 1402]
  • Rasekh.Mohammad Styles of Financial Regulation in Iran & U.K [ Vol.6, Issue 22 - Summer Year 1396]
  • Rastegar.Ahmad Liquidity Risk Management in Modern Interbank Payment Systems [ Vol.11, Issue 43 - Autumn Year 1401]
  • Rastegar.Ahmad Algorithmic Trading System for future contract of gold coin based on intra-day data [ Vol.7, Issue 28 - Winter Year 1397]
  • Rastegar.Ahmad Credit Risk Modeling: Spline based logistic regression Survival approach [ Vol.9, Issue 34 - Summer Year 1399]
  • Rastegar.Ahmad Systemic risk assessment of the banking system by modeling of the topology of the interbank market network [ Vol.9, Issue 35 - Autumn Year 1399]
  • razaghi.mohadeseh A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • razeghi maleh.hadi Impact of portfolio diversification on the performance of holding companies based on modern and modernized theories of portfolios [ Vol.9, Issue 36 - Winter Year 1399]
  • razi kazemi.soqra Explain the shocks and fluctuations of the foreign exchange market and how to transfer these shocks to other markets [ Vol.12, Issue 46 - Summer Year 1402]
  • Rezaee Manesh.Behrooz Identify the capabilities and resources to change the business model of commercial banks in Iran [ Vol.6, Issue 21 - Spring Year 1396]
  • Rezaee.Ebrahim The impact of government expenditure and stock market on income distribution in selected MENA countries [ Vol.13, Issue 50 - Summer Year 1403]
  • rezaee.mostafa A model for continuing the activity and diagnosing the health of manufacturing companies in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • rezaei bonjar.mahmoud Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [ Vol.9, Issue 33 - Spring Year 1399]
  • rezaei.farzin Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rezaei.Mahdi Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [ Vol.11, Issue 42 - Summer Year 1401]
  • rezaei.mohamad A Conceptual Model for of Brand Value Creation in Insurance Industry with Focus on Investment on Life Insurance. [ Vol.13, Issue 50 - Summer Year 1403]
  • Rezaei.Mostafa Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [ Vol.12, Issue 47 - Autumn Year 1402]
  • rezaei.nader Economic policy uncertainty, banks’ lending decisions [ Vol.8, Issue 32 - Winter Year 1398]
  • Rezaei.Nader The Effects of Social Performance Indices on the Credit Risk of Iranian Banking Industry [ Vol.10, Issue 40 - Winter Year 1400]
  • Rezaei.Nader Designing a model for identifying auditors' stress triggers [ Vol.10, Issue 40 - Winter Year 1400]
  • Rezaei.Nader Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [ Vol.11, Issue 42 - Summer Year 1401]
  • Rezaei.Nader Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [ Vol.13, Issue 49 - Spring Year 1403]
  • Rezaei.Nader Modeling the default correlation risk in the financial network based on the reduced model [ Vol.13, Issue 49 - Spring Year 1403]
  • Rezaei.Nader Quality of Management Performance, Information Confidence and market Confidence [ Vol.13, Issue 50 - Summer Year 1403]
  • Rezaei.Neda Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [ Vol.13, Issue 52 - Winter Year 1403]
  • Rezaporian.Asghar Evaluation and ranking of market risk in infrastructure projects using integrated DEA/AHP technique [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rezazadeh.Hamid Effect of Structural Reforms of Pension System on the Economy and Capital Market of Iran Based on Overlapping Generations Model [ Vol.13, Issue 52 - Winter Year 1403]
  • rezazadeh.rohollah Investigation the Un-Suretunetly of Exchange Rate On Index Price & Level of Investment In Tehran Stock Index (Using VAR and GARCH Models) [ Vol.7, Issue 27 - Autumn Year 1397]
  • rezazadeh.rohollah Volatility of financial stress index on consumer overflow check indicator, the Producer Price Index and Consumer Price Index, with an emphasis on models GARCH-BEKK, VAR and Granger causality [ Vol.9, Issue 33 - Spring Year 1399]
  • Rohi.علی Investigating the effect of companies' political relations with the government and information asymmetry on short-term and long-term stock price volatility after initial public offering [ Vol.12, Issue 48 - Winter Year 1402]
  • Roosta.Ahmad Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [ Vol.5, Issue 20 - Winter Year 1395]
  • Roozbeh.Mohammad To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership [ Vol.10, Issue 39 - Autumn Year 1400]
  • rostami jaz.hamid Investigating the effects of investors' sentiments on stocks valuation [ Vol.10, Issue 39 - Autumn Year 1400]
  • Rostami Noroozabad.Mojtaba Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • Rostami.Mohammad Reza Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [ Vol.9, Issue 34 - Summer Year 1399]
  • ROSTAMI.VAHAB Biorhythm and cognitive function of investors In the stock market [ Vol.13, Issue 51 - Autumn Year 1403]
  • rostamkhani.hosein Optimal short-term prediction of initial supply yields using bat and random forest algorithms [ Vol.12, Issue 45 - Spring Year 1402]
  • Rostamy.Mohsen Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [ Vol.11, Issue 42 - Summer Year 1401]
  • Rostamy.Mohsen Evaluation and ranking of market risk in infrastructure projects using integrated DEA/AHP technique [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rouintan.Seyedalireza Examining The Financial Engineering Approach’s Ability In Measuring Financial Distress [ Vol.13, Issue 51 - Autumn Year 1403]
  • Rowshandel.Shahla Proposing a novel model based on ARIMA technique for forecasting housing price: a case study of Tehran [ Vol.4, Issue 14 - Summer Year 1394]

S

  • Saadat.Raziyeh The Relationship of Earnings Management and Investment Opportunities with Emphasizing on Ownership Concentration [ Vol.1, Issue 3 - Autumn Year 1391]
  • Saber.Ebrahim Optimization of portfolio Constituted from mutual funds of Tehran stock exchange using genetic algorithm [ Vol.3, Issue 12 - Winter Year 1393]
  • sabunchi.amin The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [ Vol.8, Issue 32 - Winter Year 1398]
  • sabzali.hamid A model for identifying factors affecting the timing of liquidity in mutual funds [ Vol.11, Issue 41 - Spring Year 1401]
  • Sabzevari.Bahar Forecasting Stock Price Manipulation in Capital Market [ Vol.1, Issue 1 - Spring Year 1391]
  • Sadeghi Sayyah.Mohammad Designing a Risk of tax arrears model with a tax litigation approach [ Vol.11, Issue 44 - Winter Year 1401]
  • Sadeghi Sharif.Seyed Jalal Studying the Factors Affecting on the Investment Management in Holding Companies [ Vol.8, Issue 32 - Winter Year 1398]
  • sadeghi.alireza A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [ Vol.12, Issue 47 - Autumn Year 1402]
  • Sadeghi.Amir Portfolio optimization by using the Copula Approach and multivariate conditional value at risk in Tehran Stock Exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • sadeh.ehsan Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [ Vol.10, Issue 39 - Autumn Year 1400]
  • sadehvand.mohammad javad A hybrid model based on three-tier approach to predict corporate default [ Vol.10, Issue 40 - Winter Year 1400]
  • sadjadi.hamid Evaluating the Long-Term Performance of Commercial Banks Based on the Sustainable Competitive Advantage Approach with Emphasis on the Role of Management Efficiency: An Approach Based on Comparing Public and Private Iranian Banks [ Vol.11, Issue 41 - Spring Year 1401]
  • sadrara.mehrdad Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • saeed nia.Hamidreza Designing a balanced development model for the freight transport industry based on strategic capital management [ Vol.10, Issue 38 - Summer Year 1400]
  • saeed nia.Hamidreza Strategic factors affecting investment in the freight industry [ Vol.11, Issue 43 - Autumn Year 1401]
  • saeedi motlagh.mohammad hasan Stock Portfolio Selection Using Dempster-Shafer Evidence Theory [ Vol.8, Issue 32 - Winter Year 1398]
  • Saeedi.Mozhgan The Influence of Ownership of Investment Company on Financial Reporting Quality: A Test of Efficient Monitoring Hypothesis [ Vol.12, Issue 46 - Summer Year 1402]
  • saeednia.hamidreza New Customer Oriented Banking: Approaches, Challenges and Patterns [ Vol.12, Issue 46 - Summer Year 1402]
  • saeednia.hamidreza A Conceptual Model for of Brand Value Creation in Insurance Industry with Focus on Investment on Life Insurance. [ Vol.13, Issue 50 - Summer Year 1403]
  • Saeidi Kiasari.رقیه the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [ Vol.11, Issue 43 - Autumn Year 1401]
  • Saeidi Varnamkhasti.Nasrin Comparing Analysis the Effect of Political Riske on Stock Market Developing in Selected Countries [ Vol.4, Issue 15 - Autumn Year 1394]
  • saeidi.parviz Provide a financing social businesses pattern for through the banking industry [ Vol.11, Issue 41 - Spring Year 1401]
  • saeidi.parviz Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [ Vol.9, Issue 36 - Winter Year 1399]
  • Safa.mojgan Estimation of the model of factors affecting financial stability of companies listed on the Tehran Stock Exchange [ Vol.13, Issue 52 - Winter Year 1403]
  • Safa.mojgan Ranking P/E Predictor Factors In Tehran Stock Exchange With Using The Harmony Search Meta Heuristic Algorithm [ Vol.8, Issue 29 - Spring Year 1398]
  • safaei.mohamad portfolio optimization based on modeling of dependence structure and extreme value theory [ Vol.11, Issue 44 - Winter Year 1401]
  • Safaei.Mohammad Ranking of mutual funds in Iran based on favorable and unfavorable risk criteria [ Vol.6, Issue 24 - Winter Year 1396]
  • Safari.Majid The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [ Vol.11, Issue 43 - Autumn Year 1401]
  • Saffar.Yousef Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • safikhani.fahime The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [ Vol.13, Issue 52 - Winter Year 1403]
  • safikhani.Mohammadreza The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [ Vol.13, Issue 52 - Winter Year 1403]
  • saghafi.ali Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [ Vol.9, Issue 36 - Winter Year 1399]
  • Saieda Ardakani.Saied Explain the strategic and non-strategic industries distinction Tehran Stock Exchange with emphasis on capital structure and cash value added (CVA) with panel data approach [ Vol.2, Issue 5 - Spring Year 1392]
  • Saieda Ardakani.Saied The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [ Vol.3, Issue 9 - Spring Year 1393]
  • Sakhdari.Kamal Scientometrics studies the impact of business model innovation on financial performance [ Vol.11, Issue 41 - Spring Year 1401]
  • Sakhdari.Kamal Identifying the Impact of Corporate Venturing on the Financial Performance of Companies Listed in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • Sakhdari.Kamal Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [ Vol.12, Issue 48 - Winter Year 1402]
  • Salahesh.Tanaz An investigation on the nonlinear effects of monetary policy in the framework of the two channels of net worth and cash flow of the firms (Applying the panel quantile method) [ Vol.6, Issue 23 - Autumn Year 1396]
  • Salajeghe.Sanjar Investigating the factors related to the implementation of economic policies of Bank Melli Iran in order to boost production to improve the performance of the financial system [ Vol.10, Issue 39 - Autumn Year 1400]
  • Salajegheh.Sanjar Investigating the factors related to the implementation of economic policies of Bank Melli Iran in order to boost production to improve the performance of the financial system [ Vol.10, Issue 39 - Autumn Year 1400]
  • Salami.Seyed Reza Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [ Vol.10, Issue 40 - Winter Year 1400]
  • salari.hojat alaha Stock market reactions to earnings management, corporate risk and weak internal controls [ Vol.11, Issue 42 - Summer Year 1401]
  • salarian.mohammad amin Investigating production sharing agreement as a way to attract investment in Iran's oil industry [ Vol.11, Issue 42 - Summer Year 1401]
  • salarian.mohammad amin An overview of contractual methods of financing energy projects with emphasis on Project revenues [ Vol.13, Issue 51 - Autumn Year 1403]
  • Salavati.Samaneh sadat Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [ Vol.6, Issue 24 - Winter Year 1396]
  • saleabadi.ali Efficient market in gold future market in high and low volatility [ Vol.7, Issue 27 - Autumn Year 1397]
  • saleabadi.ali Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [ Vol.9, Issue 34 - Summer Year 1399]
  • Saleh Ardestani.Abbas Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [ Vol.13, Issue 51 - Autumn Year 1403]
  • Salehabadi.Ali The use of stress testing in regulatory and supervisory perspectives [ Vol.5, Issue 19 - Autumn Year 1395]
  • salehi amiri.sayed reza The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport [ Vol.9, Issue 36 - Winter Year 1399]
  • Salehi.Mahdi Effect of long memory dependence structure between the dollar exchange rate and oil products in the Tehran stock Exchange Index: A copula based approach [ Vol.4, Issue 14 - Summer Year 1394]
  • salehi.mohammad The role of good government and human resource in attracting direct foreign investment and economical growth (a selection of developing countries) [ Vol.13, Issue 50 - Summer Year 1403]
  • Salehi.صالحی The Effect of Economic Uncertainty on Earnings Response Coefficient using two-factor Fama-McBeth Model [ Vol.11, Issue 43 - Autumn Year 1401]
  • Salehi.صالحی The Effect of Economics Uncertainty on speed of adjustment to target leverage [ Vol.11, Issue 44 - Winter Year 1401]
  • Salehi.صالحی Impact of Environmental Uncertainty on on speed of adjustment to target leverage [ Vol.12, Issue 46 - Summer Year 1402]
  • Salehi.صالحی A comparison between the Fama and French`s three-factor and five-factor models to describe the return of the growth and value stock [ Vol.5, Issue 19 - Autumn Year 1395]
  • Salehifar.Mohammad Liquidity and Information Efficiency in Cryptocurrencies Market [ Vol.10, Issue 39 - Autumn Year 1400]
  • Salehifar.Mohammad Investigating the Relationship between Financial Reporting Quality andCorporate Investment Decisions with an Emphasis on Accounting Information Governance Role [ Vol.11, Issue 42 - Summer Year 1401]
  • Salehifar.Mohammad The Application of Ecology Theories in Finance [ Vol.8, Issue 29 - Spring Year 1398]
  • Salimi.Mohammad Javad The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • Salimi.Mohammad Javad Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [ Vol.9, Issue 34 - Summer Year 1399]
  • Salmani.Rasoul Evaluate the Economic Consequences of the Social Responsibility of Firms (With Emphasis on Investment Efficiency) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Samadi Moghadam.yahya Investigating the Importance of R & D Capacity Factors on Technology Transfer Techniques (Case Study: Iranian Automotive Industry) [ Vol.6, Issue 22 - Summer Year 1396]
  • samadi.fatemeh compare time series stock markets and bit coin and effect markets returns with fractal approach [ Vol.10, Issue 38 - Summer Year 1400]
  • Samiyeh.Samiyeh Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [ Vol.13, Issue 52 - Winter Year 1403]
  • sangari.mojtaba Investigating the effect of underreaction and overreaction on Iran's capital market risk [ Vol.13, Issue 52 - Winter Year 1403]
  • Sarafizadeh Ghazvini.Asghar Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [ Vol.12, Issue 48 - Winter Year 1402]
  • Saranj.Alireza portfolio optimization based on modeling of dependence structure and extreme value theory [ Vol.11, Issue 44 - Winter Year 1401]
  • Saranj.Alireza Rating parametric and nonparametric methods for estimating the expected shortfall and value at risk [ Vol.6, Issue 22 - Summer Year 1396]
  • sargolzaee.mustafa Clarification of the Factors the investment of Technological Projects in the growth Stage with an emphasis on the banking system [ Vol.12, Issue 46 - Summer Year 1402]
  • sargolzaei.mostafa Effect of Structural Reforms of Pension System on the Economy and Capital Market of Iran Based on Overlapping Generations Model [ Vol.13, Issue 52 - Winter Year 1403]
  • Sarlak.Narges Ranking the stock Superior enterprises from intellectual capital position and it Comparison with the ranking based stock indexes [ Vol.4, Issue 14 - Summer Year 1394]
  • sarraf.fatemeh Predict the Financial Limitations of Companies Accepted in Tehran Stock Exchange Using the Relief-Svm-Caiid methods [ Vol.10, Issue 37 - Spring Year 1400]
  • sarraf.fatemeh Providing a model for transparency of financial information in the country's insurance industry [ Vol.10, Issue 38 - Summer Year 1400]
  • sarraf.fatemeh Presentation a model for Identifying Human Influencing Investors' Behavior in the Iranian Capital Market [ Vol.10, Issue 40 - Winter Year 1400]
  • sarraf.fatemeh Provide a model for measuring the effects of banking risks on the stability of the banking system [ Vol.11, Issue 41 - Spring Year 1401]
  • sarraf.fatemeh Application of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [ Vol.11, Issue 42 - Summer Year 1401]
  • sarraf.fatemeh Emotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [ Vol.11, Issue 42 - Summer Year 1401]
  • sarraf.fatemeh The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • sarraf.fatemeh Proposing a model of financial resilience in Tehran stock exchange companies in order to prevent bankruptcy [ Vol.13, Issue 51 - Autumn Year 1403]
  • sasanian.maryam Identifying the dimensions and indicators of school organizational culture development and its role in economic development: A data research foundation [ Vol.12, Issue 48 - Winter Year 1402]
  • sattari.rasoul Competitiveness of Iran's Power Industry [ Vol.10, Issue 39 - Autumn Year 1400]
  • savadkouhi.Saeid Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [ Vol.10, Issue 37 - Spring Year 1400]
  • sayrani.mohammad Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [ Vol.13, Issue 51 - Autumn Year 1403]
  • sayyah.soroor sadat Comprehensive Model of Credit Risk Management in the Banking System of Iran [ Vol.6, Issue 24 - Winter Year 1396]
  • sedaghati.samad Contagious topological dynamics in the Iranian stock market [ Vol.13, Issue 49 - Spring Year 1403]
  • Sedaghatipour.Amin Algorithmic Trading System for future contract of gold coin based on intra-day data [ Vol.7, Issue 28 - Winter Year 1397]
  • sedaghatyfard.morteza Biorhythm and cognitive function of investors In the stock market [ Vol.13, Issue 51 - Autumn Year 1403]
  • Sehhat.Saied Designing Investment conditions uncertainty index [ Vol.11, Issue 41 - Spring Year 1401]
  • Seifoddini.Jalal Price Limit Effects on Stock Prices Behavior: A Contrarian Investment Strategy Approach [ Vol.1, Issue 4 - Winter Year 1391]
  • Seifoddini.Jalal Empirically examining of the effect of week days on future contracts market of Bahar Azadi Coin in Tehran Merchandise Exchange [ Vol.2, Issue 6 - Summer Year 1392]
  • Seifoddini.Jalal Market Depth and Noisy Prices: A Maximum Likelihood Approach [ Vol.6, Issue 23 - Autumn Year 1396]
  • seighali.mohsen Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [ Vol.12, Issue 45 - Spring Year 1402]
  • Selahvarzi.Hossein Designing a resilience model for financial technology businesses with a structural equation approach and qualitative techniques [ Vol.13, Issue 49 - Spring Year 1403]
  • Sepasi.Sahar Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [ Vol.6, Issue 21 - Spring Year 1396]
  • Sepehri.Ali Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • Seraj.Mohialddin Clarifying the model of influential criteria in production growth with the approach of shareholders' value creation [ Vol.12, Issue 48 - Winter Year 1402]
  • Setayesh.Mohammadreza Modeling the Relationship between Efficiency, Risk and Capital in the Iranian Banking System [ Vol.10, Issue 40 - Winter Year 1400]
  • Setayesh.Mohammadreza Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [ Vol.11, Issue 41 - Spring Year 1401]
  • Setayesh.Mohammadreza Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [ Vol.12, Issue 45 - Spring Year 1402]
  • setayeshi.ali Investigating the relation between Balloon Analogue Risk Task and financial risk aversion; evidence from Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • seyed javadein.seyed reze Green Human Resource Management A Investment Approach and Sustainable Development [ Vol.5, Issue 20 - Winter Year 1395]
  • Seyed Nejad Fahim.Seyed Reza Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [ Vol.13, Issue 52 - Winter Year 1403]
  • seyed nezhad fahim.Seyed reza Identifying the factors affecting financial toxicity and designing a financial toxicity paradigm pattern based on grounded theory [ Vol.12, Issue 46 - Summer Year 1402]
  • Seyghali.Mohsen Effects of Quality Management Systems on the financial performance of the Companies listed in Tehran Stock Exchange [ Vol.1, Issue 4 - Winter Year 1391]
  • Shabani Barzegar.Laleh Portfolio Rebalancing Model based on Fuzzy Decision Theory [ Vol.2, Issue 8 - Winter Year 1392]
  • Shabani Barzegar.Laleh Mean-Variance test based on theoretical framework of downside risk using VAR [ Vol.6, Issue 22 - Summer Year 1396]
  • Shabani Barzegar.Laleh Proper Indicators of Capital Market Analysis, Based on the Financial Market Sociology Approach [ Vol.9, Issue 34 - Summer Year 1399]
  • shabanpourfard.pejman Investigating factors affecting demand in mutual funds, focusing on cash flows. [ Vol.9, Issue 33 - Spring Year 1399]
  • Shabgoo Monsef.Seyed Mahmoud Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Shadnoosh.Nosratollah Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [ Vol.10, Issue 40 - Winter Year 1400]
  • Shadnoush.Nosratollah The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [ Vol.11, Issue 41 - Spring Year 1401]
  • Shafiei.Hossein Providing a comprehensive model of decision making based on the attitudes and behavior of investors using structural equation modeling [ Vol.10, Issue 40 - Winter Year 1400]
  • Shafieyan.Mohsen The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [ Vol.7, Issue 27 - Autumn Year 1397]
  • shahab.mohamadreza The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • shahabi.saleh Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [ Vol.10, Issue 37 - Spring Year 1400]
  • shahabirad.ehtesham A Model to Identify the Impact of Spiritual Intelligence on Emotional Intelligence and Its Role in Behavioral Bias Control (Based on Halo Error) and Its Role on Investor Decision Making [ Vol.11, Issue 42 - Summer Year 1401]
  • shahbazadeh.fatemeh Designing a hybrid intelligent model for predicting the Financial Richness [ Vol.9, Issue 34 - Summer Year 1399]
  • Shahbazi.Meisam Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [ Vol.12, Issue 48 - Winter Year 1402]
  • shahdani.mahdi Clarification of the Factors the investment of Technological Projects in the growth Stage with an emphasis on the banking system [ Vol.12, Issue 46 - Summer Year 1402]
  • Shahmansuri.Esfandyar Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [ Vol.6, Issue 24 - Winter Year 1396]
  • Shahri Mejarshin.Aliakbar Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA) [ Vol.10, Issue 39 - Autumn Year 1400]
  • Shahriari.Alireza Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • Shahriari.M. Using the Utility Theory for Finding an Optimal Structure of Bank Asset Liability [ Vol.2, Issue 8 - Winter Year 1392]
  • Shahriari.M. A Comparative Study of Venture Capital Instruments in Iranian Commercial Banks [ Vol.4, Issue 15 - Autumn Year 1394]
  • Shahriari.Mohammadreza Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [ Vol.10, Issue 37 - Spring Year 1400]
  • Shahriari.Mohammadreza The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [ Vol.10, Issue 40 - Winter Year 1400]
  • Shahriari.Mohammadreza Studying the Factors Affecting on the Investment Management in Holding Companies [ Vol.8, Issue 32 - Winter Year 1398]
  • Shahriari.Mohammadreza Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [ Vol.9, Issue 34 - Summer Year 1399]
  • Shahriyari.Saeed Latent Volatility Modeling and Bayesian Analysis of stochastic Volatility of Intraday Data of Tehran Stock Exchange Index Based on Markov Monte Carlo Chain [ Vol.13, Issue 51 - Autumn Year 1403]
  • shahroodi.kambiz Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [ Vol.10, Issue 39 - Autumn Year 1400]
  • shahroodi.kambiz Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [ Vol.11, Issue 43 - Autumn Year 1401]
  • shahroodi.kambiz Ranking of Competitive Power Components in Tejarat Bank Using Fuzzy TOPSIS Technique [ Vol.12, Issue 46 - Summer Year 1402]
  • shahroodi.kambiz Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • Shahsavari.Masoumeh Evaluate the Economic Consequences of the Social Responsibility of Firms (With Emphasis on Investment Efficiency) [ Vol.7, Issue 27 - Autumn Year 1397]
  • Shahvarani.Ahmad The mediator role of higher order math thinking skills between lower order math thinking in financial affairs and empowering financial employees based on revised bloom taxonomy [ Vol.7, Issue 28 - Winter Year 1397]
  • shahveisi.farhad Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [ Vol.13, Issue 49 - Spring Year 1403]
  • shahverdiani.shadi Measuring investment strategies, light or heavy assets and debt multiplication based on consistent decisions in industry group companies [ Vol.11, Issue 43 - Autumn Year 1401]
  • shakeri.abbas Investing in the Culture and Economic Growth [ Vol.10, Issue 38 - Summer Year 1400]
  • shalchi.Afshin Investigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [ Vol.11, Issue 42 - Summer Year 1401]
  • Shami.Abbas Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange [ Vol.12, Issue 47 - Autumn Year 1402]
  • shammakhi.hamidreza The effect of algorithmic trading on the liquidity of investors' shares Iranian stock exchange market [ Vol.12, Issue 48 - Winter Year 1402]
  • Shams Gharneh.Naser Forecasting Tehran’s bourse price index using return-based fuzzy time series [ Vol.1, Issue 4 - Winter Year 1391]
  • Shams.Kourosh Glibalization and its impact on foreign direct investment in developing and develoed countries [ Vol.12, Issue 45 - Spring Year 1402]
  • Shams.Nasser Relationship between Stock price & NAV [ Vol.2, Issue 8 - Winter Year 1392]
  • shamsiyan.smaeil Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [ Vol.5, Issue 18 - Summer Year 1395]
  • shamsiyan.smaeil Economic Analysis of the Possibility of a Tax on Bank Deposits [ Vol.5, Issue 19 - Autumn Year 1395]
  • sharifee.seyedmahdi Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [ Vol.7, Issue 28 - Winter Year 1397]
  • sharifi.mani Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [ Vol.9, Issue 34 - Summer Year 1399]
  • Shayanfar.Akram Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations [ Vol.9, Issue 33 - Spring Year 1399]
  • Shayegan Mehr.Ali Calendar Effects in the Tehran Stock Exchange Approach to Stochastic Dominance Criteria [ Vol.4, Issue 16 - Winter Year 1394]
  • SHEIDAEI NARMIGI.ALI Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing [ Vol.6, Issue 24 - Winter Year 1396]
  • SHEIDAEI NARMIGI.ALI Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [ Vol.9, Issue 36 - Winter Year 1399]
  • shekarkhah.javad Evaluating the Relationship between Tehran Stock Exchange and Istanbul Stock Exchange: Causality and Co-Integration [ Vol.8, Issue 29 - Spring Year 1398]
  • shiekh.mohammadjavad Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [ Vol.13, Issue 51 - Autumn Year 1403]
  • shirazian.zahra Investigation of Financial Advisors Competencies Role in Perceived Investment Value InTehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • shirazian.zahra Investigating of effect herding behavior types among analysts on stock price by network analysis in Tehran Stock Exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • shirazian.zahra Investigating the Relationship between Political Rumors and Perceptual Error of Tehran Stock Exchange Investors by Considering the Intermediary Variable of Biographical Characteristics of Investors by Structural Equation Modeling [ Vol.9, Issue 33 - Spring Year 1399]
  • shirazian.zahra Clustering of volatility and its asymmetry in Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • Shiri.Ahmadreza Investigation of Quick Reaction of Tehran Securities Exchange to International Economic Announcement Publications [ Vol.2, Issue 5 - Spring Year 1392]
  • Shoja Veshvad.Mohsen A study Of the contagion of financial helplessness and credit risk in the country's banking system [ Vol.10, Issue 37 - Spring Year 1400]
  • shokrolahnia roshan.alireza Exchange rate fluctuations and reaction Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • Siahkarzadeh.Mohammad Sajjad Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks [ Vol.8, Issue 32 - Winter Year 1398]
  • Sobhani.Soraya Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [ Vol.12, Issue 46 - Summer Year 1402]
  • Sohaili.Kiomars Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [ Vol.11, Issue 43 - Autumn Year 1401]
  • soleiman.shahnaz The investigation of the effect of risk disclosure on investment efficiency of accepted companies in Tehran stock exchange [ Vol.8, Issue 31 - Autumn Year 1398]
  • Soleimani.Saeed Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [ Vol.3, Issue 9 - Spring Year 1393]
  • soltani Lifshagerd.samaneh Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [ Vol.10, Issue 39 - Autumn Year 1400]
  • Songhori.Reza The relationship between financing variables, the ratio of R & D to operating profit and corporate financial crisis [ Vol.8, Issue 32 - Winter Year 1398]
  • sorayaei.ali Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach [ Vol.13, Issue 51 - Autumn Year 1403]
  • Soufi.Mansour Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [ Vol.9, Issue 35 - Autumn Year 1399]
  • Souri.Ali Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Souri.Ali Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [ Vol.13, Issue 49 - Spring Year 1403]

T

  • taati kashani.hasan Efficient market in gold future market in high and low volatility [ Vol.7, Issue 27 - Autumn Year 1397]
  • taati kashani.hasan Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [ Vol.9, Issue 34 - Summer Year 1399]
  • Tabatabaei Mozdabadi.S.M. Investigation of the variable of the illiquidity risk and the effect it’s on the excess of stock return in the stock market [ Vol.1, Issue 3 - Autumn Year 1391]
  • Tabatabaeian.Seyed Habibollah Pathology of the Automobile Industry of the Country Using the Grounded Theory Strategy and provide solutions to get it out of the current situation [ Vol.12, Issue 45 - Spring Year 1402]
  • Tabibi.Seyed Jamaleddin The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [ Vol.9, Issue 36 - Winter Year 1399]
  • tabrizian.bita Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [ Vol.11, Issue 41 - Spring Year 1401]
  • tabrizian.bita Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [ Vol.13, Issue 49 - Spring Year 1403]
  • Tabrizian.Bita Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [ Vol.13, Issue 51 - Autumn Year 1403]
  • tadbiri.sirus Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • tadi.masood Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [ Vol.7, Issue 26 - Summer Year 1397]
  • Taftiyan.Akram The investigation of relationship between stock liquidity and Stock price synchronicity using the simultaneous equations system in the accepted companies in the Tehran Stock Exchange [ Vol.7, Issue 27 - Autumn Year 1397]
  • taghavifard.mohammad taghi Identify the capabilities and resources to change the business model of commercial banks in Iran [ Vol.6, Issue 21 - Spring Year 1396]
  • Taghi Nataj Malekshah.Gholamhasan Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [ Vol.13, Issue 52 - Winter Year 1403]
  • Taghipour.Mohammad Trained Radial Neural Networks Based on Variables of Statistical Models and Their Comparison in Bankruptcy Prediction [ Vol.2, Issue 7 - Autumn Year 1392]
  • Taghipouryan.yosef Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange [ Vol.12, Issue 47 - Autumn Year 1402]
  • taghizade.nafise The Moderating Effects of Ownership Structure, Political Communication, and Board Independence on the Relationship between Divergence of Views and Attention of Investors to the Initial Public Offering (IPO) Market [ Vol.11, Issue 44 - Winter Year 1401]
  • Taghizadeh.Houshang Validation of Investment Efficiency Models Based on Agency Theory, Information Asymmetry, Managerial Entrenchment and Firm value maximization [ Vol.10, Issue 38 - Summer Year 1400]
  • Taghizadeh.Houshang The Best Pattern of financial reporting quality in Iran from the viewpoint of investors and others interested groups [ Vol.12, Issue 46 - Summer Year 1402]
  • Tahamtan.Nasrin Measuring investment strategies, light or heavy assets and debt multiplication based on consistent decisions in industry group companies [ Vol.11, Issue 43 - Autumn Year 1401]
  • taherabady.aliasghar Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [ Vol.13, Issue 49 - Spring Year 1403]
  • Taheri Tolu.Masumeh Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [ Vol.12, Issue 46 - Summer Year 1402]
  • Taherikia.Fariz Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [ Vol.13, Issue 49 - Spring Year 1403]
  • taherinia.masoud Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [ Vol.10, Issue 40 - Winter Year 1400]
  • taherinia.masoud A model for continuing the activity and diagnosing the health of manufacturing companies in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • tahmasbi.hamzehamin Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [ Vol.10, Issue 40 - Winter Year 1400]
  • Tahmasebi.Abdolreza The Impact of Performance Criteria on Brand Value In the automotive industry [ Vol.12, Issue 47 - Autumn Year 1402]
  • tahmasebi.rasoul Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [ Vol.7, Issue 27 - Autumn Year 1397]
  • tahmooresi.zahra Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]
  • Tajmir Riyahi.Hamed Comparative Analysis of Oil Price and Exchange Rate Volatility in Industries Return Relating to Petroleum Based On Arbitrage Pricing Theory and Dynamic Regression Model [ Vol.1, Issue 1 - Spring Year 1391]
  • Tajmir Riyahi.Hamed Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [ Vol.6, Issue 24 - Winter Year 1396]
  • Tajvidi.Elnaz The impact of financial position and industry characteristics on adjustment speed of capital structure [ Vol.10, Issue 37 - Spring Year 1400]
  • Talaie Kakolaki,.Leila Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [ Vol.13, Issue 50 - Summer Year 1403]
  • Talaneh.Abdolreza Identifying the influential macro factors in the creation of non-performing loans by the method of theme analysis, the case study of Bank Mehr Eghtesad [ Vol.13, Issue 50 - Summer Year 1403]
  • Talebi.Reza Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [ Vol.12, Issue 47 - Autumn Year 1402]
  • taleblo.reza Investing in the oil and gas industry using estimates of crude oil and natural gas consumption in Iran by VECM model [ Vol.9, Issue 34 - Summer Year 1399]
  • Talebnia.Ghodrat Allah Testing the application of inflows (outflows) of mutual funds in the assessment and prioritization of asset pricing models [ Vol.9, Issue 35 - Autumn Year 1399]
  • talebnia.ghodratolah Factors affecting liquidity management in pharmaceutical companies: Bayesian averaging approach [ Vol.12, Issue 45 - Spring Year 1402]
  • talebnia.ghodratolah Identify and examine the process of impact of the most important variables affecting the banking crisis over time [ Vol.12, Issue 47 - Autumn Year 1402]
  • talebniya.ghodratalah Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • Taleghani.Mohammad Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [ Vol.12, Issue 48 - Winter Year 1402]
  • tamrinia.ayatollah Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [ Vol.12, Issue 46 - Summer Year 1402]
  • tariverdi.yadollah Investigating the effects of investors' sentiments on stocks valuation [ Vol.10, Issue 39 - Autumn Year 1400]
  • Tariverdi.Yadollah Investigating the effects of investors' sentiments on stocks valuation [ Vol.10, Issue 39 - Autumn Year 1400]
  • Tariverdi.Yadollah Earning Downside Risk and Market-based Characteristics Earning Attributes [ Vol.10, Issue 40 - Winter Year 1400]
  • Tariverdi.Yadollah Designing target leverage model over the life cycle of the company [ Vol.12, Issue 45 - Spring Year 1402]
  • Tasharofi.Mohammad Predicting of Equity Premium: Empirical Evidence from PEG Models [ Vol.6, Issue 23 - Autumn Year 1396]
  • Tataei.Peyman Corporative Game Theoretic Application in Stock Selection Optimization [ Vol.10, Issue 39 - Autumn Year 1400]
  • Tatli.Rashid The Evaluate ability of Altman adjusted Model to Prediction Stages of Financial Distress Newton and Bankruptcy [ Vol.3, Issue 9 - Spring Year 1393]
  • TAVAKOL.MORTEZA Future scenarios of the banking industry [ Vol.12, Issue 46 - Summer Year 1402]
  • Tavakoli.Farideh A meta-analysis on the capital asset pricing model [ Vol.9, Issue 36 - Winter Year 1399]
  • tavakolipour.hamed Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [ Vol.10, Issue 40 - Winter Year 1400]
  • Tavangar.Afsaneh Analyzing the Relationship between Risk and Performance Criteria with Emphasis on the Role of Risk Management Effectiveness in Companies Listed on Tehran Stock Exchange [ Vol.9, Issue 36 - Winter Year 1399]
  • tehrani.reza Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [ Vol.10, Issue 37 - Spring Year 1400]
  • tehrani.reza Providing a Model of the Effect of Uncertainty about the Inflation Rate and More Trust of Managers on the Increase in Investment (Case Study: Fellowship Affiliated Companies in Tehran Stock Exchange) [ Vol.10, Issue 38 - Summer Year 1400]
  • tehrani.reza Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [ Vol.12, Issue 47 - Autumn Year 1402]
  • tehrani.reza Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • tehrani.reza Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • tehrani.reza Usefulness Assessment of Technical Analysis of World Gold Prices (Approach to the Directional Indicators or Oscillators) [ Vol.3, Issue 9 - Spring Year 1393]
  • tehrani.reza A novel approach to fulfill active portfolio management and automatic stock trading based on feature selection algorithm [ Vol.4, Issue 13 - Spring Year 1394]
  • tehrani.reza Presenting a Model for Idiosyncratic Risk Effects on the Policies for Financing the Entire Manufacturing Companies Accepted in Tehran Stock Exchange. [ Vol.7, Issue 27 - Autumn Year 1397]
  • tehrani.reza Dependence structure between Iranian financial system’s sub sectors: a vine copula approach [ Vol.8, Issue 30 - Summer Year 1398]
  • tehrani.reza Investigating investment policy effect on objective achievement in personal account plan [ Vol.9, Issue 35 - Autumn Year 1399]
  • teymori.hamidreza Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [ Vol.11, Issue 43 - Autumn Year 1401]
  • timori ashtiani.ali Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [ Vol.11, Issue 43 - Autumn Year 1401]
  • Toloei Ashlaghi.Abbas Presenting of Investment Model for Interaction Between Industry and University with System Dynamic [ Vol.2, Issue 8 - Winter Year 1392]
  • Toloei Ashlaghi.Abbas Purchasing stock in Stock Exchange (Application of MADM Models) [ Vol.3, Issue 11 - Autumn Year 1393]
  • toloie eshlaghy.abbas Digital transformation in corporate banking: theoretical approach and behavioral analysis [ Vol.11, Issue 44 - Winter Year 1401]
  • Toloie Eshlaghy.Abbas Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [ Vol.10, Issue 39 - Autumn Year 1400]
  • Toloie Eshlaghy.Abbas Investigating the key success factors of BOT method in financing service projects and presenting an operational model [ Vol.12, Issue 47 - Autumn Year 1402]
  • Toloie Eshlaghy.Abbas Designing an intelligent model to optimize the safety risk of the takeoff flight using BIM-LSTM [ Vol.13, Issue 52 - Winter Year 1403]
  • Toloie Eshlaghy.Abbas Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [ Vol.7, Issue 28 - Winter Year 1397]
  • Tolouei.Behnaz Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [ Vol.9, Issue 33 - Spring Year 1399]
  • tondnevis.farid The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [ Vol.9, Issue 35 - Autumn Year 1399]
  • toorchi.mahmoud Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [ Vol.10, Issue 38 - Summer Year 1400]
  • Torabi.Mohammad Hosein Identifying the Impact of Corporate Venturing on the Financial Performance of Companies Listed in Tehran Stock Exchange [ Vol.11, Issue 43 - Autumn Year 1401]
  • torabi.mona Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks) [ Vol.11, Issue 43 - Autumn Year 1401]
  • torabi.mona Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [ Vol.13, Issue 50 - Summer Year 1403]
  • torabi.mona Clustering of volatility and its asymmetry in Tehran Stock Exchange [ Vol.9, Issue 35 - Autumn Year 1399]
  • Torabi.Taghi Applications of game theory in the analysis of investment knowledge using chaos theory [ Vol.10, Issue 38 - Summer Year 1400]
  • Torabi.Taghi Interest rate of the securities with fixed-income in Iran [ Vol.4, Issue 15 - Autumn Year 1394]
  • Torabi.Taghi The Impact of the Quality of Human Resources On attracting Foreign Direct Investment A Case Study of the South East Asian countries and Iran [ Vol.5, Issue 19 - Autumn Year 1395]
  • torkaman ahmadi.masoomeh The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [ Vol.6, Issue 24 - Winter Year 1396]
  • Turani Qazvini.Parviz Designing a balanced development model for the freight transport industry based on strategic capital management [ Vol.10, Issue 38 - Summer Year 1400]
  • Turani Qazvini.Parviz Strategic factors affecting investment in the freight industry [ Vol.11, Issue 43 - Autumn Year 1401]

V

  • Vaez.Mohsen The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [ Vol.7, Issue 27 - Autumn Year 1397]
  • Vaez-Ghasemi.Mohsen Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [ Vol.7, Issue 26 - Summer Year 1397]
  • Vaez-Ghasemi.Mohsen The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [ Vol.7, Issue 27 - Autumn Year 1397]
  • vafaei ghaeini.vahid Day-ahead stock price forecasting using hybrid model [ Vol.8, Issue 30 - Summer Year 1398]
  • Vahedi.Shahram Investigating the Effect of Liquidity and Per capita Income on the Housing Market (Using a vector auto regression model) [ Vol.10, Issue 40 - Winter Year 1400]
  • vakil alroaia.younos Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [ Vol.11, Issue 44 - Winter Year 1401]
  • vakilifar.hamidreza Price Limit Effects on Stock Prices Behavior: A Contrarian Investment Strategy Approach [ Vol.1, Issue 4 - Winter Year 1391]
  • vakilifar.hamidreza Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]
  • vakilifar.hamidreza The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [ Vol.8, Issue 32 - Winter Year 1398]
  • vakilifar.hamidreza Testing the application of inflows (outflows) of mutual funds in the assessment and prioritization of asset pricing models [ Vol.9, Issue 35 - Autumn Year 1399]
  • vakilifard.hamid reza Predict the Financial Limitations of Companies Accepted in Tehran Stock Exchange Using the Relief-Svm-Caiid methods [ Vol.10, Issue 37 - Spring Year 1400]
  • vakilifard.hamidreza Investigation of Micro and Macro Economic Factors Affecting Corporate Financial Performance: A Fuzzy Dimensional Approach [ Vol.11, Issue 41 - Spring Year 1401]
  • vakilifard.hamidreza Predicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [ Vol.11, Issue 42 - Summer Year 1401]
  • Vakilifard.HamidReza Investigation of Micro and Macro Economic Factors Affecting Corporate Financial Performance: A Fuzzy Dimensional Approach [ Vol.11, Issue 41 - Spring Year 1401]
  • Validi.Alireza The effect of investment horizon on optimum portfolio rebalancing frequency in portfolios of stocks listed on Tehran Stock Exchange with short-selling [ Vol.7, Issue 28 - Winter Year 1397]
  • validi.javad The effect of investment horizon on optimum portfolio rebalancing frequency in portfolios of stocks listed on Tehran Stock Exchange with short-selling [ Vol.7, Issue 28 - Winter Year 1397]
  • valinia.sid nia Stock market reactions to earnings management, corporate risk and weak internal controls [ Vol.11, Issue 42 - Summer Year 1401]
  • valiolahi.abdolreza Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [ Vol.12, Issue 46 - Summer Year 1402]
  • Varahrami.Vida Investigating the Asymmetric Relationship between Oil Price and the Covid-19 Pandemic with Trading Value on the Stock Exchange [ Vol.12, Issue 47 - Autumn Year 1402]
  • Varzideh.Alireza Application of Geometric Brownian motion in prediction of gold price and currency rate [ Vol.8, Issue 30 - Summer Year 1398]
  • Vatanparast.Mohammadreza Validation a Model of Financial Empowerment Based on Financial Therapy Approaches [ Vol.10, Issue 40 - Winter Year 1400]
  • Vatanparast.Mohammadreza Investors ' Trading Behavior in stock Market Under Information Ambiguity Formality of Hearding Behavior [ Vol.13, Issue 51 - Autumn Year 1403]
  • Vatanparast.Mohammadreza Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • vazifeh dust.hossine Designing an economic pattern of buying in-house goods with an emphasis on customer motivational categories (Studied by the automotive industry) [ Vol.11, Issue 41 - Spring Year 1401]
  • vazifeh dust.hossine Evaluating the Impact of Organizational Factors on Sepah Bank's Deposit and Assets in Preparing a Strategic Model Using Hierarchical Decision Making System and Simultaneous Equation System (Case Study) [ Vol.11, Issue 42 - Summer Year 1401]
  • vazifeh dust.hossine Provide an appropriate model for financing entrepreneurship with a collective participation approach in knowledge-based businesses [ Vol.12, Issue 48 - Winter Year 1402]
  • Vazifehdoust.Hossein Presenting an artificial intelligence model based on fuzzy-hierarchical logic in order to measure the impact of organizational factors on Sepah Bank's investment deposit and assets by generalizing systems of simultaneous equations [ Vol.13, Issue 52 - Winter Year 1403]
  • vaziri.mohamad taghi Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [ Vol.9, Issue 34 - Summer Year 1399]

Y

  • Yaghoobnezhad.Ahmad The Influence of Ownership of Investment Company on Financial Reporting Quality: A Test of Efficient Monitoring Hypothesis [ Vol.12, Issue 46 - Summer Year 1402]
  • Yaghoobnezhad.Ahmad Investigation of risk perception mental model of investors of Tehran Stock Exchange [ Vol.4, Issue 13 - Spring Year 1394]
  • Yaghoobnezhad.Ahmad Using data mining techniques to measure tax risk of value added taxes [ Vol.8, Issue 32 - Winter Year 1398]
  • Yahiaei.Mehri Presentation a technology commercialization model in ICT Knowledge base companies [ Vol.7, Issue 26 - Summer Year 1397]
  • yahyavi.mansour Designing an intelligent model to optimize the safety risk of the takeoff flight using BIM-LSTM [ Vol.13, Issue 52 - Winter Year 1403]
  • yalfani.amir Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • Yazdani Chamzini.Abdolreza presentation of new method for investment strategy in private section [ Vol.3, Issue 11 - Autumn Year 1393]
  • yazdani khodashahri.Mohammad baghar Optimal Portfolio Selection using Machine Learning Algorithms [ Vol.12, Issue 48 - Winter Year 1402]
  • Yazdani.Shohreh Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [ Vol.12, Issue 48 - Winter Year 1402]
  • Yazdani.Shohreh Explaining the credit rating model in the investment industry [ Vol.13, Issue 50 - Summer Year 1403]
  • Yazdani.Shohreh Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [ Vol.9, Issue 33 - Spring Year 1399]
  • Yazdani.Shohreh Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [ Vol.9, Issue 34 - Summer Year 1399]
  • yazdanian.Narges Modeling risk in accordance with the financing structure in the money market based on probabilistic decision theory [ Vol.10, Issue 37 - Spring Year 1400]
  • yazdanian.Narges the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [ Vol.11, Issue 43 - Autumn Year 1401]
  • yazdanian.Narges Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • yazdanian.Narges Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [ Vol.12, Issue 47 - Autumn Year 1402]
  • yazdanian.Narges Designing a resilience model for financial technology businesses with a structural equation approach and qualitative techniques [ Vol.13, Issue 49 - Spring Year 1403]
  • yazdanian.Narges Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [ Vol.13, Issue 51 - Autumn Year 1403]
  • yazdanian.Narges Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [ Vol.13, Issue 52 - Winter Year 1403]
  • Yazdanian.Narges Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [ Vol.12, Issue 46 - Summer Year 1402]
  • Yousefi Brahman.Javad comparative study of dynamic performance of investment according to method (garch)and kalman filter [ Vol.12, Issue 45 - Spring Year 1402]
  • Yousefi.Alireza Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [ Vol.10, Issue 37 - Spring Year 1400]
  • Yousefi.Alireza Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [ Vol.11, Issue 41 - Spring Year 1401]
  • Yousefi.Alireza Application of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [ Vol.11, Issue 42 - Summer Year 1401]
  • Yousefi.Alireza Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [ Vol.12, Issue 46 - Summer Year 1402]
  • Yousefi.Alireza Evaluation of the effect of financial policies on Capital Market investment in financial friction [ Vol.13, Issue 49 - Spring Year 1403]
  • Yousefi.Alireza The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • Yousefi.Vahid Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [ Vol.13, Issue 52 - Winter Year 1403]
  • Yousefnezhad.Naser Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]

Z

  • Zakipour.Fatemeh Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [ Vol.13, Issue 52 - Winter Year 1403]
  • Zamani Eskandari.Einollah Foresight of education and research in the Iranian tax system - with an economic approach [ Vol.9, Issue 36 - Winter Year 1399]
  • Zamani.Fatemeh Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [ Vol.11, Issue 44 - Winter Year 1401]
  • zamani.Mohammad Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [ Vol.12, Issue 48 - Winter Year 1402]
  • Zamanianfar.Leila The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [ Vol.10, Issue 40 - Winter Year 1400]
  • zamanpour.alireza Impact of Buffer capital changes on banks portfolio risk changes [ Vol.8, Issue 32 - Winter Year 1398]
  • Zandieh.Mostafa. The Effect of trading volume and high P/E ratio on the price bubble in Tehran stock exchange market [ Vol.2, Issue 8 - Winter Year 1392]
  • zandieh.shahnam Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [ Vol.12, Issue 48 - Winter Year 1402]
  • zanjirdar.Majid Influence of Emotional Trends of Investors and the Company's Borrowing on Deviations from Expected Investment [ Vol.7, Issue 27 - Autumn Year 1397]
  • zanjirdar.Majid predicted profit on the possibility of revision in profit prediction [ Vol.8, Issue 31 - Autumn Year 1398]
  • Zanjirdar.Majid The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [ Vol.11, Issue 43 - Autumn Year 1401]
  • Zardkouhi.Mohsen Investigation the Effects of management earning forecasts on the cost of equity capital [ Vol.1, Issue 4 - Winter Year 1391]
  • ZARE.ALI Designing a platform the Crowdfunding Process By the way of Murabeh in Iran [ Vol.11, Issue 44 - Winter Year 1401]
  • ZARE.ALI Analysis of capital increase of public joint stock companies in Iranian law. [ Vol.13, Issue 52 - Winter Year 1403]
  • zare.hamid Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • zare.Hashem Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [ Vol.7, Issue 27 - Autumn Year 1397]
  • zare.Hashem Effects of exchange rates shocks on Tehran stock market returns: MSFITGARCH model [ Vol.9, Issue 33 - Spring Year 1399]
  • zarea.ali Comparative Analysis of the Financial Regime of New Petroleum Contracts, Known as IPC, and Buyback Trade in Terms of Costs [ Vol.13, Issue 49 - Spring Year 1403]
  • zarerafi.samaneh Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [ Vol.13, Issue 52 - Winter Year 1403]
  • Zehtabian.Mostafa Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE) [ Vol.7, Issue 26 - Summer Year 1397]
  • zeynali.Mahdi A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [ Vol.11, Issue 42 - Summer Year 1401]
  • zeynali.Mahdi Relationship between Financial Constraint and Investment Efficiency and Working Capital Strategy [ Vol.8, Issue 32 - Winter Year 1398]
  • Ziaee.Mohammad Sadegh Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [ Vol.6, Issue 24 - Winter Year 1396]
  • Ziyae.Babak Presenting a Model of Technological Entrepreneurship Ecosystem in the Field of Knowledge-Based Businesses Active in the Field of Financial Technology [ Vol.11, Issue 44 - Winter Year 1401]
  • Zolfaghari.Hasan Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [ Vol.9, Issue 34 - Summer Year 1399]
  • Zolfaghari.Mehdi portfolio optimization based on modeling of dependence structure and extreme value theory [ Vol.11, Issue 44 - Winter Year 1401]
  • Zolfaghari.Mehdi Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [ Vol.9, Issue 34 - Summer Year 1399]
  • zolfagharkhani.nasrin Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • zolghadr.Abolfazl Financial management and Dungeon Kruger's (self-help) [ Vol.8, Issue 30 - Summer Year 1398]
  • zomorodian.gholamreza The impact of personality phases of managers of mutual funds on smart money by considering the moderating role of manager's financial intelligence [ Vol.13, Issue 50 - Summer Year 1403]
  • Zomorodian.Gholamreza A study Of the contagion of financial helplessness and credit risk in the country's banking system [ Vol.10, Issue 37 - Spring Year 1400]
  • Zomorodian.Gholamreza Investigation of capabilities of econometrist models in determination of value at risk in investment companies for determination of optimized portfolio in capital market of Iran [ Vol.3, Issue 12 - Winter Year 1393]
  • Zomorodian.Gholamreza Feasibility of Currency hedging for exporter and importer companies by Using the Iran Mercantile Exchange Coin futures contract [ Vol.6, Issue 23 - Autumn Year 1396]
  • zomorodianS.gholam reza A model for identifying factors affecting the timing of liquidity in mutual funds [ Vol.11, Issue 41 - Spring Year 1401]
  • zomorodianS.gholam reza Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [ Vol.11, Issue 44 - Winter Year 1401]
  • zomorodianS.gholam reza Explain the shocks and fluctuations of the foreign exchange market and how to transfer these shocks to other markets [ Vol.12, Issue 46 - Summer Year 1402]
  • zomorodianS.gholam reza Relationship between risk and risk - aversion utility Based on Multi-Period prospect theory [ Vol.12, Issue 46 - Summer Year 1402]
  • zomorodianS.gholam reza Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [ Vol.4, Issue 13 - Spring Year 1394]
  • zomorodianS.gholam reza Examining the Effect of Shocks in Monetary and Fiscal Policy on Value Added of Industry and Mining Sector in Iran [ Vol.6, Issue 24 - Winter Year 1396]
  • zomorodianS.gholam reza The impact of financial and money market developments on foreign direct investment in Iran [ Vol.7, Issue 25 - Spring Year 1397]
  • zomorodianS.gholam reza Assessed valuation of intellectual capital and its relation to the performance of the capital market [ Vol.7, Issue 26 - Summer Year 1397]
  • zomorodianS.gholam reza Comparative study of the behavior of investors in equity portfolio (Classic financial approach or behavioral finance approach) [ Vol.8, Issue 29 - Spring Year 1398]
  • zomorodianS.gholam reza Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [ Vol.8, Issue 30 - Summer Year 1398]
  • zomorodianS.gholam reza The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [ Vol.8, Issue 31 - Autumn Year 1398]
  • zomorodianS.gholam reza Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [ Vol.8, Issue 32 - Winter Year 1398]
  • zomorodianS.gholam reza Investigating the interactions of inequality income, employment and economic growth [ Vol.9, Issue 33 - Spring Year 1399]
  • zomorodianS.gholam reza Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [ Vol.9, Issue 34 - Summer Year 1399]
  • zomorodianS.gholam reza Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [ Vol.9, Issue 36 - Winter Year 1399]