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 Investigating the key success factors of BOT method in financing service projects and presenting an operational model [ Vol.12, Issue 47 - Autumn 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]
  • 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 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]
  • 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]
  • 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]