A

  • 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 Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [ 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]
  • 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]

B

  • 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]
  • Bahri Sales.Jamal corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [ Vol.12, Issue 46 - Summer Year 1402]
  • Bakhtiarian.Tayebe Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks [ Vol.12, Issue 45 - Spring Year 1402]
  • 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 Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [ Vol.12, Issue 46 - Summer Year 1402]
  • 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]
  • 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]
  • Bokharaeian Khorasani.Maryam Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]

C

  • 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]

D

  • DADASHI.NASRIN The Impact of risk-taking on performance according to financial constraints of companies [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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 Design of Financial Procedure Patterns for supply Chain with Credit Coverage Approach by Agricultural Bank [ Vol.12, Issue 46 - Summer Year 1402]
  • 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]
  • 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 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]
  • Delafrooz.Narges Ranking of Competitive Power Components in Tejarat Bank Using Fuzzy TOPSIS Technique [ Vol.12, Issue 46 - Summer Year 1402]

E

  • 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.esmail Social capital and investment efficiency [ Vol.12, Issue 45 - Spring Year 1402]
  • ebrahimiyan.nader Mutual Fund Liquidity Risk Management Tools [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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]
  • 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 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]
  • 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]
  • 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]
  • 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]
  • 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 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]
  • 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]
  • 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.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]
  • 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]
  • 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]

G

  • 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]
  • 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]
  • 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]
  • 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]
  • ghayoumi.zohreh Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • Ghodrati.Hasan Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]
  • Gholami CHENARESTAN OLYA.Abdolghalegh Examining the Impact of Managers' Social Capital on Bank Risks [ Vol.12, Issue 48 - Winter Year 1402]
  • gholamijamkarani.Reza Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • Gorganli Davaji. Jomadoordi Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]

H

  • Haidari.AmirHooshang Future scenarios of the banking industry [ Vol.12, Issue 46 - Summer Year 1402]
  • 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 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]
  • 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]
  • 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]
  • 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]
  • hasanpour.esmaeil Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]
  • 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]
  • Hatam.javid Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring 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 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.Kambiz New Customer Oriented Banking: Approaches, Challenges and Patterns [ Vol.12, Issue 46 - Summer Year 1402]
  • 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 The relationship between stock liquidity, cost of capital, and family ownership [ Vol.12, Issue 48 - Winter 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.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.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]
  • 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]
  • Hosseini Shirvani.Mirsaeid Optimal Portfolio Selection using Machine Learning Algorithms [ Vol.12, Issue 48 - Winter Year 1402]
  • 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]

I

  • 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]

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]
  • Jabbari.Hosein Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [ Vol.12, Issue 47 - Autumn Year 1402]
  • jabbarzadeh.vahid corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [ Vol.12, Issue 46 - Summer Year 1402]
  • 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.vahid The Role of corporate governance culture and Investor Rights In corporate Health [ Vol.12, Issue 47 - Autumn Year 1402]
  • jafri.ali akbar Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • Jahanshad.Azita Optimal short-term prediction of initial supply yields using bat and random forest algorithms [ Vol.12, Issue 45 - Spring Year 1402]
  • Jalali Nazari.Seyed Ali New Customer Oriented Banking: Approaches, Challenges and Patterns [ Vol.12, Issue 46 - Summer Year 1402]
  • 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 The relationship between stock liquidity, cost of capital, and family ownership [ Vol.12, Issue 48 - Winter 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]
  • 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]
  • 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]
  • Kamarei.Hadi Designing a quality model of integrated marketing communications for specialized banks in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • karami.gholamreza Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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 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 Designing target leverage model over the life cycle of the company [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]
  • 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]
  • 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]
  • 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 Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [ Vol.12, Issue 47 - Autumn 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 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]
  • 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]
  • 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]
  • 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]
  • 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 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 Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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

  • lashgari.zahra Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]

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]
  • Madanchi Zaj.Mahdi 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]
  • Madanchi Zaj.Mahdi A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [ Vol.12, Issue 47 - Autumn Year 1402]
  • Madanchi Zaj.Mahdi 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]
  • 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]
  • 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]
  • 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]
  • Meshki Miavaghi.Mehdi Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [ Vol.12, Issue 48 - Winter Year 1402]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • mohamadi.seyed moosa Examining the Impact of Managers' Social Capital on Bank Risks [ Vol.12, Issue 48 - Winter Year 1402]
  • 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]
  • Mohammadi Noodeh.Fazel The Impact of Perceived Portfolio Returns on Investor Decisions - The underlying psychological mechanism [ Vol.12, Issue 45 - Spring Year 1402]
  • Mohammadnezami.Alereza Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [ Vol.12, Issue 47 - Autumn Year 1402]
  • Mohammadzadeh Salteh.Heydar The Role of corporate governance culture and Investor Rights In corporate Health [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 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]
  • Mousavi.Seyed Saeb Social Capital and Financial Leverage [ Vol.12, Issue 46 - Summer Year 1402]

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]
  • Naderian.Arash Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [ Vol.12, Issue 45 - Spring Year 1402]
  • 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 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]
  • najafimoghadam.ali Threshold effect in the relationship between investor sentiment and stock market returns: a PSTR specification [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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]
  • noravesh.iraj presenting a model to optimize liquidity measures in tehran stock exchange [ Vol.12, Issue 46 - Summer Year 1402]
  • Noroozi.Majid Systemic risk assessment models: a better approach in Iranian financial institutions [ Vol.12, Issue 47 - Autumn Year 1402]

P

  • pakmaram.asgar Investor behavior and bias resulting from of financial restatement [ Vol.12, Issue 48 - Winter Year 1402]
  • 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]
  • 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]
  • Peymany Foroushany.Moslem Mutual Fund Liquidity Risk Management Tools [ Vol.12, Issue 47 - Autumn Year 1402]
  • PO0RZAMANI.ZAHRA Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [ Vol.12, Issue 48 - Winter Year 1402]

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.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]
  • 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]
  • 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]
  • 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 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 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]
  • 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]
  • 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 Prioritization of stock price bubble measuring factors with a behavioral approach [ Vol.12, Issue 46 - Summer Year 1402]
  • ramezani.JAVAD comparative study of dynamic performance of investment according to method (garch)and kalman filter [ Vol.12, Issue 45 - Spring Year 1402]
  • 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.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]
  • 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]
  • 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.mostafa A model for continuing the activity and diagnosing the health of manufacturing companies in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]
  • 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]
  • rostamkhani.hosein Optimal short-term prediction of initial supply yields using bat and random forest algorithms [ Vol.12, Issue 45 - Spring Year 1402]

S

  • 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]
  • 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]
  • 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]
  • Salehi.صالحی Impact of Environmental Uncertainty on on speed of adjustment to target leverage [ Vol.12, Issue 46 - Summer Year 1402]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]
  • Shabgoo Monsef.Seyed Mahmoud Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • Shahriari.Alireza Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • 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]
  • 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.Kourosh Glibalization and its impact on foreign direct investment in developing and develoed countries [ Vol.12, Issue 45 - Spring Year 1402]
  • 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]

T

  • 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]
  • 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]
  • 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]
  • Taheri Tolu.Masumeh Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [ Vol.12, Issue 46 - Summer Year 1402]
  • taherinia.masoud A model for continuing the activity and diagnosing the health of manufacturing companies in Iran [ Vol.12, Issue 45 - Spring Year 1402]
  • Tahmasebi.Abdolreza The Impact of Performance Criteria on Brand Value In the automotive industry [ Vol.12, Issue 47 - Autumn Year 1402]
  • Talebi.Reza Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [ Vol.12, Issue 47 - Autumn Year 1402]
  • 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]
  • 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 Designing target leverage model over the life cycle of the company [ Vol.12, Issue 45 - Spring Year 1402]
  • TAVAKOL.MORTEZA Future scenarios of the banking industry [ Vol.12, Issue 46 - Summer Year 1402]
  • 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]
  • 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]

V

  • 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]
  • 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]

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]
  • 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]
  • 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 Presenting a crowdfunding risk model in fintech-based businesses. [ Vol.12, Issue 46 - Summer Year 1402]
  • 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 Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [ Vol.12, Issue 46 - Summer Year 1402]
  • 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

  • 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]
  • 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]
  • zare.hamid Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [ Vol.12, Issue 47 - Autumn 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 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]