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  • 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]
  • 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 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 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 An overview of contractual methods of financing energy projects with emphasis on Project revenues [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • 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]
  • 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]
  • 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 Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [ Vol.13, Issue 50 - Summer Year 1403]
  • aghazadeh kamakoly.Ahmad Explaining the behavioral model of depositors (components suggestions and outcomes( [ Vol.13, Issue 52 - Winter Year 1403]
  • 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.Ehsan Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • ahmadi.faegh Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [ Vol.13, Issue 52 - Winter Year 1403]
  • Ahmadi.Fatemeh Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • Ahmadzadeh.Aziz Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [ Vol.13, Issue 49 - Spring Year 1403]
  • Ahmadzadeh.Hamid Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • akhavanfar.amir Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • 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]
  • 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.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]
  • Alvani.Sayyed Mehdi Validating the network policy making model in the field of digital banking in Iran [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • AMIRI.SAEED The role of organizational risk management in the money laundering risk of organizations [ Vol.13, Issue 51 - Autumn 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]
  • 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.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]
  • Arani.hosein Investors ' Trading Behavior in stock Market Under Information Ambiguity Formality of Hearding Behavior [ Vol.13, Issue 51 - Autumn Year 1403]
  • Arya.Kiumars Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]
  • ashrafi.bakhtyar Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]
  • Avazzadeh Fath.Fariborz Investigating the effect of underreaction and overreaction on Iran's capital market risk [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]