A

  • 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 The role of organizational risk management in the money laundering risk of organizations [ Vol.13, Issue 51 - Autumn 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 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]

B

  • 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]
  • 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]
  • 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]
  • 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]
  • Banimahd.Bahman Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • banitalebi.sadegh The Impact of Optional Disclosure of Asset Sales on the Financial Performance [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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]
  • Bidi.Ahmad Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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

  • Chamani.Omid Ali Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • Chenari.Hassan Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]

D

  • dadashi.iman The effect of cash flow classes on the speed of adjustment of capital structure [ Vol.13, Issue 50 - Summer 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 Evaluation of the effect of financial policies on Capital Market investment in financial friction [ Vol.13, Issue 49 - Spring Year 1403]
  • dehbashi.Masoumeh Examining the impact of the Corona epidemic on the capital market price index in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • delkhah.jalil Credit rating modeling of pharmaceutical companies in Iran [ Vol.13, Issue 52 - Winter Year 1403]

E

  • ebrahimi.ebrahim Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • edalatpanah.seyed ahmad The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • eslami.seyed mahmod Institutional Policy of Foreign Investment in the Framework of Multilateral and Regional Investment Treaties [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]

F

  • Fadaei Eshkiki.Mehdi Dynamic analysis of factors affecting capital management in Iran's agricultural sector [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • Faghani Makrani.khosro The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • Fallah pour.Saeed Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • farsad amanollahi.gholamreza Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange [ Vol.13, Issue 50 - Summer Year 1403]
  • fatahi.hamid investing in start-ups in order to achieve a resilient economy and economic defense [ Vol.13, Issue 49 - Spring Year 1403]
  • fathi.Zadollah Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [ Vol.13, Issue 51 - Autumn Year 1403]
  • foroush bastani.ali Portfolio VaR Modelling using EVT-Pair-Copulas Approach [ Vol.13, Issue 49 - Spring Year 1403]

G

  • 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]
  • 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]
  • 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]
  • 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]
  • 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.Hassan Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ 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 A model for strengthening banks with approach of antifragility to financial crises [ 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]
  • gholizadeh.mohammadhasan Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • goodarzi.arash Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • Gorji.Mohammadbagher Design and validation of an integrated marketing communication model in Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]

H

  • Hajiha.Zohreh Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]
  • 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 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]
  • 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]
  • 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]
  • Hematfar.Mahmmoud Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • Hoseinalinezhad.Morteza Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]

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]

J

  • 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]
  • Jabbari.Hossein Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • Jahanbakhsh Qarebaghi.Hamid The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]
  • 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 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]
  • 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 Hassan Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]

K

  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 Explaining the credit rating model in the investment industry [ Vol.13, Issue 50 - Summer Year 1403]
  • 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 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]
  • 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 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 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]
  • 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]
  • Khosravipour.Negar 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]
  • Kiamehr.Ali Explaining the Role of Investors' Sentiment in Capital Asset Pricing [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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 Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [ Vol.13, Issue 49 - Spring Year 1403]

L

  • 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]

M

  • 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]
  • Madanchi Zaj.Mahdi Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [ Vol.13, Issue 49 - Spring Year 1403]
  • Madanchi Zaj.Mahdi 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]
  • mahdavi panah.hassan Analysis of the impact of Fintech on the financial inclusion in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • majidi.maryam Model of Resilience of Free Zones in Promotion of National Economy of Iran [ Vol.13, Issue 49 - Spring Year 1403]
  • 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.Mohammadhasan A model for strengthening banks with approach of antifragility to financial crises [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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]
  • Mashhadizadeh.reza Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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]
  • 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]
  • memarnejad.abbas Capital Formation and Corporate Governance, Inter-country Approach [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • 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]
  • 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]
  • 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 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 Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • mohammadipour.rahmatollah Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • mohammadrezai.masoumeh Topological analysis of accounting risks based on network theory [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • montazer.gholamali Analysis of the impact of Fintech on the financial inclusion in Iran [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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 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]
  • Mousa Khani.Morteza Validating the network policy making model in the field of digital banking in Iran [ Vol.13, Issue 50 - Summer Year 1403]
  • mousavi.nemat alah Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]

N

  • Naghshineh.Nader Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • Naslmosavi.Seyedhossein Investigating the Effect of Investors' Behavioral Tendencies on Stock Market Liquidity: (Quantile Regression Approach) [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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]
  • 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]
  • noravesh.iraj Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • noroozi.behnaz The impact of government expenditure and stock market on income distribution in selected MENA countries [ Vol.13, Issue 50 - Summer Year 1403]

O

  • 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]
  • 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]

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]
  • 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 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 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]
  • 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 Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • Partovy.Ebrahim A model for strengthening banks with approach of antifragility to financial crises [ Vol.13, Issue 50 - Summer Year 1403]
  • peykarjoo.kambiz Examining The Financial Engineering Approach’s Ability In Measuring Financial Distress [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • Pirzad.Ali Investigating the effect of underreaction and overreaction on Iran's capital market risk [ Vol.13, Issue 52 - Winter Year 1403]

R

  • 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]
  • 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]
  • 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]
  • Rahnamay Roodposhti.Fraydoon Presentation model of financial resilanse in finanacial technology business based on risk [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • 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]
  • Rezaee.Ebrahim The impact of government expenditure and stock market on income distribution in selected MENA countries [ Vol.13, Issue 50 - Summer Year 1403]
  • 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.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.Nader Modeling the default correlation risk in the financial network based on the reduced model [ Vol.13, Issue 49 - Spring Year 1403]
  • 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 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]
  • ROSTAMI.VAHAB Biorhythm and cognitive function of investors In the stock market [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]

S

  • 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]
  • 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]
  • 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]
  • 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]
  • salarian.mohammad amin An overview of contractual methods of financing energy projects with emphasis on Project revenues [ Vol.13, Issue 51 - Autumn Year 1403]
  • Saleh Ardestani.Abbas Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • sedaghati.samad Contagious topological dynamics in the Iranian stock market [ Vol.13, Issue 49 - Spring Year 1403]
  • sedaghatyfard.morteza Biorhythm and cognitive function of investors In the stock market [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • Sepehri.Ali Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [ Vol.13, Issue 50 - Summer Year 1403]
  • 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]
  • shahab.mohamadreza The role of tax based on financial transactions in increasing government revenue [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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

  • 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]
  • 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]
  • 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]
  • Taherikia.Fariz Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [ Vol.13, Issue 49 - Spring Year 1403]
  • tahmooresi.zahra Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • talebniya.ghodratalah Developing a model of abnormal audit report lag: origins and consequences [ Vol.13, Issue 52 - Winter Year 1403]
  • tehrani.reza Investigating factors affecting auditors' behavioral bias with a combined method [ Vol.13, Issue 52 - Winter Year 1403]
  • tehrani.reza Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]
  • 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]

V

  • vakilifar.hamidreza Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [ Vol.13, Issue 51 - Autumn Year 1403]
  • 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]
  • 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]

Y

  • 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.Shohreh Explaining the credit rating model in the investment industry [ Vol.13, Issue 50 - Summer 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 Designing a resilience model for financial technology businesses with a structural equation approach and qualitative techniques [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]

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]
  • ZARE.ALI Analysis of capital increase of public joint stock companies in Iranian law. [ Vol.13, Issue 52 - Winter Year 1403]
  • 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]
  • zolfagharkhani.nasrin Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [ Vol.13, Issue 49 - Spring Year 1403]
  • 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]