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  • Risk
    • List of Articles Risk

      • Open Access Article
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        1 - The Effect of Working Capital Adjustment Speed on Reducing the Risk of Bankruptcy by Considering the Entity Risk Management Effectiveness
        Vahab Rostami Mehdi Mohammadi Hamed Kargar
      • Open Access Article
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        2 - The Effect of Business Risk Management on the Relationship between Operational Cash Transparency and Stock Price Crash Risk
        Farshid Ahmadi Farsani
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        3 - Social marketing modeling of cultural products with emphasis on risk management in the municipality
        Saied Aghasi masood mokhtarikarchegani محمدرضا دلوی
      • Open Access Article
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        4 - Mediating Role of Financial Risk Aversion on the Relationship between Personality Characteristics of Senior Managers and Corporate Financial Distress with Futures Research Approach
        khodamorad Ghani Dehkordi hamidreza jafari dehkordi jamshid peyke falak
        10.30495/jmfr.2022.58673.2380
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        5 - The prediction of Bankruptcy Risk Investigation Using Artificial Neural Networks Based on Multilayer Perceptron Approach (Empirical Evidence: Tehran Stock Exchange)
        Somayeh Saroei Hamid Reza Vkili Fard Ghodratolah Taleb Nia
      • Open Access Article
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        6 - The relationship between Prospectors strategy and the stock price crash risk with the role of overvalued equities
        mohammad hossein ranjbar Hossein Rajabdorri
      • Open Access Article
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        7 - Prediction of Banking Distress and Contagion of Crisis in the Banking Network (With Application of Linear and Non-Linear Hybrid Approach)
        Ahmad Bidi Feraydoon Rahnamay Roodposhti Reza Gholami Jamkarani hamidreza kordlouie Morteza Baky Heskouii
      • Open Access Article
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        8 - Assessment and Presentation of a Proper Paradigm to Identify, Measure, and Control Financial Risks in Financial and Credit Institutions (Case Study of Mellat Bank)
        M. Taghavi M. Khodaei Valahzaghard
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        9 - Introduction and Testing of the Application of a Risk-Based Model in Operational Auditing
        H. R. Vakilifard M. Salahinejad
      • Open Access Article
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        10 - Portfolio Optimization Using Markowitz’s Mean-Semi Variance Method on Tehran Stock Exchange
        F. Heibati R. Haddadzadeh
      • Open Access Article
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        11 - Developing a Decision Support System for Enterprise Risk Management in Tanavar Co.
        Narges Nemati Sina Nematizadeh
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        12 - The Investigation of Cash Flow Volatility on Systematic Risk in Accepted Companies in Tehran Stock Exchange
        Younes Badavar-Nahandi Hossein Bevrani Hamzeh Abravan
      • Open Access Article
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        13 - Emergency Facilities Location Modeling Development In Transportation Network
        S.M. Seyed Hosseini M. Allahgholizadeh Azari
      • Open Access Article
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        14 - Estimating Portfolio Market Risk Based on Value at Risk (VaR)
        M. Khalili Araghi S. Hashemi
      • Open Access Article
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        15 - Design and Implementation of an Appropriate Model for Allocating Bank Loans
        M. E. Mohammad Pourzarandi M. Minouei H. Nikoomaram
      • Open Access Article
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        16 - Application of MPT & PMPT in Evaluation of Risk ( Financial-Marketing Approach to Iran Cement Industry )
        H. R. Vakilifard J. Barzigar
      • Open Access Article
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        17 - Investigating the Effect of Risk Management on the Risk of Stock Price Falls with Emphasis on the Role of General Management of the Company
        seyed hesam vagfi kobra Zargar
      • Open Access Article
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        18 - Designing and explaining the human resource risk management model of Iranian government organizations
        amir hossien amir khani mehdi ebrahimifar reza najari mojtaba rafiei
      • Open Access Article
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        19 - The role of political-cultural factors as undesirable risk reducing factors in the petrochemical industry
        jehad barzigar
      • Open Access Article
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        20 - Identification and Assessment of Key Political Risk Factors Influencing Corporate Performance of International Construction Companies in North- Eastern (NE), Nigeria
        John Adebiyi abriel Sanni
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        21 - Comparison of food intake groups, dietary oxygen radical absorbance capacity (ORAC), and their relationship with atherogenic indices of plasma in patients with metabolic syndrome and healthy individuals
        Mohammadreza Esfehani Farzad Eidi Ariyo Movahedi
        10.30495/fh.2022.66679.1104
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        22 - Credit rating of the bank legal customers by using the improved modified Russell model (Case study: the legal customers of Arak Melli Bank)
        M. izadikhah M. shamsi
      • Open Access Article
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        23 - Evaluating and classifying the insurers risk in the insurance industry using data envelopment analysis
        Seyyedeh Nasim Shobeiri Mohsen Rostamy- Malkhalifeh Hashem Nikoomaram Mohammadreza Miri Lavasani
      • Open Access Article
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        24 - Credit Risk Test Stress Model of the Banking Industry under Macroeconomic Scenarios
        mohsen Ziaee Bidhendy Mehrzad Minooee Mirfaz Fallah shams
      • Open Access Article
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        25 - Portfolio Optimization Based on Cross Efficiencies By Linear Model of Conditional Value at Risk Minimization
        K. Yakideh M.H . Gholizadeh M. Kazmi
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        26 - Three steps method for portfolio optimization by using Conditional Value at Risk measure
        S. Navidi sh. Banihashemi M. Sanei
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        27 - The Effect of National Culture On Banks’ Bankruptcy Risk: An International Study
        Behnam Koohestani بهمن بنی مهد
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        28 - Identifying and prioritizing financing management methods in the face of environmental risks
        Abbas Vasheghani Farahani Reza Tehrani mojtaba mirlohi
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        29 - The relationship between Conditional conservatism of accounting and The Stock Price Crash Risk
        Omid Farhad Touski Rahman doostian
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        30 - Providing a decision support system to assess the credit risk of real bank customers
        Sirous Azizollahi Mahdi Madanchi Zaj Ghasem Mohseni Mehrdad Hosseini Shakib
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        31 - Analyzing the systemic risk of banking industry by using EMD and GRA based on the dynamic complex network approach.
        ali NAMAKI Hadis Khalili
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        32 - Identifying the factors affecting financial resilience of entrepreneurial business with risk management approach using fuzzy ANP method
        mehdi amini فریدون رهنمای رودپشتی Habib Amirbeyki Langroudi ali badizadeh
      • Open Access Article
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        33 - Investigating the mechanism of systemic liquidity risk transmission of corporate stocks in capital market of Iran
        Seyed Hamid Reza Sadat Shekarab Fraydoon Ohadi صیقلی seighaly Mirfaze Fallah Shams
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        34 - Predicting Financial Contagion from Generating shock in Investment Institutions Activated in Capital Market due to Overlapping Portfolios Risk
        Alireza Rayati Shavazi Abbas Rezaei Pandari
      • Open Access Article
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        35 - Dynamic correlation between oil price, financial transparency and stock crash risk; using the Panel VAR model
        zahra taleii Mohammad Reza Pourali Seyed Fakhreddin Fakhrhossseini
      • Open Access Article
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        36 - Estimation of tail Risk measures in Tehran Stock Exchange Using Generalized Multi-Dimensional Autoregressive Ranking Approach (DMS-GAS)
        Seyed Ali Mousavi Sarhadi Hosein Izadi mojghan safa Mohammadreza pour Fakharan
      • Open Access Article
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        37 - Modeling the role of financial risk management in financial derivative instruments with the CATWOE strategic approach
        akbar rezvani bita tabrizian hashem nikomaram فریدون رهنمای رودپشتی
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        38 - Presenting a Risk Management Model for The Use of Cryptocurrencies in Iran
        Mostafa Aref jafar jamali Heidar Foroughnejad
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        39 - Expanding the Network Process of Assessing Financial Stability and Risk in Capital Market based on MES and CoVaR
        Zahra Jafari Rahim Bonabi Ghadim Rasoul Abdi
      • Open Access Article
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        40 - Investor Sentiment, Left tail Risk & Cross-sectional Stock Return
        Maryam Davalo Raha Behmanesh
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        41 - Brand Capital and Stock Price Crash Risk: evidence from firm’s Reputation Protection Incentive
        Khonaka Abdolkhalegh Abolfazl Momeni Yanesari Ali Kamizi
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        42 - The Role of Time in Modeling Systematic and Unsystematic Risks in the Capital Market
        Fatemeh Ragh Mahdi Madanchi Zaj Hossein Panahian
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        43 - The Relationship between Stock Price Synchronicity and Stock Crash Risk in Tehran Stock Exchange
        Mehdi Alinezhad Sarokolaei Reza Taheri Abed
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        44 - The effect of corporate governance on financial risk of Iranian holding companies
        Saeid Khodamoradi mohammad abrahim Raei Ezabadi
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        45 - The Effect of Liquidity Risk and Credit Risk on Financial Stability Banking industry in Iran; Multiple regression approach
        Moosa Bozorg Asl Farrokh Barzideh Mohammad Taghi Samadi
      • Open Access Article
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        46 - Survey on the Fisibility of Substitution Catastrophe Securitization and Current Reinsurance in Iranian Insurance Industry
        Kambiz Peykarjou hanieh davodi
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        47 - Extraction of a Mathematical Capital Asset Pricing Model within the Framework of Mental Accounting
        Mohammadreza Ola Hashem Nikoomaram Azita Jahanshad Zahra Pourzamani
      • Open Access Article
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        48 - Estimating Conditional VaR Using Symmetric and Non-Symmetric Autoregressive Models in Old and Oil Markets
        Saeid Fallahpour Fatemeh Rezvani Mohammadreza Rahimi
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        49 - Asset Pricing Model On The Basis Of Liquidity Risk Factor
        M. Ali Khojasteh Reza Tehrani
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        50 - The Impact of Financial Risk on the Efficiency in the Tehran Stock Exchange Companies
        Amir Hossein Erza Farnaz Seifi
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        51 - Role of psychological factors and awareness on the intention to invest With Emphasis on the mediate role of perceived risk of Customers of Investment Services
        Amir Reza Konjkave Monfared1 Saeid Fathi Bahram Ranjbarian
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        52 - 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
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        53 - The role of Liquid-claims, free cash flow and capital structure in optimizing financial leverage (Case study: Iran's Capital Markets Banking Industry)
        Masomeh Azarnia Abd-Almajid Dehghan Ali Nobari Tabrizi
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        54 - Investigation the Impact of Business Strategy, Overvalued Equity on Stock Price Crash Risk
        A. Heidarzadeh Hanzaee Gh. Hosseinzadeh Zorofchi
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        55 - Investigation on relation between information asymmetry and liquidity via market microstructures model in Tehran Stock Exchange
        Reza Raei Reza Eivazlu Amir ali Abbaszadeh Asl
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        56 - A framework for measuring and predicting system risk with the conditional value at risk approach
        Ja'far Baba Jani M. Taghi Taghavi Fard Amin Ghazali
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        57 - Investigation equity risk premium puzzle in Iran’s economy usingGMM estimation in the S-CCAPM model
        Azam Mohammadzadeh Mohammad NabiShahiki Tash Reza Roshan
      • Open Access Article
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        58 - Estimating the Investment Risk in a Digital Currency Portfolio and Optimizing it Using Value at Risk
        Ahmad Aghamohammadi Fereydoon Ohadi Mohsen Seighaly Bahman Banimahd
      • Open Access Article
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        59 - Fuzzy Mean-CVaR Portfolio Selection Based on Credibility Theory
        S. Babak Ebrahimi Amirsina Jirofti Matin Abdi
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        60 - Risk Measurement in Value at Risk (VaR): Application of Levy GARCH models (Study of Chemical industries in Tehran Stock Exchange)
        hossein amiri mahmood najafi nezhad mohammad sayadi
      • Open Access Article
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        61 - Examine the relationship between financial risk tolerance and investment properties (financial intelligence, skills, financial management, wealth) based on native Donald- Case Study of the Tehran Stock Exchange
        Saeid Aghasi Ehsan Aghasi Sahar Biglari
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        62 - Portfolio optimization with differential evolution and conditional value at risk approach
        Shahin Ramtinnia Romina Atrchi
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        63 - The Relation between Characteristics of Predicted Earnings per Share by Management and Risk and Firm Value in Terms of Future Decision-Making
        فرزانه حیدرپور زیبا خواجه محمود
      • Open Access Article
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        64 - Risk modeling in the stock exchange with the approach of nonlinear Bayesian models-time-varying parameters
        Fatemeh Ragh Mahdi Madanchi Zaj Hossein Panahian
        10.30495/jfksa.2023.22610
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        65 - Estimate & Simulation of Correlated Default Risk with Use Stochastic Intensity Model
        کریم نوروزی پور حسن داداشی مهدی محمدی
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        66 - Financial Statement Comparability and Expected Stock Price Crash Risk
        Zohreh Hajiha hasan Chenari Bouket
      • Open Access Article
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        67 - Evaluation of factors affecting price earnings ratio of listed companies in Tehran Stock
        سیدعلیقلی روشن ابوالفضل آرین سید حسن حسینی کامبیز نوابی زند علی دریکنده
      • Open Access Article
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        68 - The impact of structural dependence on the efficient frontier of portfolio changes and comparison with traditional methods in Tehran Stock Exchange (Copula functions)
        Mehdi Salehi Samaneh Zamani Moghaddam
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        69 - The relationship between financial distress risk and momentum anomaly in Tehran stock exchange
        Hamidreza Vakilifard Meysam Ahmadvand Mohammadjavad Sadehvand
      • Open Access Article
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        70 - Analyzing risky and no risky approach of investment opportunities levels on share return prediction ability
        Leila Shirnejhad sina kheradyar ebrahim chirani
      • Open Access Article
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        71 - Investigation of the role of psychological and performance factors on willingness to invest in stock market with mediating role of investor satisfaction and perceived risk of investors
        Soleil Jafari mansour garkaz Parviz Saeedi alireza matoufi
      • Open Access Article
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        72 - Investigating different methods of estimating tail risk measures with generalized Pareto distribution in Tehran stock exchange
        Eisa Mahmoudi Najme Dehqani Hojjatollah Sadeqi
      • Open Access Article
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        73 - Credit Risk Modeling of Bank's Credit Portfolio (Case Study: Refah Bank)
        Mohammad Saeed Haidary Seyed Babak Ebrahimi Negin Mohebbi
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        74 - A Model of Secondary Mortgage Market ; Suit the Requirements of Iran (As one of the substrates required for credit risk management in money market)
        سجاد سیاح محمد صفری
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        75 - بررسی تأثیر عامل حساسیت سهامداران، ویژگی های سهام شرکت ها و اثر مومنتوم بر بازده سهام و عملکرد مالی شرکت های پذیرفته شده در بورس اوراق بهادار تهران
        Davood Hamzeh Maryam Khalili Araghi Kambiz Peikarjoo
      • Open Access Article
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        76 - Effect of Different Levels of Corporate Risk Disclosure on Investors' Perceptions
        MohammadHossein Labibzadeh حجازی Hejazi allahkaram salehi Farshin Hormozi
        10.30495/jfksa.2022.20590
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        77 - Deviation from normal distribution and its impact on the differential value at risk
        Hojatollah Sadeghi Samaneh Dehghan Menshadi
      • Open Access Article
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        78 - Provide a model for managing psychological risk in the organization using the structural model of the ISM interpreter
        gholamreza zomorodian samaneh fathalian hamed molani aghdam
        10.30495/jfksa.2021.19252
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        79 - The relation study between Free Float with Downside Risk and Liquidity on Tehran Stock Exchange (TSE)
        فروغ رستمیان المیرا اسلامی برجلو
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        80 - Inflation Risk Management in Project Finance Investments
        Zahra Amirhosseini Bahman Gholipor
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        81 - A study of APT and Adj-CAPM Models for Forecasting Expected Return
        Z. Amirhosseini S. Mohseni Behbahani
      • Open Access Article
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        82 - Risk Analysis & Financial Evaluation in Power Plant BOT
        Faramarz Nouri Parastoo Mohammadi Esmaeil Vassaf
      • Open Access Article
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        83 - Providing a model for tail risk estimation using extreme Value mixture models (Parametric, semi-parametric and non-parametric)
        ali soori bahman esmaeili vahid nobakht
        10.30495/jfksa.2021.19253
      • Open Access Article
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        84 - Using intelligent methods in Solving Constrained Portfolio in Tehran Stock Exchange
        Esmat Jamshidi Eyni Hamid Khaloozadeh
      • Open Access Article
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        85 - Using intelligent methods in Solving Constrained Portfolio in Tehran Stock Exchange
        Esmat Jamshdi Eyni Hamid Khaloozadeh
      • Open Access Article
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        86 - Investigating the effect of default risk on explanatory power of Fama-French five factor model (Evidence from Tehran Stock Exchange)
        Shokrollah Khajavi Alireza Pourgoudarzi
      • Open Access Article
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        87 - Using Data Mining Approaches to Predict and Answer the Needs of Venture Capital
        Farshid Ghasedi Ghazvini Farshad Faezi Razi Farzaneh Heydarpour
      • Open Access Article
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        88 - Studying the relationship between default risk and momentum effect: based on evidence from firms listed on Tehran stock exchange
        Mir Feiz Fallah Sham Maysam Ahmadvand Hadi Khajezadeh Dezfuli
      • Open Access Article
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        89 - Comparing the Frechet Distribution and the Generalized Pareto Distribution in Estimating Value at Risk and Conditional Value at Risk in Tehran Stock Exchange
        Azadeh Meharani Ali Najafi moghadam Ali Baghani
      • Open Access Article
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        90 - Ranking of exchange-traded funds (ETF) And value at risk approach (EVT) based on value-generating theory (VaR) risk approach
        Gholamreza Zomorodian Maryam Sohrabi
      • Open Access Article
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        91 - Comparative Analysis of Stock Portfolio Optimization in Fireworks and Genetic Algorithms Using Conditional Value at Risk
        Ali Asghar Shahriari saeed Daei-Karimzadeh Reza Behmanesh
        10.30495/jfksa.2021.19255
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        92 - The study of effective factors on probability of default banks' credit facilities (The case study of legal customer of Export Development Bank of Iran)
        شمس اله شیرین بخش ندا یوسفی جهانگیر قربان زاد
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        93 - Liquidity Risk Management of Firms in Accordance with Sharia Through Private Deposit Funds
        Ali Rahneshin
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        94 - Designing a Model for Credit Evaluation of Legal Costumers in Banks by Using 5C Index
        Farzaneh Heidarpoor Mostafa Karzebhi
      • Open Access Article
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        95 - The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies in Tehran Stock Exchange
        Mohammad Amin Rastegar
        10.30495/jfksa.2022.19841
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        96 - Default Predicting of Facilities given to Enterprises: clients of non-bank depositary institutions
        Shadanloo Ameri Siahoee HAMIDREZA KORDLOUIE Seyed Mohammad Abdollahi Keyvani
      • Open Access Article
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        97 - The Effect of Conservative Management Tone on Risk Disclosure on Stock Price Fall: A Linguistic Approach Based on News Disclosure Tone Community Verified icon
        Ramin Mehradi Younes Badavar Nahandi mahdi zeinali rasool baradaran
      • Open Access Article
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        98 - Design and develop a model of credit risk in the banking system (Multilevel Modelling)
        Teimor Mohammadi Hadi Johari
      • Open Access Article
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        99 - The Relationship between Corporate Philanthropy and Stock Price Crash Risk with an Emphasis on Information Asymmetry
        V. Taghizadeh Khanghah Younes Badavar Nahandi
      • Open Access Article
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        100 - Presenting of nonlinear hybrid model based on Extreme Value Theory for forecasting the Conditional Value at Risk (CVaR)
        Ehsan Mohammadian Amiri Ehan Atefi Seyed Babak Ebrahimi
      • Open Access Article
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        101 - Assessing the Efficiency of the Value-at-Risk Index (VAR) using Extreme Value Theory in comparison with traditional risk assessment methods
        Mehrdokht Mozaffari Hashem Nikoomaram
      • Open Access Article
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        102 - A comparison of fundamental and historical beta in assessment of systematic risk Evidence from Tehran Security Exchange
        Hasan Ghalibaf Asl Sahar Salmalian محمود پاکباز کتج
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        103 - The relationship between risk Premium varies over time and spot prices: a case study Crude oil futures market
        Muosa Khoshkalam Rouhollah Mahdavi
      • Open Access Article
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        104 - Provide a Modifier Pattern of Capital Assets Pricing Models Using Distress Risk Model and Momentum Premium
        Mehrdad Salehi rezvan hejazi qodratallah talebnia
      • Open Access Article
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        105 - The Role of Main Indicators of Earnings Quality in Estimating Credit Risk
        reza bondari Abolghasem Masihabadi Mohammad Reza Shourvarzi
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        106 - Financial Risk Modeling with Markova Chain
        Fraydoon Rahnamay Roodposhti Hamid Vaezi Ashtiani Bahman Esmaeili
      • Open Access Article
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        107 - Evaluation of Risk Factors Affecting The Health Of Directors Of An Academic Unit Based on the Holistic Wellness
        Morteza Ghasemi Fatemeh Alianfini
      • Open Access Article
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        108 - Identification, Evaluation and Ranking of Manufacturing Risks in the Pharmaceutical Industry using the FMEA Method (Case study: Sobhan Darou Company)
        Mojtaba Moradi MohammadAli Mirzazadeh
      • Open Access Article
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        109 - Using a two-step approach of risk matrix and DEMATEL to identify and analyze the most important risks in the blood supply chain (Blood Supply Chain of Tehran)
        Ali Sibevei Adel Azar Mostafa Zandieh
      • Open Access Article
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        110 - Determining Coping Strategies with Health Tourism Supply Chain Risks (Case study: Ayatollah Yasrebi Hospital, Kashan)
        Elham Mohammadipour esmaeil MazrouiNasrabadi
        10.30495/jhm.2022.63027.10983
      • Open Access Article
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        214 - Identification, Analysis and Evaluation Risk's of Subsidiaries in Holdings
        Saeid Khanipour
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        215 - A study Of the contagion of financial helplessness and credit risk in the country's banking system
        Mohsen Shoja Veshvad Gholamreza Zomordian Mohammad Ebrahim Pourzarandi Mehrzad Minouie
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        216 - Modeling risk in accordance with the financing structure in the money market based on probabilistic decision theory
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        217 - Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach
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        218 - Effect of asset-liability management on credit risk
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        219 - Provide intelligent classification model based on perceptron artificial neural network (MLP) and hierarchical analysis (AHP) in digital marketing services to prioritize liquidity and investment risk
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        220 - Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk
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        221 - Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle
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        222 - Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange
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        223 - Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry
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        224 - Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA)
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        225 - Modeling the default correlation risk in the financial network based on the reduced model
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        226 - The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach
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        227 - Performance Assessment of a Mutual Fund Using Fractional Modeling and the Concept of Value at Risk
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        228 - The Impact of Excess Cash Holding on Liquidity Risk by Using Liu’s Theoretical framework
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        229 - Systemic risk assessment models: a better approach in Iranian financial institutions
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        230 - Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran
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        231 - The role of organizational risk management in the money laundering risk of organizations
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        232 - The Effect of CEO Power on Corporate Risk Taking using the Generalized Method of Moments (GMM)
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        233 - Assessing the various risks of the Iranian petrochemical industry
        Jehad Barzigar Mohammad Jalili
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        234 - Mutual Fund Liquidity Risk Management Tools
        seyed hossein hosseini mohammad hassan ebrahimi sarveolia moslem Peymani
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        235 - The Effects of Social Performance Indices on the Credit Risk of Iranian Banking Industry
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        236 - Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach
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        237 - Investigating the factors affecting the determination of deposit insurance premiums among Iranian banks listed on the Iranian stock exchange and OTC
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        238 - To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership
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        239 - The contagiousness of the risk of financial distress in Iranian banks with a dynamic conditional turbulence approach
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        240 - The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange
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        241 - Relationship between risk and risk - aversion utility Based on Multi-Period prospect theory
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        242 - 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
        mehdi Geraeeli Nezhad Foomeshi Seyed Ali Nabavi Chashmi rahmat alizadeh
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        243 - Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches)
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        244 - Modeling the Liquidity Risk Spillover Between Banks Accepted in the Tehran Stock Exchange Market
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        245 - Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating
        zohreh Hajiha Aiob Ghorbani
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        246 - Provide a model for measuring the effects of banking risks on the stability of the banking system
        reza mohammadi fatemeh sarraf Fraydoon Rahnamay Roodposhti Zohreh Hajiha
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        247 - The Application of Downside Risk and Arbitrage Pricing Model in Risk Assessment (Financial Marketing Approach to Iran's Petrochemical Industry)
        Jehad Barzigar Mohammad Jalili
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        248 - Investigating the relation between Balloon Analogue Risk Task and financial risk aversion; evidence from Tehran Stock Exchange
        Saeed Eslami Bidgoli Ali Setayeshi
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        249 - Mathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market
        Fatemeh Lotfaliyan Mahmud Hematfar Mohammad Hasan Janani
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        250 - Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks
        Tayebe Bakhtiarian Gholamhossein Asadi Hossein Abdo Tabrizi Teymor Mohammadi
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        251 - Explaining the Role of Investors' Sentiment in Capital Asset Pricing
        Ali Kiamehr Mohammad Hassan Janani Mahmoud Hemmatfar
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        252 - Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry)
        Farzaneh Bikzadeh Abbasi
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        253 - Design of Financial Procedure Patterns for supply Chain with Credit Coverage Approach by Agricultural Bank
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        254 - Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee.
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        255 - presenting a model to optimize liquidity measures in tehran stock exchange
        Alireza Fatemi Iraj Noravesh Farhad Hanifi Mani Sharifi
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        256 - Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries)
        Mohammad Reza Fathi Hashem Moazzez Meisam Shahbazi Masoud Ahmadzadeh
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        257 - Lending fluctuations in modeling monetary policy relationships, capital structure and banks' risk-taking
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        258 - 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
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        259 - 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
        mohammad zamani Yadollah Noorifard Ghodratollah Emamverdi mohsen hamidian Seyede Mahboobeh Jafari
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        260 - Examining the Impact of Managers' Social Capital on Bank Risks
        seyed moosa mohamadi Reza Gholami jamkarani mirfeiz fallah shams
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        261 - Portfolio VaR Modelling using EVT-Pair-Copulas Approach
        Ali Souri Saeed Falahpor Ali Foroush Bastani Ehsan Ahmadi
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        262 - Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach
        arash goodarzi reza Tehrani Ali souri
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        263 - Evaluation and ranking of market risk in infrastructure projects using integrated DEA/AHP technique
        fatemeh komaki reza fallahnejad farhad Hoseinzadeh Lotfi mohsen rostsmi malekhalifeh
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        264 - Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange
        samira olfati fereidoon ohadi hashem Niko Maram
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        265 - Impact of macroeconomic variables on unobserved systematic risk using Kalman filter
        Majid Hatef Vahid Abbas Saleh Ardestani
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        266 - Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System
        Amirhasan Ghorbani Asgar Noorbakhsh Tahmaseb Mazaheri
        10.30495/jik.2024.23255
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        267 - Designing an intelligent model to optimize the safety risk of the takeoff flight using BIM-LSTM
        mansour yahyavi Abbass toloie eshlaghi Mohammad Ali Afsharkazemi Reza Radfar
        10.30495/jik.2024.23254
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        268 - Predicting Network linkages of banking system distress based on operational risks and behavioral finance components
        ahmad bidi Fraydoon Rahnamay Roodposhti Gholam Reza Gholami Jamkarani HAMIDREZA KORDLOUIE Mortaza Baky Hasuee
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        269 - 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.
        samaneh zarerafi Gholamhasan Taghi Nataj Malekshah Azita Jahanshad Farzaneh heidarpoor
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        270 - Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE)
        Esmaeil Lalegani Mostafa Zehtabian
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        271 - Investigating the relationship between personality phases of mutual fund managers and fund risk measures: considering the moderating effect of personality types
        Hosein Didehkhani Amir reza Mehralizadeh
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        272 - Higher Moments and Idiosyncratic Volatility Puzzle
        Ahmad Badri Mohammad Arabmazar Yazdi Maryam Davallou
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        273 - Idiosyncratic Risk and Market Friction in Investment Process
        Mehdi Gholipur Khanegah Reza Eyvazloo Saeed Mahmoodzade Mehdi Rameshg
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        274 - Macroeconomics variables and corporate events effect on systematic risk according to jump beta
        Ali Askarinejad Amiri Mohammad E. FadaeiNejad GholamHossein Assadi
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        275 - An Investigation of methods to reduce transaction costs in Tehran Stock Exchange
        Romina Atrchi Shahin Ramtinnia
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        276 - Presenting a Model for Idiosyncratic Risk Effects on the Policies for Financing the Entire Manufacturing Companies Accepted in Tehran Stock Exchange.
        Oveis Bagheri Reza Tehrani
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        277 - Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing
        Ali Sheidaei
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        278 - An Investigation of Affecting Factors in Bid Ask Spread as a Measure for Information Asymmetry
        Heidar Foroughnejad Mohsen Moradijoz
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        279 - Investigation of the variable of the illiquidity risk and the effect it’s on the excess of stock return in the stock market
        Hosein Mohammadpour Zarandi S.M. Tabatabaei Mozdabadi
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        280 - Mean-Variance test based on theoretical framework of downside risk using VAR
        fereydoun Rahnamay Roodposhti mehdi Hemmati Asiabargi Laleh Shabani Barzegar Fatemeh Khaksarian
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        281 - Credit risk management in the banking system - A comparative approach of Data Envelopment Analysis and Neural Network and Logistic Regression
        Marziyeh Ebrahimi Shghagi Abdollah Daryabor
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        282 - Presentation of a model for the active optimization of stock portfolios using value at risk exposure; Application of Convergence Variance Difference Models Approach Based on Algorithm DE Approach
        Saeid Fallahpour Reza Raei M. Esmaeil Fadaeinejad Reza Monajati
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        283 - Feasibility of using credit default swaps money market
        Ebrahim Abbasi Ameneh Jalilvand
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        284 - The relationships between market beta with macroeconomic variables and accounting information
        Ali Rahmani Kambiz Peikarjoo Mansoureh Azizi
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        285 - Algorithmic Trading System for future contract of gold coin based on intra-day data
        Mohammad Ali Rastegar Amin Sedaghatipour
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        286 - Dependence structure between Iranian financial system’s sub sectors: a vine copula approach
        Soheil Khalili Reza Tehrani
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        287 - Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index
        Mehrdokht Mozaffari Hashem Nikoomaram
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        288 - Comprehensive Model of Credit Risk Management in the Banking System of Iran
        Ali Saqafi Jamal Damghanyan Sajjad Sayyah Hosein Khozuei
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        289 - Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french
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        290 - Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria
        Gholam Reza Zomorodian Mahdi Shabanzadeh. Valiollah . Faryadras
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        291 - Selection of optimal portfolio by using improved Non-Dominated Sorting Genetic Algorithm and Evolutionary Algorithm Strength Pareto By taking risk on the basis of conditional value at risk
        Mojtaba Moradi Maryam Ghavidel
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        292 - Agent-oriented modeling for credit risk analysis
        Homa Azizi Mohammadali Rastgav
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        293 - Examining the Effects of Securitization Process on Credit Risk and Banking Stability: Empirical Evidence from Commercial Banks in Iran
        Mohammad Hossein Fatheh Sepideh Ghaffari
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        294 - The Testosterone Level of the CEO and Corporate Risk Taking
        Mehdi Safari Griyly Yasser Rezaei Pitenoei Mohammad Norouzi
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        295 - Loan Securities with Credit Risk Coverage Approach
        Fraydoon Rahnamay Roodposhti Mansoureh Gholamreza
      • Open Access Article
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        296 - Feasibility of Currency hedging for exporter and importer companies by Using the Iran Mercantile Exchange Coin futures contract
        Ali Rostami Gholamreza Zomorodian Meysam Alimohammadi
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        297 - Performance test to calculate the risk of classical general
        Masoud Karimkhani Maryam Abdoli
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        298 - Risk-Return Tradeoff: Evidence of Capital Assets Pricing Model
        Roohollah Farhadi Ali Saghafi Mohammad Taghi Taghavifard
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        299 - Rating parametric and nonparametric methods for estimating the expected shortfall and value at risk
        Mohammadreza Rostami Alireza Saranj Zoha Savari
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        300 - Application of stress test models in risk management
        Marziyeh Nourahmadi
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        301 - Measuring Risk Excesses in Iran’s Mutual Funds industry
        Hamid Kordbacheh Mohammad Javad Hozoori Ali Malmir
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        302 - Evaluation Fundamental based risk model in predicting stock prices
        Ehsan kamali Seyyed Abbas Hashemi Dariush Foroughi
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        303 - The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models
        Mohammadreza Emami Naeini Forough Rahimi Moogouie
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        304 - Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm
        Maedeh Kiani Harchegani Seyed Ali Nabavi Chashmi Erfan Memarian
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        305 - The Relationship between Tax Evasion and Future Stock Price Crash Risk: Evidence from Companies Listed in Tehran Stock Exchange (TSE)
        Mahdi Moradi Mohammadali Bagherpour Velashani Amin Rostami
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        306 - Survey on the relationship between transaction activity ratio and risk, return & portfolio diversification of mutual funds
        Hassan Ghalibaf Asl Maliheh Kordi
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        307 - Estimation of Value at Risk by using Extreme Value Theory
        Rasoul Sajjad Shohreh Hedayati Sharareh Hedayati
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        308 - The Revised Sharp Method Examination Based on Value at Risk for Evaluation of Tehran Stock Exchange Companies
        S. Reza Mirghaffari
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        309 - Comparing Analysis the Effect of Political Riske on Stock Market Developing in Selected Countries
        Ahmad Googerdchian Saeid Fathi Hadi Amiri Nasrin Saeidi Varnamkhasti
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        310 - Application of Extreme Value Theory in Value at Risk forecasting
        Hosein Falahtalab Mohammadreza Azizi
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        311 - Option Hedging in Jump-Diffusion Markets by Malliavin Calculus
        Minoo Bakhsh Mohammadlou Rahman Farnoosh
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        312 - Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks
        Mirfeiz Fallahshams Mohammad Sajjad Siahkarzadeh
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        313 - Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method
        Ehsan Mohammadian Amiri Ehsan Mohammadian Amiri Seyed Babak Ebrahimi
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        314 - The Association between Management turnovers With Default Risk and Corporate Performance
        Mohammad Reza Rostami Mahdi Abbasi Asl
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        315 - Credit Derivatives: Shari'aa & Economic Feasible Study For Banks Credit Risk Improvement
        Ali Rostami M. R. Ranjbar Fallah M. Khademolhoseini Ardakani M. H. Habibi A. Jamali Neishaboor M. Ali Mohammadi
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        316 - Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models
        Rasoul Tahmasebi Ali Asghar Anvary Rostamy Abbas Khorshidi Seyyed Jalal Sadeghi Sharif
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        317 - The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach
        Gholamreza Zomorodian Fraydoon Rahnamay Roodposhti Maryam Borzabadi Farahani
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        318 - Investigation of capabilities of econometrist models in determination of value at risk in investment companies for determination of optimized portfolio in capital market of Iran
        Hashem Nikoomaram Gholamreza Zomorodian
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        319 - Comparing Between Multivariate Volatility Models in Estimation of Exchange Rate and Stock Index Relationship
        Hosein Abbasinejad Shapour Mohammadi Sajad Ebrahimi
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        320 - Developing a Decision Support System for Enterprise Risk Management in Tanavar Co.
        Narges Nemati Sina Nematizadeh
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        321 - Evaluating and Prioritizing of the Risk of Money Laundering Criteria (Case Study: Refah Bank)
        Soodabeh Jafarzadeh Ahmadreza Ghasemi
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        322 - Multivariate GARCH models". Journal of business and economic statistic Value at Risk and Spillover effect estimate using MGARCH
        Mohammadreza Rostami Sahar Farahmand
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        323 - Ranking of mutual funds in Iran based on favorable and unfavorable risk criteria
        Mohammad Reza Mehrabanpour Mohammad Safaei Roya Samimi Nezhad Reza Noohi
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        324 - The effect of the brand on investor behavior and perceived risk as Mediate
        Maghsoud Amiri Rouhalah Moradi
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        325 - The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold
        Eftekhar Sadat Kafash Hoseini Ali Rostami
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        428 - Identification of HSE risks in transmission lines of Chaharmahal and Bakhtiari Gas Company By meta-Synthesis method
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        430 - Assessing of Supply Chain Risks via ANP Technique (Case Study: Zagros Petrochemical Company Located in South Pars Special Economic Zone)
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        431 - The Impact of the Level Liquidity on the Risk of Financial Distress of Companies Listed In the Tehran Stock Exchange
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        432 - The relationship between emotional regulation and cognitive inhibition for tendency to risky behaviors in girl adolescents in Mashhad
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        433 - Presenting a model of social intelligence and business intelligence on quality of life with mediated role of risk management in North Khorasan teachers
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        435 - Prediction of marital infidelity based on readiness for boredom, tendency to risky behaviors and emotional intelligence in people with extramarital relationship
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        442 - Presenting a model for stock portfolio optimization based on a combination of GARCH-copula models in Tehran Stock Exchange
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        443 - Investigating the effect of corporate governance mechanisms on the stock price crash risk
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        452 - Designing -the hierarchical fuzzy expert system in order to human risk assessment with emphasis on improve productivity
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        463 - Identification and scoring of Corporate client applying for credit In terms of credit risk by using hybrid ANP-Promethee method (Case Study Refah K. Bank)
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        464 - Developing a Risk Management Model for Banking Software Development Projects Based on Fuzzy Inference System
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        480 - A Human Resource Risk Management Model in Investment Banking Companies
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        481 - The Effect of Risk Dimensions on the Objectives of Construction Projects in Isfahan Municipality: An Integrated SEM and BBN Analysis
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        482 - Cognitive Analysis of Managers' Mental Models in Human Resource Risk Management to Improve Organizational Performance via Zaltman Metaphor Elicitation Technique
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        483 - Structural Modeling Based on Supply Chain Integration in Relation to Supply Chain Risk, Product Quality and Innovation Capability
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        484 - A Model of Company Competitive Capabilities Considering Social Capital and Buyer-Supplier Relationship Risk: A Case Study of the Elevator and Escalator Industry
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        524 - The role of debt cost adjustment on the relationship between social responsibility and systematic risk
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        525 - Hedging stock price risk with gold during the outbreak of the Corona virus (Case study of export oriented companies)
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        527 - Investigating the role of relationship between risks based on accounting components and capital market criteria in state banks
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        528 - Effect of Corporate Debt Convergence on Relationships of Macroeconomic Risks, Corporate Risks in Similar Industries, and Specific Risks of Companies with Capital Structure Adjustment Speed
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        529 - Comparison and analysis of stock futures return response to non-systematic risk torque measurement models(comparative prediction with neural network
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        530 - Forecasting Future Trends of the Stock Market Using the Probit Regression Approach with Emphasis on Value at Risk
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        532 - Optimal Electrical-Thermal Scheduling of Virtual Power Plant with Probabilistic Approach, Comprehensive Demand Response and Risk Modeling
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        533 - Investigating the relationship between corporate payment services and credit risk in corporate banking
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        534 - Presenting a co-creation model in the face of added reality on perceived risk, perceived trust and customer purchase intention
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        535 - Fuzzy Portfolio Optimization Using Credibility Theory: Multi-Objective Evolutionary Optimization Algorithms
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        536 - Review on health risk of Vibrio in seafood
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        537 - Investigating the Theory of Survival Analysis in Credit Risk Management of Facility Receivers: A Case Study on Tose'e Ta'avon Bank of Guilan Province
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        538 - Dynamic GAS Mathematical Based Modeling for Predicting and Assessing the Memory Free Value at Risk of Tehran Stock Exchange Total Index
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        539 - Environmental risks Assessment of the Construction Project using the EFMEA Method with Emphasis on the risks affecting water pollution
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        542 - Evaluation of occupational stressors on the organization's employees using multi-criteria decision making
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        543 - Identifying and prioritizing supply chain risks based on a balanced scorecard and providing solutions for resilience
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        546 - Zoning of the Vulnerability of Ilam City against Flood Risk
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        547 - Assessment on Farm Enterprises, Major Agricultural Risks and Demand for Micro-Insurance Services by Smallholder Farmers in Selected Areas of Benishangulgumuz, Western Ethiopia
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        548 - Analysis of Risks in Financing Agriculture a Case of Agricultural Cooperatives in Benue State, Nigeria
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        549 - The relationship between early maladaptive schemas and academic procrastination with high-risk behaviors; Case Study of Secondary School Students in Miandoab City
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        550 - اثرات تغییر اقلیم بر عملکرد چغندرقند با تأکید بر ریسک تولید محصول در ایران
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        551 - Production Risk, Total Factor Productivity, Risk Premium, Sistan and Baluchestan
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        552 - Rice Yield Distribution and Risk Assessment in South Asian Countries: A Statistical Investigation
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        553 - Evaluation Factors Affecting of Risk Production in Sistan Grape Growers by using Stochastic Frontier Approach
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        554 - -Empirical Assessment of Environmental and Health Risks in Intensive Poultry Production in Kwara State, Nigeria
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        555 - Increasing the Effectiveness of the Russian Grain Market
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        556 - عوامل بازدارنده و تشویق‌کنندة پذیرش بیمه کشاورزی در نیجریه
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        557 - Management Strategies of Perceived Risk Associated with Moringa Products by Consumers in Ilorin Metropolis, Kwara State, Nigeria
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        558 - Analyzing the effect of strategic human resource management on effective human resource risk management with the mediating role of employee resilience
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        559 - Investigating the Relationship Between CEO Characteristics and their Interactive Composition with Financial Risk Volatility
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        560 - A New Multi-Stage Feature Selection and Classification Approach: Bank Customer Credit Risk Scoring
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        561 - Analysis of the performance of different classifiers in solving the credit risk scoring problem with noisy and clean data
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        562 - Optimal replenishment and credit policy in supply chain inventory model under two levels of trade credit with time- and credit-sensitive demand involving default risk
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        563 - Risk determinants of small and medium-sized manufacturing enterprises (SMEs) - an exploratory study in New Zealand
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        564 - Risk premiums and certainty equivalents of loss-averse newsvendors of bounded utility
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        565 - Monitoring the censored lognormal reliability data in a three-stage process using AFT model
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        566 - Modeling the operational risk in Iranian commercial banks: case study of a private bank
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        567 - Multi-period project portfolio selection under risk considerations and stochastic income
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        568 - Analysis of interactions among barriers in project risk management
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        569 - Identifying the dimensions and components of jihadi management with the aim of optimal management of the credit risk in the network of car manufacturers’’ dealerships
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        570 - Investigation the Effect of Credit Risk on Financial Stability in the Islamic Banking System
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        571 - Presentation an structural model of human resource risks in capital market financial institutions In Islamic governance
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        572 - Designing and explaining the dynamic model of comprehensive risk transfer of cryptocurrency in the financial markets of the world
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        573 - The risk of stock price crash and the factors affecting it in companies registered in Tehran Stock Exchange
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        574 - Analyzing and measuring the systemic risk between cryptocurrencies and real currencies using the value-at-risk and the marginal expected shortfall
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        575 - Prioritization of Human Resource Risks of Iran's Tax Affairs Organization by Using Hierarchical Analysis and Fuzzy TOPSIS Approach
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        576 - Presenting a Paradigm Model of ambush marketing risk management in sporting events
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        578 - Investigating implementation of fintech technologies and systemic risks in the banking network
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        580 - The Impact of Country Risks Index on Commercial Insurance Demand (Case Study: MENA Countries)
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        583 - Predicting the Factors Affecting the Risk of Future Stock Price Decline Based on Circuit Radius Neural Network
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        584 - Application of Multi criteria decision making methods in studies of environmental hazards in Shadegan Wetland
        S. A. Jozi Saffarian Sh.
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        586 - Environmental Risks Analysis of Helleh Protected Area of Boushehr by Using AHP Method
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        587 - Investigation and Determination of Health Risks of Chrome Heavy Metal in the Wastewater of Firooz Abad River of Tehran Using the Method of Analyzing Fracture States and Its Effects on Environment (EFMEA)
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        588 - Environmental Risk Assessment of Balaroud Dam of Khuzestan`s construction Using Analytical Hierarchy Process
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        590 - Determinants of Foreign Financing in Iran and Selected Countries: BMA Approach
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        592 - Dynamic Analysis of the Performance of Iranian Financial Markets Based on Investment Risk: Application of Social Network Analysis and System Dynamics
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        593 - Measuring and Analyzing Systemic Risk in Selected Index of the Tehran Stock Exchange and Examining the Factors Affecting it
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        595 - Dynamic effects of shadow banking on banking sector instability in Iran (case study: banks and credit financial institutions of Tehran stock exchange
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        596 - Analyzing the Effects of Macroeconomic Environment on the credit risk of applicants for credit guarantees of the Export Guarantee Fund of Iran
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        597 - The impact of capital structure and corporate social responsibility on business risk during the covid-19 pandemic
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        603 - The relationship between the selected industries index of Iran Stock Exchange in a quantile time: Investigation of high, low and medium efficiency states (TVP-Quantile VAR approach)
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        605 - بررسی اثر راهبری شرکتی و ریسک شهرت بر رابطه بین حداقل‌سازی هزینه مالیات و واکنش قیمت سهام
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        606 - Presenting a Comprehensive Model for Measuring the Liquidity Risk of Banks Listed on the Tehran Stock Exchange (Case Study: Mellat Bank)
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        607 - Tail Risk and Excess Stock Returns: Evidence of Momentum and Idiosyncratic Risk Anomalies
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        610 - Probabilistic Landslide Risk Analysis and Mapping (Case Study: Chehel-Chai Watershed, Golestan Province, Iran)
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        611 - Value at Risk Assessment in Tehran Stock Exchange using Non-parametric and parametric Approaches
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        613 - The effect of Business Strategies and firm’s risk with emphasis on management ability
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        615 - Designing an Integrated Strategic Risk Development Model in the Banking Industry Using Interpretive Structural Modeling Approach (Case Study: One of the Large Commercial Banks)
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        622 - The effect of deviation from industry norms on audit fees with the moderating role of auditor characteristics
        Ebrahim Baramzadeh Seyed Ali Vaez Ghasem Rekabdar
        https://sanad.iau.ir/fa/Article/1073059
      • Open Access Article
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        623 - 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
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        624 - Modeling and Experimental Test of the Effects of the Quality Components of Management Accounting Information on the Tax Risk of Tehran Stock Exchange Firms
        محمد نمازی Seyed Hamid Reza Rakhsha
        DOI: 10.30495/FAAR.1403.1073184
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        625 - The moderating role of institutional ownership on the role of CEO overconfidence on future firm risk
        وحید اسکو Reza Daghani majid moradi
      • Open Access Article
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        626 - Pattern of Behavioral Risk Control of Investors in the Iranian Capital Market
        شریف ظاهری Askar pakmaram saeed jabarzade kangarloee jamal bahri
        DOI: 10.30495/FAAR.1403.1073364
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        627 - The impact of Abnormal Organizational Risk Management on Corporate Social Responsibility: The combined moderating role of CEO Overconfidence and Real Earnings Management
        mlhammadtaghi kabiri راضیه خانلری Mohammad Joodaki
        DOI: 10.30495/FAAR.1403.1073522
      • Open Access Article
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        628 - The Importance of Fraud Risk Substrates the Independent Auditors Perspectives
        Omid Pourheidari Saeed Bazrafshan
      • Open Access Article
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        629 - Effectiveness of Internal Controls on Disclosure in the Text of Financial Statements
        Gholamreza Kordestani Seyed Mohsen Mohammadi Nasab
        10.30495/faar.2023.699781
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        630 - The Role of Financial Uncertainty Shocks, Fama French Five Factor Model and Momentum in the Capital Market and Its Effects on Stock Returns
        Seyedeh Narges Shirmardi Majid Sameti Hossein Sharifi Renan
        10.30495/faar.2024.709442
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        631 - Culture and Ethical Decision-Making Components of Certified Public Accountants: The Mediating Role of Individual Risk-Taking
        Erfan Mohammad beigi Zohreh Aref Manesh mohammadmahdi Dehghani Ashkezari
        10.30495/faar.2023.705553
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        632 - Assessing the Transparency of Selected Private Banks' Information Based on Risk Criteria (Value At Risk)
        Hossein Abdo Tabrizi reza tehrani Ghodratolla Imam Verdi Saeed Fallahpour Ali Baghani
        10.30495/faar.2022.697084
      • Open Access Article
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        633 - The Auditors' Preferences Affecting Factors on Inherent Risk in the Account Remaining Sum Level and Financial Statements Level
        Zohreh Hajiha
      • Open Access Article
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        634 - Modeling of Audit Production Efficiency based on the Business Risk Audit Approach
        Shoeyb Rostami OstadKelayeh MohammadAli Aghaei Kumars Biglar
        10.30495/faar.2022.697086
      • Open Access Article
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        635 - The Relationship between Credit Risk and the Rate of Interest Allocated to Different Islamic Contracts in Agricultural Bank of Kurdestan Province
        Zohreh Hajiha Farzaneh Heidarpoor Zanyar Rajaee
      • Open Access Article
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        636 - The Effect of Enterprise Risk Management on the Relationship between External Financing and Earnings Management
        محمد حسین پوراحمدی غلامرضا فرساد امان الهی
      • Open Access Article
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        637 - Firm Risk Management and Firm Performance by the Role of Competitive Advantage and Financial Literacy
        Zohreh Arefmanesh Zohreh Arefmanesh Hamed Shokohi
        10.30495/faar.2022.693670
      • Open Access Article
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        638 - Determining the optimal response of Feynman-Kak stochastic-financial equation based on Jacobi and Irfoil expansion
        Sayed Mohammad AlaviSheshamd Shadan SediqBehzadi
        10.30495/faar.2022.697088
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        639 - Presenting a Model for Financial Disorder Index with Emphasis on Financial Risk
        Mehdi Shahmoradi Farhad Hanifi Zadallah Fathi
        10.30495/faar.2023.702106
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        640 - The Impact of the Risk Committee on the Quality Financial Reporting and Auditing Fees
        Saeed Omidi Kordsholi Mohammad reza Pajoohi
        10.30495/faar.2024.709446
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        641 - The Effect of Risk Management on the Relationship between Market Orientation Strategy and Entrepreneurial Orientation Strategy with Company Risk
        Seyed Reza Hosseini Kaveh Azinfar iman dadashi Reza Fallah
        10.30495/faar.2022.698384
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        642 - Financial Status and Future Stock Price Crash Risk; The Importance of Firm’s Internal Control Quality
        Abolfazl Momeni Yanesari
        10.30495/faar.2023.707971
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        643 - Modeling to Predict the Liquidity Risk of Iran's Government Banks Using Artificial Neural Networks and Accounting Indicators
        Mahdi Khosroyani Farzaneh Heydarpoor
        10.30495/faar.2022.697091
      • Open Access Article
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        644 - The Relationship between Amount of Free Floating Stock and Equity Risk
        Aziz Gord Hamid Sayeed Jarahi Sedigheh Kamran Rad
      • Open Access Article
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        645 - The Relationship between CEO Risk-Taking Incentives and Socially Irresponsible Activities
        فریدون رهنمای رود پشتی آناهیتا زندی
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        646 - The Effect of the Quality of the Enterprise Risk Management System and the Characteristics of the Audit Committee on the Reputation of Companies
        Yaghoob Daneshi ali Esmaeelzadeh
        10.30495/faar.2022.693675
      • Open Access Article
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        647 - Integrated Multi-Objective and Econometrics Model for Stock Portfolio Optimization
        Abbas KhadempourArani Amirreza Keyghobadi Mehdi MadanchiZaj Gholamreza Zomorodian
        10.30495/faar.2022.693677
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        648 - Optimal Location of Surge Arresters in Distribution Network Considering Reliability and Technical and Economic Factors to Reduce Costs using ICA Algorithm
        Mehrdad Ahmadi Kamarposhti AbasAli Hejri
        10.30495/ijsee.2021.681962
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        649 - Explain the role of sociological factors in the tendency of villagers to high-risk substance abuse behavior (Case study: villages of Rahima Abad district of Rudsar city)
        hormoz mohammadpoor lima alireza mohsenitabrizi
      • Open Access Article
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        650 - The Explanation of the Relationship between Downside Risk and Upside Risk combination in predicting Market Return Volatility
        hossein rad kaftroudi mohammadhasan gholizadeh mahdi fadaei
      • Open Access Article
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        651 - Designing an Adjusted Return Predictive Pattern Based on Downside Risk; Evidence from the Tehran Stock Exchange
        Firouz Sayadi Ali Asghar Anvary Rostamy Feridoon Rahnamay roodposhti Taghi TORABI
      • Open Access Article
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        652 - Liqidity risk management in open market operations with GlueVaR criteria
        Rasoul khoshbin Farzin Rezaei Mohammad Ali Rastegarsorkheh
      • Open Access Article
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        653 - Stock portfolio optimization using Imperialist Competitive Algorithm (ICA) and Particle Swarm Optimization (PSO) under Conditional Value at Risk (CVaR)
        Arezou Karimi sara goodarzi dahrizi
      • Open Access Article
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        654 - Usage of ZPP Model in Credit Risk Prediction
        elahe kamali mirfeiz fallah Farhad hanifi
      • Open Access Article
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        655 - Decision Usefulness evaluation of risk factor disclouser
        Akbar Khayampour Sina Kheradyar Farzin Rezaei Mohammadreza Vatanparast
      • Open Access Article
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        656 - The Role of Noisy Risk Factors and Market Depth in Explaining Future Stock Returns
        Sepideh Arab Hassan zanjirdar Hassan Zarei
      • Open Access Article
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        657 - Multivariate Portfolio Optimization under Illiquid Market Prospects
        Nastaran Sarvipour fatemeh samadi
      • Open Access Article
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        658 - THE TORQUE COMPARISON OF THE EXTREME DISTRIBUTION MODELS AND THE DIFFERENCE IN THE RATIO OF FAILURE PATTERNS OF DIFFERENT TIME MODELS OF TEHRAN STOCK EXCHANGE
        Ali Rezaian Hamidreza Vakilifard Maryam Khalili Araghi
      • Open Access Article
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        659 - Analyzing the Asymmetric Effects of Exchange Rate Movements on an Investment Risk of the Banking Industry Activing in Tehran Stock Exchange Market
        Maryam Zarezadeh Mahrizi Samira Zarei
      • Open Access Article
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        660 - Dependence structure and portfolio risk in Iran exchange market by using GARCH-EVT-Copula method
        Farhad Ghaffari sahar fathi
      • Open Access Article
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        661 - Impact of the Investor's Mood State on Expected Return on Investment
        mostafa heidari haratemeh mohsen ameri shahrabi
      • Open Access Article
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        662 - Presenting the combined algorithm of machine learning and the combination of risk metrics and fuzzy theory in choosing an investment portfolio
        danial mohammadi Seyed jafar Sajadi Emran Mohammadi naeim shokri
      • Open Access Article
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        663 - The Compare of Power Fire Flies Algorithm Prediction, Decision Making Tree Algorithm and the Support Vector Machine Regression Algorithm for Systematic Risk Predicti
        alireza eslampour roya darabi
      • Open Access Article
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        664 - Value Risk Assessment of Stock Indexes Based on Parametric, Quasi-Parametric and Nonparametric Approaches (Tehran Stock Exchange Study)
        ebrahim ghanbari memeshi seyyed ali nabavi chashmi erfan memarian
      • Open Access Article
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        665 - Risk modeling of financing structure according to probabilistic decision theory through ANP
        Hamidreza Iravani Hamidreza Kordlouie Freydoon Rahnamay Roodposhti Narges Yazdanian
      • Open Access Article
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        666 - Determining of optimal risk level and optimal structure of capital based on logarithmic model of Border Operational Efficiency in Banks
        mir hamid sadat salmasi iman dadashi hasmidreza gholamnia roshan
      • Open Access Article
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        667 - Stock Portfolio Optimization with MAD and CVaR Criteria by Comparing Classical and Metaheuristic Methods
        Mohammad reza Haddadi Younes Nademi Fateme Tafi
      • Open Access Article
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        668 - Financial Risk Management in the automotive in Dustry With a Fuzzy network analy sis approach
        ali fadaei abutorab alirezaee gholamreza hashemzadeh kiamars fathihafshjani
      • Open Access Article
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        669 - Credit risk optimization model for crowdfunding process by using Neural Network(MLP)
        ALI MALEKI Ali Zare Hashem NiKoumaram Shadi Shahverdiani
      • Open Access Article
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        670 - Using the Bid-Ask Spreads as a Proxy for Transaction Costs in adjusting the CCAPM
        sedighe alizadeh mohammad nabi shahiki tash reza rosahan
      • Open Access Article
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        671 - Structural Equation Model Approach in Analyzing the Relationship Between Company Financial status and Value at Risk with Emphasis on The Role of Risk Management
        Mohammad zamani Ghodratollah Emamverdi Yadollah Noorifard mohsen hamidian Seyedeh Mahboubeh Jafari
      • Open Access Article
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        672 - Provide a Model for Forecasting the Stock Price Crash Risk in Tehran Stock Exchange on the basis of Hutton & chen models
        leila abdollahzadeh farhad hanifi mirfeiz fallah
      • Open Access Article
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        673 - One-way and two-way risk filtering using generalized dynamic factor model in Tehran Stock Exchange
        amir sarabadani Ali Baghani Mohsen Hamidian Ghodratollah Emamverdi Norooz Noorolahzadea
      • Open Access Article
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        674 - The assessment of extreme value theory and Copula - Garch models in prediction of value at risk and the expected short fall in portfolio Investment Company in Tehran stock exchange.
        ali alizadeh Mirfeiz Fallah
      • Open Access Article
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        675 - Designing a Risk Assessment Model and determining an Optimal Currency Portfolio for banks by Value-at-risk (VaR) criterion and exponentially weighted moving average (EWMA)
        Gholamreza Bayati Mohammad Ebrahim mohammadPourzarandi
      • Open Access Article
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        676 - Stock portfolio optimization using multi-objective genetic algorithm (NSGA II) and maximum Sharp ratio
        Arezou Karimi
      • Open Access Article
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        677 - The Role of Enterprise Risk Management on Firm Performance in the Merger and Acquisition Process Using Heckman's Two-Stage Model
        nikoo mohammad sharifi seyed ali nabavi chashmi naser ali yadollahzade tabari
      • Open Access Article
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        678 - Estimation value at risk (VAR) and conditional value at risk (CoVaR) at Tehran Stock Exchange by approach to using Fréchet distribution (FD)
        Azadeh Meharani Ali Najafi moghadam Ali baghani
      • Open Access Article
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        679 - Design of Credit Risk Assessment Model by Predicting Credit Rating Transfer Using Markov Chain Process
        Farid Heidarifar Farhad Hanifi gholamreza zomorodian
      • Open Access Article
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        680 - The pervasive risk of the financial crisis in the Iranian banking system with the ARFIMA-FIGARCH-Delta CoVaR approach and the expected marginal Shortfall
        leila barati mirfeiz falahshams farhad ghafari Alireza Heidarzadehhanzaee
      • Open Access Article
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        681 - Measuring the severity size and direction of fluctuations or exchange rate shocks in the money, capital and insurance markets
        Sara Vahabzadeh Mir Feiz Fallah Amirreza Keyghobadi Mehdi Maadanchi
      • Open Access Article
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        682 - Risk spillover and dynamics between financial markets, commodity markets and digital currencies with the MGARCH method
        Hamid Mohammadishad Mahdi Madanchi Zaj Amir Reza Keyghobadi
      • Open Access Article
        • Abstract Page
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        683 - Financial Innovation Test in Banking: Providing a Hybrid Model for Forecasting and Assessing Credit Risk of Medium and Small Enterprises (SMEs) in Commercial Banks
        Kokab Sharifi Amir Mohammadzadeh Hashem Nikoumaram Naser Hamidi
      • Open Access Article
        • Abstract Page
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        684 - Investigating the Threshold Impact of Country Risk Index on the Impact of Public Debt on Economic Growth: Panel Smooth Transition Regression (PSTR) Approach
        javad harati Nesa Kamalian elham bita
      • Open Access Article
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        685 - Investigating the short and long term relationship between upside and downside risks with inflation and economic growth
        Hossein Rad kaftroudi mohammadhasan gholizadeh mahdi fadaei Eshkiki
      • Open Access Article
        • Abstract Page
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        686 - Financial risk evaluation of investment companies in Tehran Stock Exchange with fuzzy decision-making method D-CRITIC and EDAS based on a new score function
        Mehdi Aghabeigi Ekhtiar Khodadadi
      • Open Access Article
        • Abstract Page
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        687 - Comparative survey of credit risk models based on accounting information and market information from the perspective of stakeholders
        Mohammad Roshandel Fereydon Rahnama Rodposhti Mirfeyz Fallah Hashem Nikoomaram
      • Open Access Article
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        688 - The Impact of Investor's Cognitive Psychology on Decision Making and Financial Policy
        mostafa heidari haratemeh Vahid Araei seyed mahmod eslami
      • Open Access Article
        • Abstract Page
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        689 - Dynamic GAS Based Modeling for Predicting and Assessing the Value at Risk of Bitcoin and Gold
        Mohammad Ebrahim Samavi Hashem Nikoomaram Mahdi Madanchi Zaj Ahmad Yaghobnezhad
      • Open Access Article
        • Abstract Page
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        690 - Provide a multi-objective - multi-objective mathematical model for investing in a portfolio under a hybrid risk measure
        ahmad dadashpour omrani syed ali nabavi chashmi erfan memarian
      • Open Access Article
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        691 - Inclusive Risk Estimation and Its Contagion in the Country's Financial System with the Approach of Dynamic Conditional Correlation Model
        Leila Barati Mirfeiz Fallah Farhad Ghafari Alireza Heidarzadeh Hanzaei
      • Open Access Article
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        692 - Financial Contagion Investigation of the Systemic Risk of Currency and Cryptocurrency in the Global Financial Markets (BEKK Approach)
        Ali Baghban Reza Gholami Jamkarani Mir Feyz Fallah Hamidreza Kordlouie
      • Open Access Article
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        693 - Retail investor attention and stock price crash risk: A case study of Tehran Stock Exchange
        mohammad nadiri seid sajad miri jalal naderi
      • Open Access Article
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        694 - Merge And Credit risk
        zeinab khalil arjomandi Masoud Taherinia Azam Ahmadyan Ahmad Sarlak
      • Open Access Article
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        695 - Examining the Efficiency Models, Conditional Value at Risk and Mean Absolute Deviation and Particle Swarm Optimization Algorithm under CVAR and MAD risk criterion in Selection Optimal Portfolio Shares Listed Firms on Stock Exchange
        dariuosh adinehvand Ebrahim ali Razini Rahmani Mahmod khoddam Fereydon Ohadi alhamsadat hashemizadeh
      • Open Access Article
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        696 - Assessing the Adequacy of Deposit Insurance in Iran Using The Systemic Model Of Banking Originated Losses(SYMBOL)
        Mohsen Golniya Ramin khochiani Hamid Asaiesh
      • Open Access Article
        • Abstract Page
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        697 - Multi-Asset Portfolio Optimization based on Conditional Value at Risk using Artificial Bee Colony Algorithm
        Somayeh Mousavi Abbasali Jafari-Nodoushan Marzieh Kazemi-Rashnani Mahsa Mohammadtaheri
      • Open Access Article
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        698 - Long Memory usage in Portfolio Optimization using the Copula‌ Functions: Empirical evidence of Iran and Turkey Stock Markets
        Hasti Chitsazan Motahareh Moghadasi Reza Tehrani Mohsen Mehrara
      • Open Access Article
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        699 - Designing an Inference System Based on Hierarchical Fuzzy Rules for Validating Bank Clients.
        masome tadris hasani Maghsoud Amiri
      • Open Access Article
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        700 - Forecasting Probability of default of Corporations with the Merton model: Using Capital Asset Pricing Model with Time Varying Beta
        mehdi sabeti Gholamreza Zomorodian mirfeyz fallah mehrzad minuyi
      • Open Access Article
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        701 - Presenting a planning model for measuring Conditional Drawdown-at-Risk in the Iranian Stock Exchange market
        Seyed Ali Nabavi chashmi Ahmad Dadashpour omrani Erfan Memarian
      • Open Access Article
        • Abstract Page
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        702 - Modelling of appropriate pattern in order to forecast systemic liquidity risk of corporate stocks in capital market of Iran, by using multivariate GARCH models and Markov switching approach
        Seied Hamid Reza Sadat Shekarab Fereydon Ohadi mohsen Seighaly Mirfaze Fallah
      • Open Access Article
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        703 - Designing a Credit Risk Management Model in the Network of after-sales service companies Using Financial Components of After-Sales Services and Metaheuristic Algorithms (Case study: Saipa's after-sales service company(Saipa Yadak))
        Hamid reza Radmannejad Mohammad Ebrahim Mohammad Pourzarandi Mehrzad Minouei
      • Open Access Article
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        704 - Tail Risk Analysis Using realized measure and Dynamic Asymmetric Laplace Models in Tehran Stock Exchange
        esmail mohammadi salari Mohammad Reza Rostami Reza Gholami Jamkarani Mojganm safa
      • Open Access Article
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        705 - Investigating the impact of financial distress risk on stock prices crashes
        marjan izadkhah reza raei saeed falahpor
      • Open Access Article
        • Abstract Page
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        706 - Comparison of the Predictive Accuracy of Artificial Neural Network Systems Based on Multilayer Perceptron Approach and Falmer Binary-Logistics Model in Order to Predict Bankruptcy
        Somieh Saroei Hamid Reza Vkili Fard, Ghodratolah Taleb Nia
      • Open Access Article
        • Abstract Page
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        707 - The Use of Delphi-Fuzzy and Fuzzy-DEMATEL Approach to Identify and Evaluate Effective Factors on Credit Risk of Real Bank Melli Customers in Iran
        Masoud Rezaei Aghmashhadi Gholamreza Mahfoozi Farzad Rahimzadeh
      • Open Access Article
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        708 - Application of Fuzzy Delphi Integrated Approach / Multiple Logistic Regression in Identifying and Assessing the Credit Risk of Real Bank Mellat Customers
        sirous Azizollahi Mahdi Madanchi Zaj ghasem Mohseni Mehrdad Hosseini Shakib
      • Open Access Article
        • Abstract Page
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        709 - Portfolio optimization based on parametric and nonparametric period value at risk
        Mohamad ali tabibi sayyed mohammad reza davoodi abdolmajid abdolbaghy ataabady
      • Open Access Article
        • Abstract Page
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        710 - Investigating the effect of voluntary disclosure of information on the company's risk-taking, emphasizing the role of managerial ownership in companies listed on the Tehran Stock Exchange.
        Hossein Motazerghaem safieh mehrinejad
      • Open Access Article
        • Abstract Page
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        711 - Introducing new risk measure Glue VaR and its estimation using composite quantile regression model
        Ali Aghamohammadi Mahdi Sojoudi Meysam Sojoudi mohammad Javad Tavoosi
      • Open Access Article
        • Abstract Page
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        712 - Prediction of Default Risk Using Structural Models at Tehran Stock Exchange
        Saeid Fallahpour Masood Tadi
      • Open Access Article
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        713 - ارزیابی عملکرد پرتفوی در بورس اوراق بهادار تهران
        فریدون رهنمای رودپشتی سیدرضا غفاری
      • Open Access Article
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        714 - VaR modeling and back testing of short and long positions according to in Sample and out of Sample: application of family models Fractionally Integrated GARCH
        Mansour Kashi S. Hassan Hosseyni A. Sadat niyazkhani S. Amin Abdollahi
      • Open Access Article
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        715 - Negative relationship between credit risk and currency risk with returns of stock prices of banks in Iran(Aproach ARIMA-GARCH-M)
        Naer Seifollahi
      • Open Access Article
        • Abstract Page
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        716 - Designing and Explaining the Systematic Risk Estimation Model using metaheuristic Method in Tehran Stock Exchange: Adaptive Approach to the Model of Econometrics and Artificial Intelligence
        Nemat Rastgoo hosein panahian
      • Open Access Article
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        717 - Functioning of the Management Pattern, Asset- Debt, on the Understanding of the Relationship between Risk and Returns, Liquidity
        Robabeh Bahramian Fraydoun Rahnamay Roodposhti Mehdi Madanchi zaj
      • Open Access Article
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        718 - ارزیابی عملکرد پرتفوی در بورس اوراق بهادار تهران:
        فریدون رهنمای رودپشتی سیدرضا میرغفاری
      • Open Access Article
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        719 - Measuring portfolio Value at Risk: The application of copula approach
        Esmaeil Pishbahar sahar abedi
      • Open Access Article
        • Abstract Page
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        720 - The Evaluation of Return and Risk on Investment in Stocks based on the Integration of Asset Pricing Multi-Factor Model and Penalty Function
        Aliakbar Farzinfar hossein Jahangirnia Reza Gholami Jamkarani Hasan Ghodrati Ghazaani
      • Open Access Article
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        721 - Credit risk management in banks using a hybrid approach
        Narges Delafrooz Mahdi Homayounfar maryam taghipour tamijani
      • Open Access Article
        • Abstract Page
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        722 - Investment portfolio optimization using value at risk under credibility theory with Z-numbers approach
        Amirsina Jirofti Amirabbas Najafi
      • Open Access Article
        • Abstract Page
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        723 - Forecasting Volatility & Risk Management in Tehran Stock Exchange through Long memory impacts
        ehsan Taiebysani Madihe Changi Ashtiani
      • Open Access Article
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        724 - Portfolio optimization in an upside potential and downside risk (UPM-LPM) framework
        ali saleh abadi Mohsen Sayar Mojtaba Shahryari
      • Open Access Article
        • Abstract Page
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        725 - Localization of systematic risk assessment patterns Based on financial and non-financial variables
        alireza eslampour roya darabi
      • Open Access Article
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        726 - Statistical ranking of different VaR and ES models by using Model Confidence Set approach for the banking industry: With an emphasis on Conditional Extreme Value Theory
        Alireza Saranj marziyeh nourahmadi
      • Open Access Article
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        727 - Developing a Fuzzy Multibjective Model for Multiperiod Portfolio Optimazation Considering Average Value at Risk
        Amir Shiri Ghehi Hosein Didehkhani kaveh Khalili Damghani parviz Saeedi
      • Open Access Article
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        728 - Estimating Extreme downside risk premium using Extreme Value Theory Approach
        Maryam Davallou Mahdiyeh Dashti
      • Open Access Article
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        729 - An Investigation on liquidity Risk in Tehran Security Exchange Market with non-trading days: Insights from liquidity-adjusted CAPM
        Pedram Samiee Tabrizi Ali Najafi moghadam
      • Open Access Article
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        730 - Studying the Relationship between Default Risk and Corporate Governance Indicators (Using the Black-Scholes-Merton Option Pricing Model)
        Mir Feiz Fallah Shams Maysam Ahmadvand Hadi Khajezadeh Dezfuli
      • Open Access Article
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        731 - Examining the Effective Factors on Commercial Bank Profitability of Iran Using Panel ARDL Method
        Iraj Shariatzadeh Mehdi Shabanzadeh Gholamreza Zomorodian
      • Open Access Article
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        732 - 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
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        733 - Using the Wavelet neural networks to determine and evaluate the effects of systematic risk on financial returns of stock
        gholamreza zomorodian shahrzad kashanitabar fatemeh khaksariyan
      • Open Access Article
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        734 - Portfolio choice with high frequency data: constant relative risk aversion preferences and the liquidity effect
        mohammad firouzdehghan Hadi Saeidi Shaban Mohammadi ghasem elahi
      • Open Access Article
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        735 - Optimizing Portfolio through Extreme Value Theory in Tehran Stock Exchange
        Afsaneh Sina Mirfeiz Fallahshams
      • Open Access Article
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        736 - Investigating the Value at Risk of Gold Coin Future Market through Wavelet Analysis Approach
        Mohammad Hamed Khan Mohammadi mehrnoosh ebrahimi
      • Open Access Article
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        737 - Proposition of a model For Forecasting Value at Risk in One Step Ahead
        ehsan Mohammadian Amiri S. Babak Ebrahimi maryam Nezhad Afrasiabi
      • Open Access Article
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        738 - Feasibility of Currency hedging for exporter and importer companies by Using the Iran Mercantile Exchange Coin futures contract
        ali rostami Gholamreza Zomordian Meysam Alimohammadi
      • Open Access Article
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        739 - Futures Contracts Margin Setting by CVaR Approach Based on Extreme Value Theory
        mirFeyz Fallahshams ali Saghafi alireza naserpoor
      • Open Access Article
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        740 - Predict the risk of falling stock prices by using meta-innovative methods (Cumulative particle motion optimization algorithm) and comparison with logistic regression
        Esfandiar Malekian hossin fakhari jamal ghasemi Sarveh Farzad
      • Open Access Article
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        741 - Foster-Hart Optimal Portfolio
        sepehr asefi reza eivazlu reza tehrani
      • Open Access Article
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        742 - Selection of the optimal method in calculating the value at risk of investment fund
        Ali Najafi moghadam
      • Open Access Article
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        743 - The evaluation of Systemic Risk in the Iran Banking System by Delta Conditional Value at Risk ( CoVaR) Criterion
        asadollah farzinvash naser elahi javad gilanipour Ghadir Mahdavi
      • Open Access Article
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        744 - VAR and ES calculation based on the Extreme Value Theory (block maxima and GPD): Evidence from Tehran Stock Exchange (TSE)
        Mansour Kashi S. Hassan Hoseini mohammad Mousa Ghaliliou saeed Golkarian Arani
      • Open Access Article
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        745 - Measurement conditional value at risk based on FIGARCH-EVT method at Tehran stock Exchange
        mohammadreza Lotfalipour Mahdiyeh Nosrati abolfazl Ghadiri Moghaddam Mahdi Filsaraei
      • Open Access Article
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        746 - Study of portfolio optimization based on downside risk, upside potential and behavioral variables efficiency
        yavar mirabbasi hashem nikoumaram ali Saeidi Farideh Haghshenas
      • Open Access Article
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        747 - Estimation of Value at Risk with Extreme Value Theory approach and using Stochastic Differential Equation
        Amir Shafiee reza raei Hossein Abdoh Tabrizi saeed falahpor
      • Open Access Article
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        748 - Estimating the probability of Loss of Credit Portfolio using the sharp asymptotic method and Latent variable model
        Mohammad reza Haddadi Reza Maaboudi Saeedeh Fallahyan
      • Open Access Article
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        749 - Evaluation the effect of stochastic fluctuations on operational risk of hedging European options: Application of Markov Switching and Black Scholes Standard
        Mahmoud Zarrini seyed parviz jalili kamju Razyeh Goodarzi
      • Open Access Article
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        750 - Estimation Value at Risk using by combining approach Exteme Value Theory and CIPRA at Tehran stock Exchange
        Ehsan Atefi Meysam Rashidi Ranjbar
      • Open Access Article
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        751 - Developing Asset Correlation Risk Model (ACR) with Asset- Liability Management (ALM) Approach with using of VECM model
        Mahdi Hemmati Asiabaraki Mohammadhasan Gholizadeh Seyed Mozafar Mirbargkar
      • Open Access Article
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        752 - Determine the optimal portfolio weights var-stock approach And compare it with the Markowitz model
        sayyedmohammadmahdi ahmadi hasan lotfi vali rajabi
      • Open Access Article
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        753 - The Effect of Informatin Environment on impact of between Advertising Expenses and Stock Price Crash Risk
        Mahnaz Madani masood fooladi
        10.71960/jdaa.2024.1079889
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        754 - Anatomical Analysis of Noise Transactions and Pricing Error
        Marziye Abdolbaghi Ataabadi Abdolmajid Abdolbaghi Ataabadi
        10.30495/jdaa.2023.702086
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        755 - Investigating the Relationship between the Prevalence of Quid 19 and the Stock Price Crash Risk with Emphasis on the Role of Corporate Social Responsibility in the Tehran Stock Exchange
        Zeinab Rezaei Ali Tamoradi
        10.30495/jdaa.2023.698892
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        756 - The Effect of CEO's Power and Financial Knowledge on the Relation between Enterprise Risk and the Firm’s Performance
        Mohammad Amri-Asrami Fatemeh Jalali Fahimeh KazemiHaji
        10.30495/jdaa.2023.705527
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        757 - Effects of Related Party Transactions on Firms’ Credit Ratings
        Roya Darabi MORTEZA SADEGHI
        10.30495/jdaa.2023.702089
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        758 - Risk Types in Different Firm Life Cycle Stages with Emphasis on Ownership of Companies
        mostafa ebadi kaveh Azinfar iman dadshi reza fallah
        10.30495/jdaa.2023.707959
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        759 - The Impact of Potential Litigation Risk Motives arising from Material Errors & Misstatement in Clients’ Financial Reporting on Modified Audit Opinion
        محمد حسنی
        10.30495/jdaa.2022.693176
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        760 - The Relationship between Risk-Taking, Company Value and Management Judgment of Profit
        Meysam Mahmoudzade Amirreza Keyghobadi Mahnaz Nojavan Fariba Soltani
        10.30495/jdaa.2023.699871
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        761 - Risk Classification of Imbalanced Data for Car Insurance Companies: Machine Learning Approaches
        Farzan Khamesian Maryam Esna-Ashari Eric Dei Ofosu-Hene Farbod Khanizadeh
        10.30495/ijm2c.2022.1958403.1252
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        762 - Favorable criminal policy against the criminal risks of virtual currencies
        Mohammad Ghaemi Salameh Abolhasani Naghmeh Farhood
      • Open Access Article
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        763 - Affecting Factors on the Risk of Car Body Insurance (Dana Insurance Agents of Babol)
        N. A. Yadollahzadeh Tabari F. Nazari
      • Open Access Article
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        764 - Geological Factors and Health Problems
        Francisco Prieto García Otilio A. Acevedo Sandoval Judith Prieto Méndes
        10.22034/jchr.2018.544017
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        765 - Heavy Metals in Commercial Food for Infants and Small Children Origin from the Sarajevo Market
        Elma Omeragic Amir Causevic Aleksandra Marjanovic Miroslav Sober
        10.22034/jchr.2021.1917948.1232
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        766 - Occupational Health Risk Assessment of Iranian Drilling Industry
        Seyed Reza Shadizadeh Elahe Ataallahi
        10.22034/jchr.2018.544091
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        767 - Analysis and Health Risk Assessment of Arsenic and Zinc in Ghee Consumed in Kermanshah City, Western Iran using Atomic Absorption Spectrometry
        Soheil Sobhanardakani Lobat Taghavi
        10.22034/jchr.2017.544166
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        768 - Determination of Essential Nutrients in Some Indigenous Pharmacological Plants Growing in Fars Province, Iran
        Hamidreza Boostani Alireza Mahmoodi Esmaiel Farrokhnejad
        10.22034/jchr.2018.544135
      • Open Access Article
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        769 - Non-carcinogenic and Carcinogenic Risk Potentials of metals Exposure from Vegetables Grown in Sharada Industrial Area Kano, Nigeria
        Abba Babandi Murtala Ya'u Hafeez Muhammad Yakasai Dayyabu Shehu Kamalludeen Babagana Aminu Ibrahim C.A Anosike Lawrence Ezeanyika
        10.22034/jchr.2019.583982.1011
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        770 - Potential Health Risk of Nitrate Accumulation in Vegetables Grown in Pol-e Dokhtar County
        Mahboobeh Jalali Zahra Amini Farsani Mohammad Hadi Ghaffarian Mogharab Mohammad Feyzian
        10.22034/jchr.2020.1900860.1137
      • Open Access Article
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        771 - Lead Contamination in Playgrounds in Tuzla (Bosnia and Herzegovina)-environmental and Children Health Risk Assessment
        Maida Šljivić Husejnović Esmeralda Dautović Adaleta Softić
        10.22034/jchr.2020.1908960.1176
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        772 - Carcinogenic, Non-carcinogenic and Dermal Sensitization Risk Assessment of Heavy Metals in Liquid and Solid Lipsticks Highly Used in Kashan, Iran
        Fahimeh Karamali Gholamreza Hoseindoost Gholam Reza Mostafaii Golmabas Mousavi Reza Sharafati Chaleshtori
        10.22034/jchr.2021.1885972.1078
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        773 - Health Risk of Natural Radioactivity and Trace Metals in Shaving Powder
        Akinsehinwa Akinlua Ayowole Ayeni Eseoghene Umukoro
        10.60829/jchr.2024.1560
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        774 - Semi-quantitative Respiratory Health Risk Assessment of Exposure to Metalworking Fluids (Oil Mists) in an Automotive Industry
        Zahra Moradpour Soleiman Ramezanifar Elham Asgari Gandomani Rezvan Zendehdel
        10.22034/jchr.2022.1953775.1517
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        775 - Assessment of Potential Human Health Risk of Heavy Metals in Waterleaf (Talinum triangulare) Sold in Major Markets in Calabar, Nigeria
        Udiba Udiba Michael Odey Udeme Udofia Ekom Akpan John Ama
        10.22034/jchr.2022.1936423.1366
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        776 - Health Risk Assessment of Asphalt Workers’ Exposure to Benzo-α-pyrene
        Jamshid Rahimi Kamaladin Abedi Hossein Ebrahimi Rasoul Yarahmadi Iraj Alimohammadi Shahram Vosoughi Seted Hosein Tabatabaei
        10.22034/jchr.2021.1918800.1238
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        777 - Measurement of the Toxic Trace Elements in Commercial Wheat Flours: Potential Health Risk via Dietary Intake
        Seyyed Mohammad Ali Noori Reza Zadehdabagh Nahid Najafi Leila Tishezan Mehrnoush Zerehpoush Seyed Mohammad Hosein Mousavi Jazayeri Mohammad Hashemi Seyedeh Belin Tavakoly Sany
        10.22034/jchr.2021.1935256.1354
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        778 - Spatial Distribution and Ecological Risk Assessment of Trace Metals in Surface Sediments of Lake Qarun Wetland, Egypt
        Yasser El-Amier Hala Fakhry El-Sayed F. El-Halawany Hatem K. Adday
        10.22034/jchr.2022.1933091.1334
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        779 - Monitoring and Risk Characteristics of Heavy Metals in Agricultural Products in Qom, Iran
        Ahmad Reza Yari Yadollah Ghafuri Rahim  Aali
        10.60829/jchr.2024.1281960
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        780 - Predictive Assessment of Economic, Social, and Environmental Impacts of Possible Accidents; A case study: Crude Oil Base
        Jesús  Luis Orozco Julio A. Dueñas  Santana Luc Hens Carlo  Vandecasteel Jo Van  Caneghem Irina  Pedroso Jonathan Serrano Yanelys Cuba  Arana
      • Open Access Article
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        781 - Assessment of Heavy Metals in Rice Brands and their Potential Risk on Public Health
        Ali Mehrabi Mohammad Zareiyan Amar Maryamabadi Peyman Ghajarbeygi Hamid Zarei Hossein Ramezani Seyed Hamid Hosseini Masoud Kazeminia Razzagh Mahmoudi.
        10.22034/jchr.2023.1981580.1699
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        782 - Determination of Arsenic and Trace Elements Exposure in Commercial Fishes on the Iran Market: Health Risk Assessment
        Asma Afshari Faeze  Behyad Ghazaleh Monazami Tehrani Seyedeh Belin Tavakoly Sany
        10.60829/jchr.2024.6171760
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        783 - Trace Metals Content of Soil around a Municipal Solid Waste Dumpsite in Gombe, Nigeria: Assessing the Ecological and Human Health Impact
        Mohammad Sulaiman Jonnie Asegbeloyin Janefrances Ihedioha Ebube Oyeka Esther Oji
        10.22034/jchr.2019.668183
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        784 - Sources and Cancer Risk Exposure of Polycyclic Aromatic Hydrocarbons in Soils from Industrial Areas in Southeastern, Nigeria
        Uchechi Onyedikachi Chuka Belonwu Mattew Wegwu Emmanuel Ejiofor Mattew Awah
        10.22034/jchr.2019.668185
      • Open Access Article
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        785 - Dynamic multi-scale expected shortfall in Tehran Stock Exchange: a spectral decomposition of tail risk across time horizons
        Seyed Ali Mousavi Sarhadi Hosein Izadi Mojgan Safa Mohammadreza Pourfakharan
        10.30495/afi.2023.1967573.1154
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        786 - The role of operational risk events database in bank risk management
        Samane Shafiee Mohammad Hamed Khan Mohammadi Ahmad Karami Majid Ghoroghi
        10.30495/afi.2023.1971825.1168
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        787 - Evaluation of the optimal portfolio portfolio using market criteria using multi-criteria decision criteria under conditions of uncertanty in the Iranian capital market
        Kamran Taghizadeh Saber Mullah Alizadeh Zavardehi Allah Karam Salehi Ali Mahmoudi Rad
        10.30495/afi.2022.1943264.1057
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        788 - Investigating the effect of economic uncertainty on the relationship between comparability of financial statements and the stock price crash risk in Tehran Stock Exchange
        Zeinab Rezaei fatemeh kiyani
        10.30495/afi.2022.1944433.1061
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        789 - Dentify the factors financial risk management in the automotive industry using the dimatel technique
        ali fadaei abotorab alirezaee gholamreza hashemzadeh kiamarc fathi
        10.30495/afi.2021.1938118.1039
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        790 - The Mediator role of Information Asymmetry in Imperfect Competition Market on the relation between Earnings Forecast Bias & Idiosyncratic Risk derived from Capital Assets Pricing Model
        Mohammad Hassani Sanaz Moradi
        10.30495/afi.2021.1925455.1016
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        791 - Dynamic GAS Based Modeling for Predicting and Assessing the Value at Risk of Tehran Stock Exchange Index and Bitcoin
        Mohammad Ebrahim Samavi Hashem Nikoomaram Mahdi Madanchi Zaj Ahmad Yaghoobnezhad
        10.30495/afi.2022.1956046.1119
      • Open Access Article
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        792 - Stock return prediction modeling, a new approach to Bayesian dynamic averaging models and time-varying parameters
        Majid Abdi Seyedeh Atefeh Hosseini Amir Gholam Abri
        10.30495/afi.2022.1970890.1160
      • Open Access Article
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        793 - Examining the efficiency of optimization models of multi objective genetic algorithm and particle swarm algorithm under the risk criteria of conditional value at risk and mean smai variance in determining the optimal stock portfolio
        Dariush Adinehvand Ebrahim Ali Razini Rahmani Mahmoud Khoddam Fereydoun Ohadi Elham Sadat Hashemizadeh
        10.30495/afi.2023.1988982.1233
      • Open Access Article
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        794 - Analysis and explanation of stock returns based on third and fourth order torques of non-systematic risk and the role of arbitrage constraints and investors' limited attention to it
        roqaye talebi Majid Zanjirdar Mohammadreza pour Fakharan
        10.30495/afi.2022.1945563.1068
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        795 - Impact of stock price crash risk on the CEO's future power
        Seyed Amir Mohammad Pishbin Mohammad Ali Sari
        10.30495/afi.2022.1947631.1083
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        796 - Effective specific corporate characteristics on the stock price crash risk
        Nahad Behzadi Jamal Bahri Sales Saeid Jabbarzadeh Kangarluei Younes Badavar Nahandi
        10.30495/afi.2023.1977582.1188
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        797 - Cost of equity capital: the role of stakeholders’ rights protection in moderating financial information risk
        Mohammad Hassani Maryam Jabarvand Behrouz
        10.30495/afi.2023.1971166.1163
      • Open Access Article
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        798 - Modeling and identification of nonfragile variables affecting credit risk in Tejarat Bank with an emphasis on fintech technologies
        Rahman Rahimi Fahemeh Sarraf Mahboobeh Jafari Bijan Safavi
        10.30495/afi.2023.1975352.1181
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        799 - Investigating the contrarian trading strategy performance in the Tehran stock exchange based on the firm's risk criteria
        Ebrahim Qashqai Allah Karam Salehi ali mahmoodirad
        10.30495/afi.2023.1972605.1172
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        800 - Presenting an Interpretive Structural Model for Hedging Risk of Common Investment Methods Using Cryptocurrencies
        Raziyeh Eskandari Rasol Eskandari Hossein Panahian Hasan Ghodrati Ghzaani Mahdi Madanchi Zaj
        10.71729/afi.2024.1088534
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        801 - Investigating the effect of perceived past returns on investing in risky stocks considering the role mediation by the ostrich
        Mohammadmahdi  Aminizadeh Ahmad Khodamipour Omid Pourheidari
        10.71729/afi.2024.1088542
      • Open Access Article
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        802 - The effect of management ability on the relationship between CEO financial knowledge and unsystematic risk
        Majid Moradi Marjan Ghorbani Vahid Oskou
        10.71729/afi.2024.1088579
      • Open Access Article
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        803 - The use of support vector machine and Naive Bayes algorithms and its combination with risk measure and fuzzy theory in the selection of stock portfolio
        Danial Mohammadi Emran Mohammadi Naeim Shokri Nima Heidari
        10.30495/afi.2023.1995691.1257
      • Open Access Article
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        804 - Designing and Explaining the Assessment Model of Banks' Risk-taking from the Conditions of Monetary Policy Uncertainty
        Nafiseh Vatanchi Mirfeiz  Fallahshams Lialestanis Lialestani Gholamreza  Zomorodian
        10.71729/afi.2024.1088612
      • Open Access Article
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        805 - Identification and analysis of intraorganizational outsourcing risks with the combined approach of failure mode and effect analysis (FMEA), fuzzy interpretive structural modeling (FISM)
        Mostafa Sanatzadeh Saeed Ghane Ali Rezaian
        10.71729/afi.2024.1088631
      • Open Access Article
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        806 - Modeling solvency of insurance companies over time
        Danial  Poshtdar Fatemeh Saraf Ghodratollah  Emamverdi Norouz Noorollahzadeh
        10.71729/afi.2024.1088636
      • Open Access Article
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        807 - Investigating the factors influencing the interpretation and understanding of risk for capital decision making Investment in investment funds
        Roqaye  Talebi
      • Open Access Article
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        808 - The Study of Native Fish of Mesopotamichthys Sharpeyi and Barbus Grypus in Khuzestan Province Warm Water Fish Farms with the Perspective of Contamination by Heavy Metals and Risk Evaluation for Consumers
        Muhammad hamzehpour Reza Salighehzadeh Behnam Pedram Marjan Mosafer
        10.22034/ascij.2023.1996999.1542
      • Open Access Article
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        809 - The Food Safety Risk Potential of Heavy Metals in Northern Persian Gulf and Sea of Oman Fish: A Systematic and Meta-Analysis Review
        Mohammad Hosein Sinkakarimi Nooshin Gashmardi
        10.22034/ascij.2024.2003497.1571
      • Open Access Article
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        810 - The Use of Multi-Objective Meta-Heuristic Algorithm GENETIC-ANFIS in Rating the Loans Granted to Real Customers of Bank Melli Iran
        Masoud Rezaei Aghmashhadi GHolamreza Mahfoozi Farzad Rahimzadeh
        https://doi.org/10.71716/amfa.2024.61092327
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        811 - Identification of safety hazards and risk assessment using the Hazid technique and designing strategic policies in the SWOT matrix
        Seyed. Mahmoud Mir Bizhan Maghsoudlou Kamaali Mojgan Shajari
        10.30495/JONASS.2024.1092503
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        812 - The Strategic Role of Risk Management on the Interaction between Efficiency, Performance and Financial Health of Banks
        mirmorteza mousavi asgar pakmaram jamal bahri sales hasan galebafacl
      • Open Access Article
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        813 - The Strategic Role of Risk Management on the Interaction between Efficiency, Performance and Financial Health of Banks
        mirmorteza mousavi asgar pakmaram jamal bahri sales hasan galebafacl
      • Open Access Article
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        814 - Environmental management of forest fire risk using A'SWOT analysis model (a case study: forest parks in the southern slopes of Alborz, Iran)
        Mina Mackialeagha Behzad bozorgmehr Azita Behbahaninia
        10.22034/ap.2023.1975447.1141
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        815 - Implementation of Analytical Hierarchy Process to Prioritize Health, Safety and Environment Risks of Hydrocarbon-Rich Sludge in South Pars Gas Complex-First Refinery, Iran
        Mehdi Khezri Maryam Farahani Saeed Motahhari Bita Azadbakht
        10.22034/ap.2022.1970981.1137
      • Open Access Article
        • Abstract Page
        • Full-Text

        816 - Identification and Assessment of health, safety and environmental risk factors of Chemical Industry using Delphi and FMEA methods (a case study)
        Hassan Azizi Mina Mackialeagha Bita Azadbakht hassan samadyar
        10.22034/ap.2022.1971680.1138
      • Open Access Article
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        817 - Evaluation of associated factors with carpal tunnel syndrome in patients referred to orthopedic and neurosurgery clinic of Azad Islamic universities hospitals
        Khosro Shayan Marziyeh Ghanad
      • Open Access Article
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        818 - Considering the Effects of Open Courseware Education Website Technology on Improving Educational Productivity
        Farhad Ebrahimi Abbas Toloie Eshlagy Navid Nezafati
      • Open Access Article
        • Abstract Page
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        819 - The role of self-expression on the continuous understanding of the intention to play online games with the mediation of perceived risk and self-adjustment in student athletes of sports olympiads.
        Mohhamd Daliri کاظم چراغ بیرجندی
      • Open Access Article
        • Abstract Page
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        820 - Risk perception, behavioral biases and investment decisions
        Hanieh   Jaberi Seyed Javad dellavari@razi.ac.ir Saman Mohamadi
        10.30486/FBRA.1402.1103170
      • Open Access Article
        • Abstract Page
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        821 - Investigation and evaluation of urban resilience against flood risks (case study of district 3 of Shiraz city) Abstract
        Mohamadrasul  Parvari مرضیه موغلی mohammad ebrahim afifi
      • Open Access Article
        • Abstract Page
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        822 - The effect of political connections and affiliation to business groups on changes in the cost of goods sold and the risk of financial turmoil
        mohammadreza  khosheghbal Samira  Zarei Khadijeh Khodabakhshi Parijan
      • Open Access Article
        • Abstract Page
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        823 - Analyzing the Components of Resource Utilization with a Risk Management Approach: A Grounded theory Research
        Mina Sadeghzadeh Hossein Adab Mohammadali Keramati Zabiholah  Hashemi
        10.71572/msds.2024.1103306
      • Open Access Article
        • Abstract Page
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        824 - The effect of customers' attitudes on their intentions of web rooming with the mediating role of online risk in luxury goods
        mousa rahimi   moein Khajeh
      • Open Access Article
        • Abstract Page
        • Full-Text

        825 - Designing and Constructing a Tool for "Psychosocial Risks of Workplace"
        Tahereh Esmaeili bidhendi Majid Barzegar Zahra Naghsh
      • Open Access Article
        • Abstract Page
        • Full-Text

        826 - presenting a predictive model of default risk of corporate clients of mellat bank , qualitative approach ( strauss and corbin )
        Alireza Sephidpoushkhameneh yaghob pourkarim Rasoul  Baradaran Hassanzadeh Mahdi Zeynali
      • Open Access Article
        • Abstract Page
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        827 - An Empirical Comparison of Quantile-Based Risk Measures for Portfolio Construction under Practical Constraints
        Khalil Nozohouri Hossein Ghanbari emran mohammadi
        10.71720/joie.2025.1104450
      • Open Access Article
        • Abstract Page
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        828 - A Comparison of Optimal Cryptocurrency Portfolios Performance Based on Downside Risk Measures: An Analysis of Quantile-Based Risk Measures
        Mostafa Shabani Hossein Ghanbari emran mohammadi Seyed Ali Mousavi Loleti
        10.71848/jcma.2024.1104452
      • Open Access Article
        • Abstract Page
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        829 - Investigating the impact of investment behavior in Iran's capital market during the Covid-19 pandemic
        Mohammad baghr Khalgi Saeed Hosseipour
        10.71848/jcma.2024.1104600
      • Open Access Article
        • Abstract Page
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        830 - Impact of Product Quality and Perceived Risk on Loyalty through Purchase Decisions on Hygiene Products in Surabaya: COVID-19 Perspective
        Christina Susanti
        10.22034/JCHR.2024.1104748
      • Open Access Article
        • Abstract Page
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        831 - The effect of personality traits on investment decisions with the mediating role of risk tolerance
        Arezou Pouresgandar Raziabad Alireza Fazlzadeh Vahid Ahmadian Sajad  Naghdi
        10.71729/afi.2024.1104779
      • Open Access Article
        • Abstract Page
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        832 - Examining the effect of managers' narcissism on the relationship between managerial ability and the risk of falling stock prices of insurance companies in Tehran Stock Exchange.
        Abbas Babaeinejad Soheila Shamsadini
      • Open Access Article
        • Abstract Page
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        833 - Investors' monetary attitude and participation in the stock market with the presence of financial self-efficacy
        رضا منصوریان Mahdieh Qasemi
        10.30486/FBRA.1403.1105400
      • Open Access Article
        • Abstract Page
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        834 - Investment Decisions Based on Disposition Effect, Mass Behavior, and Blue Chip Stocks in Tehran Capital Market
        Meysam Kaviani Maryam Gavara Mahdi Nemati
        10.71907/sebba.2024.01021105619
      • Open Access Article
        • Abstract Page
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        835 - The mediating role of risk-taking in the structural relationship between emotional intelligence and financial intelligence with willingness to invest
        Shaishte Khodri Hamid Hooshmandi
      • Open Access Article
        • Abstract Page
        • Full-Text

        836 - Identifying and prioritizing factors affecting financial transparency in Iranian banks: using a fuzzy Delphi approach and network analysis
        Abolfazl  madani Hossain  Panahiyan Ali farhadian Seyed Abdul-Jaber  Ghodratian Kashand Hassan Ghodrati
      • Open Access Article
        • Abstract Page
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        837 - Analysis of high-risk behavior experience among youth with emphasis on parent-child conflict
        Sepide   Nasiri ne,mat sotodeh faezeh jahan علی اصغر فیروزجاییان گلوگاه
      • Open Access Article
        • Abstract Page
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        838 - The effect of marketing capabilities on export risk performance with the mediating role of competitive strategy and marketing communications
        Mohsen Nazem Bokaei Mohaddaseh Ashrafian Rahaghi
      • Open Access Article
        • Abstract Page
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        839 - Dynamic Correlation Regarding Stock Fall Risk Response to Oil Price Shocks and Government Fiscal Deficit Despite Economic Policy Uncertainty
        zahra taleii Mohammad Reza Pourali سید فخرالدین فخرحسینی
      • Open Access Article
        • Abstract Page
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        840 - Risk analysis in sustainable supply chain using Delphi method and fuzzy multi-criteria decision making; (Reviewed by Taravat Dairy Products Company)
        Elahe Khorasani Mansoor Momeni
      • Open Access Article
        • Abstract Page
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        841 - The role of information disclosure dimensions on pricing the probability of using confidential information
        Mohsen  Hamshi Rahim Bonabi Ghadim Heydar  Mohammadzadeh Salteh
        10.71729/afi.2025.1108174
      • Open Access Article
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        842 - Construction and Primary Standardizing of the Desire for High-Risk Behaviors Scale among Adolescent Girls
        fatemeh paki, zahra yosefi gol parvar mohsen
      • Open Access Article
        • Abstract Page
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        843 - Construction and Primary Standardizing of the Desire for High-Risk Behaviors Scale among Adolescent Girls
        fatemeh paki, zahra yuosefi, gol parvar mohsen
      • Open Access Article
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        844 - operational and credit risk model on planning management and efficiency of banks admitted to the stock exchange
        Seyed Siavash Abolghasemi , Seyed Ali , Nabavi Chashmi Erfan Memarian Mohammad Taghipour
      • Open Access Article
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        845 - Flood risk in Khuzestan province by integrating satellite and hydrological data
        Peyman Tahmasebi Saadi Biglari-Gholdareh pegah golmohammadi bakhtiar karimi amin karimifam
        https://doi.org/10.71834/gisrs.2024.1115293
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        846 - Clarifying the effect of personality traits on the behavioral biases of financial professionals in Iran
        leila raeisi حمید رستمی جاز morteza bavaghar
        10.30486/FBRA.1403.1115499
      • Open Access Article
        • Abstract Page
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        847 - Studying the effect of religiosity and suicide tendency: Meta-analysis of researches
        Taha Ashayeri elham abbasi tahere Jahanparvar Hanieh Adel
      • Open Access Article
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        848 - Safety Risk Assessment of Lithium-Ion Batteries Through Fuzzy Multi-Criteria Decision Making Methods
        Mohammad Rostami Amir Sabripour
        https://doi.org/10.71808/fomj.2024.1118847
      • Open Access Article
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        849 - The Effect of Financial Reporting Quality on the Relationship between Stock Price Crash Risk and Risk of litigation against the auditor
        Samaneh Honar Esmaeil  Akhlaghi Yazdi Nezhad
      • Open Access Article
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        850 - Examining the Relationship Between Audit Quality and Risk Taking in Value Creation: The Role of Company Size as a Mediator
        Hossein  Nourani Razieh Jahandari
      • Open Access Article
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        851 - The effect of voluntary flexibility of risk committees of the board of directors on the risk of financial restrictions in banks admitted to the Tehran Stock Exchange
        Mohammad Reza Radfar Mansoureh Aligholi Zahra Kalantarzadeh Darreh shiri
      • Open Access Article
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        852 - Selection of stock asset portfolio based on risk and return of asset portfolio: the case study of Tehran stock market
        leila asiyabiagdam Mohammad Bagheri
        10.30495/ECOMAG.1403.1119436
      • Open Access Article
        • Abstract Page
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        853 - Comparison of the effectiveness of neurofeedback and schema therapy on high-risk behaviors, cognitive avoidance and brain waves in delinquent adolescents in Tabriz
        mina abbasi مهدی اقاپور
      • Open Access Article
        • Abstract Page
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        854 - Investigating the effect of stock idiosyncratic and cash flow volatility on the future stock price crash risk
        Reyhane  Mohamadi Rahman  Saedi Mohsen  Dastgir
        10.71729/afi.2024.1120310
      • Open Access Article
        • Abstract Page
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        855 - Operation studies of the power system containing solar power plants equipped with linear parabolic collectors
        Mohammad Bagher Rezaeianzadeh Mohammad h Fatehi
      • Open Access Article
        • Abstract Page
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        856 - The effect of managerial ability on the relationship between credit risk and liquidity risk with the probability of bank default
        Shokoufeh Etebar Shohre Ebrahimi
        10.71965/AFT.2024.1120632
      • Open Access Article
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        857 - Investigating the Relationship between Company Diversification and Systematic Risk by Studying the Cash flow of Companies Listed on the Tehran Stock Exchange
        Zahra  Houshmand Negabi Fatemeh Pirhayati
      • Open Access Article
        • Abstract Page
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        858 - An innovative approach to investigate the impact of human resource risk on production productivity with the moderating role of knowledge maturity in the Organization of Industry, Mining and Trade of Tehran Province
        Tahereh Hasoomi
      • Open Access Article
        • Abstract Page
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        859 - Investigating changes in body composition and cardiovascular risk factorsin in obese children by basic gymnastics exercise
        Sohila  Fakhrian Roghani Allahyar  Arabmomeni
        https://doi.org/10.71951/epp.2025.1121390
      • Open Access Article
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        860 - A MLP Neural Network Approach for Validation of Health Insurance Customers in Big Data Environments
        Saeed Shouri ali cheshomi Ahmad Seifi Rasoul Ramezani Taghi Ebrahimi Salari
        10.71856/impcs.2024.1121950
      • Open Access Article
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        861 - Risk Analysis, Risk Assessment and Creation of Damage Probability Model for Yasouj City in OpenQuake Software
        Ali Sadeghi عبدالرضا سروقدمقدم فرشید فتحی
      • Open Access Article
        • Abstract Page
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        862 - Designing and implementing a reliability centered maintenance(RCM) using key performance indicators (KPIs) and risk analysis (Case study: synthetic fiber raw material production company)
        Amir  Yousefi Ommolbanin Yousefi Mehdi Karbasian
      • Open Access Article
        • Abstract Page
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        863 - Analyzing the Components of Resource Utilization with a Risk Management Approach: A Grounded theory Research
        hossein adab mina sadeghzadeh mohammadali keramati سید ذبیح اله هاشمی
      • Open Access Article
        • Abstract Page
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        864 - Investigating the relationship between protective and risky family factors and attitudes toward drug use in upper secondary school students The mediating role of identity styles
        HADI SARANI hasan ali veiskarami عزت الله قدم پور
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        865 - The mediating role of attachment styles in the relationship between the protective and risky factors related to the family and the attitude towards drug use in secondary school students.
        HADI SARANI hasan ali veiskarami Ezatollah Ghadampoor
      • Open Access Article
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        866 - The effect of Managerial Social Capital on Bankruptcy Risk with an emphasis on Passive Institutional Owners (Case Study: Companies Listed on the Tehran Stock Exchange)
        Mohammadreza Abbasi Astamal Parya Azimi
      • Open Access Article
        • Abstract Page
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        867 - Characteristics of the board of directors, Risk taking and Operational Risk of the company
        zakiyeh khosravanimehr
      • Open Access Article
        • Abstract Page
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        868 - The role of risk management effectiveness on the relationship between CEO characteristics and financial risk volatility
        Seyed mehdi Miraeez hadi movludian seyed hesam vaghfi
        10.30495/jom.2023.1967031.1065
      • Open Access Article
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        869 - Analyzing branding obstacles in family companies using structural equation modeling
        amirhossein Abdolalipour FLOR NEDAYEE Hooshmand Baghery Garebolagh
        10.30495/jom.2024.2000504.1110
      • Open Access Article
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        870 - Emerging pollutants in aquatic environments: Occurrence, sources, fate, health and environmental effects and risk assessment
        Mohammad Safari Ahmad Asl Hashemi Gholamhossein Safari
      • Open Access Article
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        871 - The effect of Credit and Liquidity risks of barter and QARZ AL-HASANEH contracts on the Stability of Iranian Banks
        Ehsan JaliliFard Mohammad Sokhanvar tahereh akhoondzadeh
        10.30495/ECOMAG.1403.1126066
      • Open Access Article
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        872 - Study of Heavy Metals in Farmed Rainbow Trout in Sousan-e Sorkhab Andika
        Valid  Chenaneh Reza  Salighehzadeh Mohsen  Pournia Marjan Mosafer
        https://doi.org/10.60833/ascij.2025.1126234
      • Open Access Article
        • Abstract Page
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        873 - The board diversity (relation-oriented and task-oriented) and the stock price crash risk: Emphasizing the role of institutional ownership
        Soleyman  Karimi Shehni Allah Karam Salehi Mousa  Bagheri Kahkesh Samira Hashemi Bolmiri
        10.71848/jcma.2024.1126298
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        • Abstract Page
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        874 - Design and validation of the taxpayer selection model in the audit based on the expansion of social development and risk for the value added tax system in medium risk companies.
        ardeshir bovard Ali Esamailzadeh mogry نگار خسروی پور فرزانه حیدر پور
      • Open Access Article
        • Abstract Page
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        875 - تحلیل و ارزیابی خطر زلزله به‌منظور شناسایی محدوده‌های ایمن در شهرهای جلگه‌ای (نمونه موردی: شهر بابل)
        Seyed Mostafa Hashemi Karobi Sadroddin Motevalli Gholamreza Janbaz Ghobadi Jalal Azimi Amoli
      • Open Access Article
        • Abstract Page
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        876 - Evaluation of areas prone to urban development with an emphasis on geomorphological capabilities and risks (case study: Isfahan city)
        Khalil Alinezhad mohammad ebrahim afifi marzie moghali
      • Open Access Article
        • Abstract Page
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        877 - Presenting the risks management model affecting the LARG supply chain (food industry)
        mohammad ghoroghchian mojgan safa Omid ali Adeli محمدرضا پورفخاران
      • Open Access Article
        • Abstract Page
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        878 - The effect of virtual social media on risk taking in students
        maryam talebdoost Mahnaz  Amirpour Masoud  Imanian Ardabili
      • Open Access Article
        • Abstract Page
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        879 - The Impact of Preventive Risk Reduction Strategies on Business Performance Through Supply Chain Risk Management Performance with the Mediating Role of Risk Management Culture )Case study: 4 and 5 star hotels in the holy city of Mashhad(
        Seyed moteza Ghayour Laleh  Akbari Sultanabad احمد ناطق گلستان Naser  Zeinabi
      • Open Access Article
        • Abstract Page
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        880 - Investigating the impact of political risk on the shadow economy: A quantile panel approach
        Ther  Saadoon Shnaishel Yousef  Mohammadzadeh Ramin  Bashir Khodaparasti Shahab Jahangiri
        https://doi.org/10.71849/ECO.2024.1127783
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        • Abstract Page
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        881 - Heavy Metals Pollution and Health Risk Assessment of Groundwater of Bikaner Block (Rajasthan)
        Leela Kaur Mukesh  Kumar Sharma Monika Kumari Kumari Radha  Kishan Saran
        10.60829/jchr.2024.1127862
      • Open Access Article
        • Abstract Page
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        882 - Fuzzy Inference System Modeling for Corrosion Risk Management of Natural Gas Pipelines
        Nazila Adabavazeh Mehrdad Nikbakht Atefeh Amindoust Sayed Ali Hassanzadeh-Tabrizi
        https://doi.org/10.71808/fomj.2024.1128282
      • Open Access Article
        • Abstract Page
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        883 - Examining the effect of financial risk on the relationship between social responsibility and financial non-compliance
        Nashmil Esmaeili Parviz Piri
        10.71600/jacgr.2024.1128453
      • Open Access Article
        • Abstract Page
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        884 - The effect of Comprehensive program of joint action on Credit Rating with the role of state ownership of firms listed in the Tehran stock exchange
        Golshan Mohammadi khanghah Shahnaz Mashayekh
        10.71600/jacgr.2024.1128654
      • Open Access Article
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        885 - Investigating the relationship between managing director's marital status and the efficiency of company capital allocation
        Shahrzad Seraj Mohammad  Khoshnodan
        10.71965/aft.2025.1128657
      • Open Access Article
        • Abstract Page
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        886 - The Effect of Management Interpretative Report Regulations on the Relationship Between Risk Sentiment of Annual Reports and Stock Liquidity Risk Using the System of Simultaneous Equations.
        Akram Taftiyan Fatemeh mansuri mohammad abadi Akhtar Sadat   ouliai
      • Open Access Article
        • Abstract Page
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        887 - Pricing for Complementary and Substitute Products Simultaneously in the Package-Sale and Separate-Sale Considering Disruption Risk
        Ashkan Mohsenzadeh Ledari
      • Open Access Article
        • Abstract Page
        • Full-Text

        888 - Study of White Leg Shrimp (Litoppenaeus vannamei) of Shrimp Farming Complexes in Gomishan, Golestan Province, with the Perspective of Contamination by Heavy Metals and Risk Evaluation for Consumer
        reza khalili Reza  Salighehzadeh Marjan Mosafer
        https://doi.org/10.60833/ascij.2025.1129216
      • Open Access Article
        • Abstract Page
        • Full-Text

        889 - Investment Portfolio Optimization with Fuzzy Parameters Considering Value at Risk and Suitability with Risk Tolerance and Risk-taking Indices for Retail Investors
        Ali Namaki Saeid Shirkound Amirsina Jirofti
      • Open Access Article
        • Abstract Page
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        890 - Udder Cleft Dermatitis (UCD) in Dairy cow: Almost incurable even fatal dermatitis
        Morteza Gorjidooz
      • Open Access Article
        • Abstract Page
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        891 - Examining the Ergonomic Aspects of Sports Equipment Located in Open Spaces and Urban Parks with a Risk Management Approach
        Maryam  Safdari Bagher  Morsal Seyed Mostafa Tayebisani Sosan  Sahami
      • Open Access Article
        • Abstract Page
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        892 - Investigating factors affecting the marriage avoidance of youth
        Shaho Rastegari Mohsen Niazi Ali farhadian
        10.71854/soc.2024-1130164
      • Open Access Article
        • Abstract Page
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        893 - Macroeconomic changes and financial development on non-performing loans are developing, developed and less developed
        Amirreza Souri Fatima  Panahi
        https://doi.org/10.71849/ECO.2025.1130343
      • Open Access Article
        • Abstract Page
        • Full-Text

        894 - The impact of climate-related risks on financial statements
        Elham Hamidi Morteza Asadi Majid Rastegar Pooyani
        10.71600/jacgr.2024.1130380
      • Open Access Article
        • Abstract Page
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        895 - The Effect of Business Risk Management on Financing Cost by Considering the Managers' Ability
        Mohammad  SadeghzadehMaharluie GholamReza  Rezaei Pooya Farahbod
      • Open Access Article
        • Abstract Page
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        896 - The role of agricultural activities risk management in improvement of economic indexes in the rural families Case study: City of Gorgan
        Ali Akbar Najafi Kani Bahman Sahneh Mohsen Akhlaghi
      • Open Access Article
        • Abstract Page
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        897 - Investigating the perceptions of Lake Urmia drying risk in changing the patterns of rural behavior Case study: villages of the eastern side of the Lake Urmia
        Ali Majnouni- Toutakhane Mohammad Zaheri
      • Open Access Article
        • Abstract Page
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        898 - Flood risk assessment using a combination of cellular automated and SCS models In the northern slopes of Central Alborz (Case study: Lavijrood watershed)
        Sadroddin Motevalli
        10.30495/jzpm.2022.29573.4027
      • Open Access Article
        • Abstract Page
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        899 - Behavioral Risk Management Model Providing Behavioral Prescriptions for Human Resources Management of Private Banks
        Behnoush Jovari SayyedKamran yeganegi
      • Open Access Article
        • Abstract Page
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        900 - Measuring and prioritizing earthquake resilience in rural areas Case study: South and central Wilkije part of Namin County
        vahid taleihur mohamad zaheri soheyla bakhtar ashkan shafiee
        10.30495/jzpm.2022.5366
      • Open Access Article
        • Abstract Page
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        901 - Assessing and Prioritizing Risks in regional infrastructure projects based on public-private partnership (PPP) method using a combination of fuzzy multi-criteria decision making techniques (Case study: Freeway)
        ebrahim jokar babak aminnejad alireza lork
        10.30495/jzpm.2021.26822.3807
      • Open Access Article
        • Abstract Page
        • Full-Text

        902 - Measuring Pistachio price risk and determining effective factors on it in the main producer provinces
        morteza tahami pour vida varahrami vajihe ghavidel
      • Open Access Article
        • Abstract Page
        • Full-Text

        903 - Determining Risk Attitude of Rice Farmers into inputs risk in Rasht County: Safety First Model
        Haniye Kazmi Shabanzade Aflaki Ozra Javanbakht Khadijeh Alefi
      • Open Access Article
        • Abstract Page
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        904 - Designing risk profile of melon product of Mashhad city
        Sima Ghazanfari Mohammad Ghorbani Arash Dourandish
        10.30495/jae.2021.22549.2066
      • Open Access Article
        • Abstract Page
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        905 - Effects of Crop Insurance on Productivity and Risk Management: a Case Study of Fars Province
        J. Torkamani S . N . Mousavi
      • Open Access Article
        • Abstract Page
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        906 - Effects of Climate Change on Maize Yield in Iran: Application of Spatial Econometric Approach with Panel Data
        E. پیش بهار S. دارپرنیان M. GH
      • Open Access Article
        • Abstract Page
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        907 - Comparison of Optimal Portfolio Stocks of Food Processing Companies in Value at Risk Framework
        H. اصغرپور F. فلاحی N. صنوبر A. رضازاده
      • Open Access Article
        • Abstract Page
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        908 - The Effects of Government Support Policies on Income Risk And Production cost of Selected Horticultural Products (Pistachio, Date, Apple and Citrus)
        Z. رضایی N. SH H. محمدی A. کیانی راد
      • Open Access Article
        • Abstract Page
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        909 - Factors Influencing Loan Default Among Farmers In Mamasani
        S. A. Hoseini M. Zibaei
      • Open Access Article
        • Abstract Page
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        910 - Group membership model with distinct analysis for students with high-risk behaviors based on family characteristics.
        rahim farzin Nadereh Sohrabi siamak samani Maryam Koroshnia
      • Open Access Article
        • Abstract Page
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        911 - A causal model to explain High risk behaviours in high school students based on Identity Processing styles with mediation of School Burnout
        Parsa Bahmani behnam makvandi Reza Joharifard
        10.30495/jpmm.2021.27901.3380
      • Open Access Article
        • Abstract Page
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        912 - Explaining the causal model of tendency to high-risk behaviors based on psychological flexibility and attachment styles mediated by emotion-seeking in male and female high school students
        Shahram Monajati naser amini GholamReza Jaafarinia
        10.30495/jpmm.2022.28895.3481
      • Open Access Article
        • Abstract Page
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        913 - Mediating Role of Self-esteem for Quality of Life and at Risk Behavior
        K. محمدی ZH. رفاهی S. سامانی
      • Open Access Article
        • Abstract Page
        • Full-Text

        914 - The effect of 8 weeks aerobic exercise training on cardiovascular risk factors in men with type 2 diabetes mellitus
        Seyyed Zoheir Rabei Mohsen Salesi
      • Open Access Article
        • Abstract Page
        • Full-Text

        915 - Waterlogging Risk Mapping Using Remote Sensing and Field Data (Case Study: Qazvin)
        Hamed Mansoori Vahid Yazdani
      • Open Access Article
        • Abstract Page
        • Full-Text

        916 - Application of artificial neural network, frequency ratio and evidential belief function models in preparing of flood susceptibility map in Haraz watershed: A plan for urban flood risk studies
        Himan Shahabi
        10.30495/jupm.2021.4245
      • Open Access Article
        • Abstract Page
        • Full-Text

        917 - Structural modeling of the role of economic indicators on physical-infrastructural resilience of surface runoff (Case study: District 7 of Ahvaz)
        maryam mahmodi Rasol Heidary Soreshjani
        10.30495/jupm.2022.28885.3982
      • Open Access Article
        • Abstract Page
        • Full-Text

        918 - A Survey of Students' Entrepreneurship Traits(A Case Study of Darab Islamic Azad University
        M.H Rezaee طیبه Rahsepar
      • Open Access Article
        • Abstract Page
        • Full-Text

        919 - Investigating the effect of financial risk on industrial exports and intra-group industrial exports of member countries of the Organization of Islamic Cooperation (OIC)
        mehdi jahanbakhsh porjabari فرزاد کریمی mostafa rajabi
      • Open Access Article
        • Abstract Page
        • Full-Text

        920 - Pollution Indices and Health Risk Assessment of Heavy Metals in Soil of Major Motor Parks in Yola, Nigeria
        Abdulazeez Mobolaji  Hammed Ayodele Akinterinwa Shuaibu Abdullahi Hasiru Mahmud
        10.60829/jchr.2025.1183551
      • Open Access Article
        • Abstract Page
        • Full-Text

        921 - Presenting a Model to Investigate the Impact of Intangible Capitals Management on Credit Scoring of Companies Considering the Role of Risk Management Framework, Communication and Performance (Partial Least Squares Structural Equation Modeling (PLS-SEM) Approach)
        Pardis Fooladi Mohsen  Amini Khozani Zohreh Hajiha Shadi  Shahverdiani
      • Open Access Article
        • Abstract Page
        • Full-Text

        922 - Application of Portfolio Theory in investigating the effect of farmers' risk preferences on the cropping pattern and water productivity in Nazarabad County
        Fatemeh Mirmohammadi Fatemeh Kashiri Kolaei Somayeh Shirzadi
        10.71857/jaem.2024.1183983
      • Open Access Article
        • Abstract Page
        • Full-Text

        923 - Testing and analyzing the effect of business risk and liquidity variables on the return rate of shares of manufacturing companies listed in Tehran Stock Exchange
        Seyed Mahdi  Mirfathi Barkeiani somayeh shokravi Reza Khoshsima
      • Open Access Article
        • Abstract Page
        • Full-Text

        924 - Seismicity and zoning of ground acceleration in new city of Hashtgerd
        ALI Bitollahi Ghazaleh Razaghian Fatemeh DehghanFaroji Negar Soudmand
      • Open Access Article
        • Abstract Page
        • Full-Text

        925 - The Impact of Fintech on Credit Risk of Banks: Evidence from the Tehran Stock Exchange
        Parvin Sadri Milad khorsandi
      • Open Access Article
        • Abstract Page
        • Full-Text

        926 - Evaluation of Fixed Income Mutual Funds' Performance with Data Envelopment Analysis
        Saeid Mehrabian Ali Hadi Fatemeh Fattahi
        10.71932/ijm.2025.1184552
      • Open Access Article
        • Abstract Page
        • Full-Text

        927 - Examining the Effect of Supply Chain Risks on the Financial Performance of Stock Exchange Companies
        Alireza   Shahraki Mohammadreza  Asghariyan
        10.71737/jpm.2024.1184884
      • Open Access Article
        • Abstract Page
        • Full-Text

        928 - Determining the optimal weight of the portfolio of bank assets using value at risk (case study of Bank D)
        shahahram kordi فرزانه خلیلی مهدی صادقی
      • Open Access Article
        • Abstract Page
        • Full-Text

        929 - Introducing and examining a model to measure value at risk in Iranian stock indices based on global factors.
        Ali Yehyanemer Amirreza Keyghobadi شهریار نصابیان
        https://doi.org/10.71818/ecj.2025.1185333
      • Open Access Article
        • Abstract Page
        • Full-Text

        930 - Predicting the tendency to risky behaviors in adolescent girls based on emotional dysregulation and self-differentiation
        Fatemeh Mina Mohammad Reza Bardideh
      • Open Access Article
        • Abstract Page
        • Full-Text

        931 - Investigating return and volatility spillovers among selected industries of the Iranian stock market: TVP-VAR Extended Joint and DCC-GARCH approaches
        Hadi  Esmaeilpour Moghadam Emad Sharifbagheri
        https://doi.org/10.71849/ECO.2024.1185971
      • Open Access Article
        • Abstract Page
        • Full-Text

        932 - The dynamics of improving the performance of Iran's Venture Capital with a systemic approach
        Ghasem Mohsenzadeh Zohreh Hajiha Fatemeh Sarraf
      • Open Access Article
        • Abstract Page
        • Full-Text

        933 - Constant Volatility Scaled and Semi-Constant Volatility Scaled Momentum in Tehran Stock Exchange
        Mohammadreza Ghaseminejad kamran pakizeh
        https://doi.org/10.71716/amfa.2025.31186851
      • Open Access Article
        • Abstract Page
        • Full-Text

        934 - The effect of sustainability performance on the relationship between organizational risk management and financial risk of companies
        Farshid Ahmadi Farsani Alireza Abroud Abdonaser Derakhshan
      • Open Access Article
        • Abstract Page
        • Full-Text

        935 - Threshold effects of corporate governance on stock returns of listed banks despite risk and monetary policy shocks
        Seyed Saeed  Mousavi Bijan Safavi Fatemeh Zandi
        https://doi.org/10.71849/ECO.2025.1187289
      • Open Access Article
        • Abstract Page
        • Full-Text

        936 - The impact of sustainable finance on business risk resilience with the mediating role of risk management infrastructures in small and medium companies in Tehran
        Mohammad Reza Radfar
      • Open Access Article
        • Abstract Page
        • Full-Text

        937 - Investigating the effect of product market advertising and the risk of falling stock prices in the future of Iran
        Seyyed Hasan  Shojaei Mehrzad Ebrahimi هاشم زارع
      • Open Access Article
        • Abstract Page
        • Full-Text

        938 - Validation of Adverse Risk and Favorable Risk Model According to Psychological Variables in Predicting Market Fluctuations in the Iranian Capital Market
        Hassan  Rezaei Kangi Mahdi   Mohammad Bagheri Hojat Babaei Ali RaeispourRajabali
        10.71572/msds.2024.1188114
      • Open Access Article
        • Abstract Page
        • Full-Text

        939 - Fire Risks in Eco-Tourism and Strategies for Fire Safety: The Case of Tehran's National Parks
        Amir  Heidari Shadab Jabbarpoor
      • Open Access Article
        • Abstract Page
        • Full-Text

        940 - Relationship Between Behavioral Inhibition and Approach systems (BIS-BAS) and Emotional Regulation Strategies with Heart Risk Factors in Patient with Myocardial Infarction. (Authors: Saied Malihialzackerini / Roshanak Taghvaee)
        saied Malihialzackerini
      • Open Access Article
        • Abstract Page
        • Full-Text

        941 - Testing the impact of banking financial technology on risk management based on the dynamic panel data approach for the group of banks and financial institutions admitted to the Tehran Stock Exchange
        Afshin Aminipour Akbar Bagheri hamidreza kordlouie Marzeieh  Houshmand
      • Open Access Article
        • Abstract Page
        • Full-Text

        942 - Evaluating the Effect of Seismic Hazard Level on the Risk-based Insurance Premium of Buildings against Earthquake
        Shahrokh Tafi پوریا رشوند Mehdi Mahdavi Adeli سید امیرحسین هاشمی
      • Open Access Article
        • Abstract Page
        • Full-Text

        943 - Application of STPA-BWM model to evaluate the safety of Azar oil field gas transmission pipelines based on reliability
        Bahareh Lelahizadeh Hasan Mihanparast Simin dokht Zeynali Farham Aminsharei majid afshar
        https://doi.org/10.82433/jnree.2024.1190234
      • Open Access Article
        • Abstract Page
        • Full-Text

        944 - Explaining the Relationship Pattern between Risk Management and Financial Performance of Banks
        Gholam abbas taghian Seyedeh Mahboobeh Jafari Mohsen Hamidian
      • Open Access Article
        • Abstract Page
        • Full-Text

        945 - The Impact of Environmental Reporting on Adverse Risk of Companies Listed on the Tehran Stock Exchange
        حمیدرضا محمدی Amirhossein Taebi Noghondari
        10.71572/msds.2024.1190444
      • Open Access Article
        • Abstract Page
        • Full-Text

        946 - The impact of extroversion and neuroticism on the attitude and perception of risk and investors' return expectations with the moderating role of financial literacy
        Rahman  Khanigonbad Mansour Garkaz khadije Eslami alireza maetoofi ali khozain
        10.30486/FBRA.1404.1190573
      • Open Access Article
        • Abstract Page
        • Full-Text

        947 - Identification and Risk Assessment for Occupational Exposure to Volatile Organic Compounds (VOCs) and Insecticides in a Chemical Process Plants with Introducing Corrective and Prevention Actions
        Farima Sobhi Fatemeh Ardestani
      • Open Access Article
        • Abstract Page
        • Full-Text

        948 - Evaluation of Dimensions of Urban Resilience Against Flood Risk (Case Study: Falavarjan City)
        Mohammad Esmaeili Pezhman Esmaeili
        10.71740/ges.2024.1190688
      • Open Access Article
        • Abstract Page
        • Full-Text

        949 - The influence of country risks on economic complexity: examining the role of open economy strategies
        Hussein Alaa Jaafar Samad  Hekmati Farid Yousef  Mohammadzadeh
        https://doi.org/10.71849/ECO.2024.1191024
      • Open Access Article
        • Abstract Page
        • Full-Text

        950 - The relationship between the cost of equity capital and social responsibility by examining the impact of the company, market risk and asset return on the Tehran Stock Exchange
        Mohsen Hamidian Ali kianifar Elnaz Sabzei Saeid Shahabadi
      • Open Access Article
        • Abstract Page
        • Full-Text

        951 - Optimal Shape Investigation of Masonry Arch Bridges under Dynamic Loads Using Support Vector Machine
        Kaveh Kumarci
        https://doi.org/10.82553/josc.2025.140309151192589
      • Open Access Article
        • Abstract Page
        • Full-Text

        952 - Evaluation and classification of quantitative and qualitative criteria effective in the occurrence of environmental hazards (Case study: Flood risk in Tehran metropolis)
        Aliakbar  Karimipour صابر قاسمی Mohsen Dehghani حسین پرورش
        https://doi.org/10.82433/jnree.2024.1192680
      • Open Access Article
        • Abstract Page
        • Full-Text

        953 - The effect of economic uncertainty and credit risk on lending of banks listed on the Tehran Stock Exchange using the generalized method of moments (GMM).
        هادی جان زاد پریجایی Gholamali Haji ahmad sarlak
      • Open Access Article
        • Abstract Page
        • Full-Text

        954 - The Impact of Stock Price Crash Risk on Debt Cost with the Mediating Role of Default Risk and the Moderating Role of Information Transparency
        Hossein Saedi Abdolmajid Dehghan
      • Open Access Article
        • Abstract Page
        • Full-Text

        955 - Assessment of invasive risk of non-native species of Mandarin duck Aix Galericulata (Linnaeus, 1758) in Iran
        Ghazaleh  Mirbazel Mohamad Kaboli Seyed Daryoush  Moghaddas
      • Open Access Article
        • Abstract Page
        • Full-Text

        956 - The impact of internal control implementation on stock price crash risk considering the role of corporate governance
        Abdolrasoul Mostajeran Mehdi Mirjalali
        10.71965/aft.2025.11197085
      • Open Access Article
        • Abstract Page
        • Full-Text

        957 - Exploring Health Risks Associated with Heavy Metal Contamination in Groundwater from Industrial Zones in Samut Prakan Province, Thailand
        Somkid Tangkan Cherlyn  Sirisetpop Potchanun Sripothong
        10.60829/jchr.2025.1198062
      • Open Access Article
        • Abstract Page
        • Full-Text

        958 - Comparative analysis of Fama - French model and Zhang model in predicting corporation's stock returns
        Hossine jahromi Gholamreza Askarzadeh
      • Open Access Article
        • Abstract Page
        • Full-Text

        959 - Investigating the Probable Safety and Invironmentally Consequences of Propane Reservoir Incidents in Behran Oil Refinery by using PHAST Software
        Hamid Ansari Fatemeh Ardestani
      • Open Access Article
        • Abstract Page
        • Full-Text

        960 - The relationship of psychological features and personal financial knowledge with mentality risk taking and shareholders financial disputes
        Javad Rezaei Ali Reza Mehrazeen Abolghassem  Massihabadee
        10.30486/FBRA.1403.1198700
      • Open Access Article
        • Abstract Page
        • Full-Text

        961 - The impact of business strategy on the cost of equity, considering the moderating role of information system quality
        Arefe Amani hafshejani Maryam Emamimibody
      • Open Access Article
        • Abstract Page
        • Full-Text

        962 - A Report on the Anthropometric and Health Characteristics of Foreign Students at SRBIAU in 2023-2024
        Amirfaham  Rezaee Niloofar Bayat Mahsa  Aghaei Melika Sajadhosseini Melika  Tahmasbi Behnood Abbasi
      • Open Access Article
        • Abstract Page
        • Full-Text

        963 - A Biochemical and Health Perspective on the Recurrence of Febrile Seizures in Children: Identifying Risk Factors and Clinical Outcomes
        Khalid Khloofi  Raddam Ali Mohammed  Brakat Raed Fanoukh  Al-Aouadi
        10.60829/jchr.2025.1199937
      • Open Access Article
        • Abstract Page
        • Full-Text

        964 - Analysis of the Impact of Structural Variables on Bank Financial Stability: Evidence from the Iranian Banking Industry
        Mohammadali Mashayekhi Mahmood Mahmoodzadeh Mir Hossein  Mosavi Saleh  Ghavidel Doostkouei
      • Open Access Article
        • Abstract Page
        • Full-Text

        965 - Modeling the effects of risk and return on the behavioral strategies of investors and countries in the analysis of equilibrium in international relations.
        آرش اعظمی Mahmood Hematfar مریم خلیلی عراقی
      • Open Access Article
        • Abstract Page
        • Full-Text

        966 - Providing an appropriate model for measuring customers' credit risk in online loan payments
        Amir Bolivand Safiyeh Mehrinejad
      • Open Access Article
        • Abstract Page
        • Full-Text

        967 - Investigating the mediating effect of earnings quality on the relationship between corporate governance characteristics and financial distress risk of companies listed on the Iraq Stock Exchange
        Amar Emad Khalaf Halboosh Masood Fooladi Zahid  Qasim Badan Maryam Farhadi
        10.71965/aft.2025.1202800
      • Open Access Article
        • Abstract Page
        • Full-Text

        968 - Presentation of an Islamic Banking Performance Model with a Focus on Islamic Governance: Are Islamic Sustainability and Technology Important?
        Elnaz Allaf Jafari Farzad Asayesh
      • Open Access Article
        • Abstract Page
        • Full-Text

        969 - The effect of volatility spillover risk of asymmetry between uncertainty of the foreign exchange market and the Tehran Stock Exchange
        abbas naeimi Mirfeiz Fallahshams فریدون اوحدی
      • Open Access Article
        • Abstract Page
        • Full-Text

        970 - Explaining the Threshold Effects of Foreign Exchange Market Pressure on Stock Returns with the Influence of Risk Aversion Indicators in Aiming to Improve Marketing Management in Financial Markets
        MARYAM  SADEGHI SANABADI Hosein Sharifi Renani maryam emamimibody

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