Kaab Umair.Ahmad
Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test
[
Vol.12,
Issue
46
- SummerYear
1402]
Kamarei.Hadi
Designing a quality model of integrated marketing communications for specialized banks in Iran
[
Vol.12,
Issue
45
- SpringYear
1402]
karami.gholamreza
Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran
[
Vol.12,
Issue
47
- AutumnYear
1402]
keramati.mohammadali
Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability
[
Vol.12,
Issue
48
- WinterYear
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
- SummerYear
1402]
Keyghobadi.Amirreza
Designing target leverage model over the life cycle of the company
[
Vol.12,
Issue
45
- SpringYear
1402]
khademi.maryam
Designing mobile Messenger networks to develop debt markets
( Case study : Ministry of Economic Affairs and Finance )
[
Vol.12,
Issue
45
- SpringYear
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
- WinterYear
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
- SummerYear
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
- SpringYear
1402]
Khalilpour.Mehdi
comparative study of dynamic performance of investment according to method (garch)and kalman filter
[
Vol.12,
Issue
45
- SpringYear
1402]
Khamseh.Abbas
Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment
[
Vol.12,
Issue
47
- AutumnYear
1402]
khanmohammadi.mohammadhamed
A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios
[
Vol.12,
Issue
48
- WinterYear
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
- WinterYear
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
- SummerYear
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
- SummerYear
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
- SummerYear
1402]
khodarahmi.behroz
Optimal short-term prediction of initial supply yields using bat and random forest algorithms
[
Vol.12,
Issue
45
- SpringYear
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
- WinterYear
1402]
kordlouie.hamidreza
Prioritization of stock price bubble measuring factors with a behavioral approach
[
Vol.12,
Issue
46
- SummerYear
1402]
kordlouie.hamidreza
Accepting Financial Transactions using Blockchain Technology and Cryptocurrency: A Customer Perspective Approach
[
Vol.12,
Issue
46
- SummerYear
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
- AutumnYear
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
- WinterYear
1402]
Kordlouie.Hamidreza
Systemic risk assessment models: a better approach in Iranian financial institutions
[
Vol.12,
Issue
47
- AutumnYear
1402]
Koushki.Amir Ali
Providing a model of value creation with customers in the banking industry from a phenomenological perspective
[
Vol.12,
Issue
45
- SpringYear
1402]