List of Articles بازده سهام Open Access Article Abstract Page Full-Text 1 - The relationship between Conditional conservatism of accounting and The Stock Price Crash Risk Omid Farhad Touski Rahman doostian Open Access Article Abstract Page Full-Text 2 - Investigating the Relationship between Conservative and Negative Skewness of Stock Returns with Emphasis Debt Maturity in the Life Cycle Mohammad Hossein Asadi Moshizi Zohreh Hajiha Sayedeh Mahboubeh Jafari Open Access Article Abstract Page Full-Text 3 - Application of DEA in the calculation of consolidated index of stock liquidity (evidence of Tehran Stock Exchange) Azar Yaghoubi Khankhajeh azita jahanshad Open Access Article Abstract Page Full-Text 4 - The Relationship between Holding Periods for Common Stocks with Bid-Ask Spread, Market Value of the Firm and Return Volatility in Tehran Stock Exchange علی جعفری مهسا هنرمند حمید ذوالفقاری امیر رسائیان Open Access Article Abstract Page Full-Text 5 - Analyzing risky and no risky approach of investment opportunities levels on share return prediction ability Leila Shirnejhad sina kheradyar ebrahim chirani Open Access Article Abstract Page Full-Text 6 - Evaluating stock returns using a combination of multi-factor pricing model for capital assets and the function of penalty in Tehran Stock Exchange market and its comparison with five factors Fama and French Model Aliakbar Farzinfar 10.30495/jfksa.2023.21899 Open Access Article Abstract Page Full-Text 7 - Explaining Stocks’ Return Based on Prospect Theory Fatemeh Ghadimi Afsaneh Soroushyar Open Access Article Abstract Page Full-Text 8 - Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating zohreh Hajiha Aiob Ghorbani Open Access Article Abstract Page Full-Text 9 - Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange Abbas Shami yusef tagipourian mehdi maranjory Reza Fallah Open Access Article Abstract Page Full-Text 10 - Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns Neda Rezaei asgar pakmaram Rasoul ABDI yaghoub aghdam mazraeh Open Access Article Abstract Page Full-Text 11 - The Impact of Management Overconfidence on Value Creation and Stock Return Risk Amir Faridnia Behrooz Eskandarpoor Open Access Article Abstract Page Full-Text 12 - Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange Mohammad hasan ebrahimi sarvolia Mir feyz fallahshams Mohamad jafar meykade Meysam alimohammadi Open Access Article Abstract Page Full-Text 13 - Investigation of Effect Market Return on Stock Return Hosseyn Mohammadpour Zarandi Mahmoud Nikzad Kourosh Shayan Open Access Article Abstract Page Full-Text 14 - Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk Zahra Dianati Dilami Mehdi Moradzadeh Fard Saeed Mahmoudi Open Access Article Abstract Page Full-Text 15 - Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange Zahra Pourzamani Open Access Article Abstract Page Full-Text 16 - Investigating the Impact of Social Responsibility and Liquidity Risk of Company Stocks on Fluctuations in Stock Returns in Companies Listed on Tehran Stock Exchange seyed ali hosseini sara razani 10.30486/fbra.2021.1942863.1040 Open Access Article Abstract Page Full-Text 17 - تأثیرنقدشوندگی سهام برعملکردشرکتوریسک سقوط قیمت سهام بهزاد خدایی مهدی بشکوه Open Access Article Abstract Page Full-Text 18 - Good fit of new models of stock return forecasting using conditional dual beta Hossein Aboutalebi mohsen dastgir Qplamreza Soleymani Amiri Open Access Article Abstract Page Full-Text 19 - The effect of Firm Investment on Future volatility of Stock Returns by Considering the Moderating Effect of Accounting Conservatism Mehdi Haghighat shahrestani Mohsen Dastgir Afsaneh Soroushyar Open Access Article Abstract Page Full-Text 20 - The Effect of Capital Productivity Management on Capital Asset Pricing Models with a Focus on Life Cycle ali alimohammadpour ali zabihi khosro Faghani Makrani 10.30495/qjopm.2020.671975 Open Access Article Abstract Page Full-Text 21 - Investigating the Relationship Between Profitability Ratio, Capital Structure and the Rate of Stock Return majid bagherzadeh khajeh Asghar Feyzi Open Access Article Abstract Page Full-Text 22 - The Effect of Working Capital Management indicators on Firm Value and Stock Return Volatility mohamad mohamadi Open Access Article Abstract Page Full-Text 23 - The effect of CEO narcissism on stock returns Shahnaz Mashayekh mahmood Hasanzade Kuchou Raheleh Mirzaei Beirami Malihe Habibzade Open Access Article Abstract Page Full-Text 24 - Stock price modeling and forecasting using meta-heuristic ant colony algorithm seyed javad kiaei zahra Farshadfar 10.71848/jcma.2024.997350 Open Access Article Abstract Page Full-Text 25 - The Impact of Abnormal Stock Returns on Future Volatility of Stock Returns Mohammad Alavi Sheshtamed Hamidreza Vakili Fard Amir Reza Keyghobadi Open Access Article Abstract Page Full-Text 26 - The role of stock market confidence indicators in the conditions of financial uncertainty and uncertainty of economic policies and its shock on stock returns seyedeh narjes shirmardi majid sameti حسین شریفی رنانی https://doi.org/10.71818/ecj.2024.1062445 Open Access Article Abstract Page Full-Text 27 - رهیافت مدل احتمال مبادله آگاهانه در بررسی اثر عدمتقارن اطلاعات بر بازده سهام و حجم معاملات در شرکتهای منتخب بورس اوراق بهادار تهران غلامرضا زمانیان ام البنین جلالی علی کردی تمندانی Open Access Article Abstract Page Full-Text 28 - تأثیر شوکهای پایه پولی بر بازده قیمتی سهام شرکتهای فعال بورسی (رویکرد DSGE) میثم کاویانی پرویز سعیدی حسین دیده خانی سید فخر الدین فخر حسینی Open Access Article Abstract Page Full-Text 29 - Analysis of stock returns response to non-systematic risk torque measurement models with a simultaneous role of arbitrage constraints and limited investor رقیه طالبی مجید زنجیردار محمدرضا پورفخاران DOI: 10.30495/FAAR.1403.1073177 Open Access Article Abstract Page Full-Text 30 - سودمندی رگرسیونهای تجمیعی و روشهای انتخاب متغیرهای پیشبین بهینه در پیشبینی بازده سهام محمد حسین ستایش مصطفی کاظم نژاد Open Access Article Abstract Page Full-Text 31 - بررسی اثر نوفهها بر کاهش ضریب واکنش به سود حسابداری وحید احمدیان حسین اعتمادی محمد علی آقایی نادر مهرگان Open Access Article Abstract Page Full-Text 32 - رابطه بین کیفیت سود (پراکندگی سود) و بازده سهام محسن دستگیر احمد گوگرد چیان ستاره آدمیت Open Access Article Abstract Page Full-Text 33 - Effects oF Accruals Qulity on Conditional Volatility سلاله فیض اللهی کسینی مریم لشکری زاده Open Access Article Abstract Page Full-Text 34 - رابطه محدودیت آربیتراژ با ناهنجاری رشد داراییها در شرکتها موسی بزرگ اصل محمد مرفوع مهران عربی Open Access Article Abstract Page Full-Text 35 - The Relation between Firm Size and Stock Return Volatility in Different Capital Market Conditions Shahnaz Mashayekh Nasim Harraf Amughin Open Access Article Abstract Page Full-Text 36 - تأثیر کیفیت افشای اطلاعات و عدم تقارن اطلاعاتی بر نوسان پذیری بازده سهام با استفاده از سیستم معادلات همزمان امیررضا کیقبادی شادان صدیق بهزادی سعید طهماسبی خورنه سمیرا سیف Open Access Article Abstract Page Full-Text 37 - تاثیر متغیرهای کلان اقتصادی بر ریسک و بازده کل سهام با تاکید بر مدل بازده سهام – تورم رویا دارابی ملیحه علی فری Open Access Article Abstract Page Full-Text 38 - The Impact of Macroeconomic Indicators on Stock Returns Fluctuations Hadi Mahboubi Marjan Damankeshideh Houshang Momeni Shahriyar Nessabian 10.30495/faar.2023.705564 Open Access Article Abstract Page Full-Text 39 - Dividends and growth opportunities related variables impact on the quality of financial reporting and the volatility of stock returns فرزانه Heydarpur سمیه Zarerafie Open Access Article Abstract Page Full-Text 40 - Financial Derivatives Instruments (Option and Embedded equity put option) and stock return synchronicity: Evidence from the Iran Capital Market Ali Mehrnoosh Ali jafari Seyed Hossein Nasl Mousavi Open Access Article Abstract Page Full-Text 41 - Study of Effects of Financial Information on Stock Price Momentum in Winning and Losing Portfolios Using Data Mining Methods: Neural Networks and Decision Trees hamid bodaghi razvan hejazi Mohammadreza Mehrabanpour Open Access Article Abstract Page Full-Text 42 - The Probability of Informed Trading Criterion in measuring the information asymmetry risk and ranking of Tehran Stock Exchange companies Hamidreza Korditamandani Gholmreza Zamanian Madjid Hatefi Madjumerd Open Access Article Abstract Page Full-Text 43 - Implied Equity Duration and Excess Stock Return: The Evidence from Tehran Stock Exchange Afsaneh Soroushyar Hossein Kazemi Gavarti Open Access Article Abstract Page Full-Text 44 - The relationship between different levels of management ownership, free floatation, stock return volatility and age of the company with stock prices synchronization Zabihallah Khani masuom abadi Hossein Rajabdorri sara motamed Open Access Article Abstract Page Full-Text 45 - Comparison of Signaling the Types of Profit and Their Impacts on Excess Stock Returns Atiyeh Alikhani Afsaneh Soroushyar 10.30495/jdaa.2023.699867 Open Access Article Abstract Page Full-Text 46 - The effect of macroeconomic variables on total efficiency of the securities market Approach using state - space A. Hortamani M. Karimkhani M. Abdoli Open Access Article Abstract Page Full-Text 47 - Forward-looking disclosure and corporate reputation as mechanisms to reduce stock return volatility Mohammad Kiamehr Ehsan Kermani Ali Norouzi 10.71965/AFT.2024.1104658 Open Access Article Abstract Page Full-Text 48 - A Bibliometric Analysis: Evaluation of Scientific Studies of Modern And Traditional Financial Markets (Case Study of Cryptocurrency Market And Stock Market) Ali Reza jorjor zadeh tayebeh darvishpoor Nader Khedri هوشنگ امیری