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  • 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 Investor behavior and bias resulting from of financial restatement [ Vol.12, Issue 48 - Winter Year 1402]
  • Abdo Tabrizi.Hossein Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]
  • 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]
  • 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]
  • 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.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.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.RAZIEH Relationship between risk and risk - aversion utility Based on Multi-Period prospect theory [ Vol.12, Issue 46 - Summer Year 1402]
  • Ahmadzade.Hamid The evalution of DCAPM,ACAPM model standard capital cost [ Vol.12, Issue 48 - Winter Year 1402]
  • 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.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]
  • 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]
  • 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]
  • 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]
  • amini.mehdi ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]