List of Articles بازده سهام Open Access Article Abstract Page Full-Text 1 - The predictive ability and information content of aggregate earnings beyond disaggregate earnings R. Shabahang Z. Lashgari Open Access Article Abstract Page Full-Text 2 - Financial Market Forecasting Methods under Structural Break Frozandeh Jafarzadehpour Amir Nazemy Alireza Asadie Open Access Article Abstract Page Full-Text 3 - The relationship between Conditional conservatism of accounting and The Stock Price Crash Risk Omid Farhad Touski Rahman doostian Open Access Article Abstract Page Full-Text 4 - The impact of Sentimental Decision Investors and fundamental variables techniques on stock returns in Tehran Stock Exchange کبری سرلک زهرا علیپور درویش حمید رضا وکیلی فرد Open Access Article Abstract Page Full-Text 5 - Investigating the Relationship between Conservative and Negative Skewness of Stock Returns with Emphasis Debt Maturity in the Life Cycle Mohammad Hossein Asadi Moshizi Zohreh Hajiha Sayedeh Mahboubeh Jafari Open Access Article Abstract Page Full-Text 6 - The Comparison of Stock Trading Strategies for Computing of Stock Return in the Short term and Long term Investment زهرا پورزمانی محمدرضا محمدی Open Access Article Abstract Page Full-Text 7 - تاثیر گرایش های احساسی سرمایه گذاران بر بازده سهام فرزانه حیدرپور ید اله تاری وردی مریم محرابی Open Access Article Abstract Page Full-Text 8 - Information Flow and Stock Return Predictability Mohammad Rahimi Abolfazl Shahabadi Open Access Article Abstract Page Full-Text 9 - Evaluation of the Share Price Movement: A Case Study of Insurance Group in Tehran Stock Exchange Atefeh Zareie Seyed-nezamuddin Makiyan Mehdi Hajamini 10.30495/jfksa.2023.21895 Open Access Article Abstract Page Full-Text 10 - An Investigation & Comparison between Accounting Measures of Performance Evaluation & value-Based Measures in Estimating the Companies’ Economic Rate of Return فریدون رهنمای رودپشتی محمد حامد خان محمدی Open Access Article Abstract Page Full-Text 11 - امکان سنجی استفاده ازمدل ترکیبی سهام(CANSLIM)در بورس اوراق بهادار تهران با استفاده از مدلهای اقتصاد سنجی رضا تهرانی پرویز پیری پویا گورانی Open Access Article Abstract Page Full-Text 12 - Assessing the moderating role of corporate governance system on the relationship between investors' emotional tendencies and changes in stock returns of companies listed on the Tehran Stock Exchange Elham Farokhi Saeid Jabbarzadeh 10.30495/jfksa.2023.21896 Open Access Article Abstract Page Full-Text 13 - Application of DEA in the calculation of consolidated index of stock liquidity (evidence of Tehran Stock Exchange) Azar Yaghoubi Khankhajeh azita jahanshad Open Access Article Abstract Page Full-Text 14 - The Relationship between Holding Periods for Common Stocks with Bid-Ask Spread, Market Value of the Firm and Return Volatility in Tehran Stock Exchange علی جعفری مهسا هنرمند حمید ذوالفقاری امیر رسائیان Open Access Article Abstract Page Full-Text 15 - Analyzing risky and no risky approach of investment opportunities levels on share return prediction ability Leila Shirnejhad sina kheradyar ebrahim chirani Open Access Article Abstract Page Full-Text 16 - Uncertainty about economic policies and the stock market in Iran based on Markov switching model Hossein Amiri M. Pirdadeh Beyranvand Open Access Article Abstract Page Full-Text 17 - 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 Abstract Page Full-Text 18 - Dynamics of Self Exciting Threshold Models in Analysis of Tehran Stock Market Behavior S. Yahya Abtahi Open Access Article Abstract Page Full-Text 19 - بررسی سرایت تلاطم بین بازارهای سهام؛ مطالعه موردی بازار سهام ایران، ترکیه و امارات سید محمد سیدحسینی سید بابک ابراهیمی Open Access Article Abstract Page Full-Text 20 - Cumulative Prospect Theory and Expected Return in Tehran Security Exchange Shokrolah Khajavi Ali Faal Ghayoumi Open Access Article Abstract Page Full-Text 21 - Evaluating stock returns using a combination of multi-factor pricing model for capital assets and the function of penalty in Tehran Stock Exchange market and its comparison with five factors Fama and French Model Aliakbar Farzinfar 10.30495/jfksa.2023.21899 Open Access Article Abstract Page Full-Text 22 - بررسی رابطه ی بین نوسانات نرخ ارز و بازده سهام شرکتهای صادرکننده پذیرفته شده در بورس اوراق بهادار تهران رضا تهرانی علی دریکنده کامبیز نوابی زند ابوالفضل آرین سید حسن حسینی Open Access Article Abstract Page Full-Text 23 - Assess the profitability of fundamental analysis with present a model for the construction of the fundamental power variable using factor analysis Saeed Fathi Ali safari Mahbobeh Jafari mazaheri kalahrodi Open Access Article Abstract Page Full-Text 24 - The Association Between Various Earnings, Cash Flaws as Performance Measures and Return Stock Bahman Banimahd Masomeh Sadat Rasouli Open Access Article Abstract Page Full-Text 25 - The Relationship assessment between the relative Valuation Techniques ( P E,P BV,P S ) and the Economic leverage having stock yield in Tehran Stock Exchange مهدی تقوی جواد آقامحمدی Open Access Article Abstract Page Full-Text 26 - 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 Abstract Page Full-Text 27 - Test the effectiveness of stock price synchronicity on risk of stock price reduction Mehran Matinfard Sohbat Salahvarzi Open Access Article Abstract Page Full-Text 28 - The Relationship between EPS Restatement Size and Stock Return and P/E Ratio in Tehran Stock Exchange Ghasem blue Shahin Ahmadi Open Access Article Abstract Page Full-Text 29 - Frequency analysis of stock return rates in the Iranian capital market Based on the wavelet approach roghaye samadi tirandazi Mahin rashki Ghaleno Mohammad Mahdi Siamak Mohammadi Pour 10.30495/jfksa.2023.22614 Open Access Article Abstract Page Full-Text 30 - Time-varying effect of oil price shocks on the stock market return of Iran by it Vali Nadi Ghomi Nastaran Farnian Open Access Article Abstract Page Full-Text 31 - The study of popularity theory in Iran's financial market and its relationship with stock returns and stock returns volatilities in Tehran Stock Exchange S. Alireza Mirarab baygi Hashem Mokari Mohsen Nazarizadeh Open Access Article Abstract Page Full-Text 32 - Political connections, dividend and stock return in listed firms on Tehran Stock Exchange Ferydoon Rahnamay Roodposhti Abdolreza Mohseni Open Access Article Abstract Page Full-Text 33 - The effect of economic uncertainty On the dynamic relationship between earnings quality and return in listed companies in Tehran stock market: exchange market pressure approach zohre tabatabaienasab nasim shahmoradi Open Access Article Abstract Page Full-Text 34 - Investigating the Impact of Oil Price and Exchange Rate Uncertainty on Stock Return using Whitening Linear Transformation and Vector Autoregressive Model Alireza Heidarzadeh Hanzaee Mohammad Farahani Open Access Article Abstract Page Full-Text 35 - Explaining Stocks’ Return Based on Prospect Theory Fatemeh Ghadimi Afsaneh Soroushyar Open Access Article Abstract Page Full-Text 36 - Comparison of the Efficiency of Technical Analysis Indicators in in the capital market periods of the boom and depression in the active Manufacturing companies at the Tehran Stock Exchange R. Bashir Khodaparasti Khalil Jahangardi Hosein Boroomandzadeh Mina Saba Open Access Article Abstract Page Full-Text 37 - Surveying the relationship between external corporate financing and stock return Majid Zanjirdar Sajjad Ebrahimi Open Access Article Abstract Page Full-Text 38 - The Effect of Stock Returns and Volatility of Stock Index on Put Option Transactions Volume Nezamodin Rahimian Ali Khozein Jamal Mohamadi Open Access Article Abstract Page Full-Text 39 - بررسی پوشش تورمی بودن سهام، دلار و طلا در ایران با استفاده از تحلیل چند مقیاسی موجک مصیب پهلوانی رضا روشن مجتبی لشنی Open Access Article Abstract Page Full-Text 40 - Investigation the Effects of Macroeconomic Indices on Stock Returns with a Lag دکتر زهرا پورزمانی دکتر علی روحی کیوان مام حمه Open Access Article Abstract Page Full-Text 41 - A survey of the effect of the existence of the audit committee on the attraction of investors for investors for investment in accepted corporations in Tehran stock exchange market. Ghodrat-Allah Talebnia HAMIDREZA VAKILI FARD Mansoore Shahsavari Open Access Article Abstract Page Full-Text 42 - The role of leverage on a portfolio of stocks due to the Financial health of companies Tahere yosefvand Azita jahanshad Open Access Article Abstract Page Full-Text 43 - Comparing of the Effects of EVA (Economic Value Added) Spread and EVA Momentum on Stock Return Zahra Poorzamani Hadiseh Arzee Open Access Article Abstract Page Full-Text 44 - Surveying the relationship between economic value added and financial leverage with risk- adjusted stock returns Ghodratollah Talebniya Mohammad Imani Barandagh Askar Pourreza Open Access Article Abstract Page Full-Text 45 - Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations Davoud Hemmati ALI RAMEZANI Akram Shayanfar Open Access Article Abstract Page Full-Text 46 - Effects of exchange rates shocks on Tehran stock market returns: MSFITGARCH model hajar moradian Ali Haghighat hashem zare Mehrzad Ebrahimi Open Access Article Abstract Page Full-Text 47 - Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange Asgar Noorbakhsh Shahram Irani janyarlou Open Access Article Abstract Page Full-Text 48 - Explaining the Effective Factors of Stock Returns Using the Investment Options Approach Farzin Khoshkar Hassankiadeh Seyed Ali Nabavi Chashmi Iman Dadashi Kaveh Azinfar Open Access Article Abstract Page Full-Text 49 - 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 10.30495/jik.2023.59446.3414 Open Access Article Abstract Page Full-Text 50 - Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating zohreh Hajiha Aiob Ghorbani Open Access Article Abstract Page Full-Text 51 - Granger causality analysis in mean patterns to measure the number of lags of the cross-correlation between the standard residuals of returns and trading volume in crisis situation Mohammad Hasan Saleh Fazel Mohammadi Nodeh mojtaba maleki choobari Open Access Article Abstract Page Full-Text 52 - Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange Abbas Shami yusef tagipourian mehdi maranjory Reza Fallah Open Access Article Abstract Page Full-Text 53 - Asymmetric Co-integration based on Nonlinear ARDL: Evidence from Tehran Stock Exchange hamid hooshmandi 10.30495/jik.2024.23243 Open Access Article Abstract Page Full-Text 54 - Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns Neda Rezaei asgar pakmaram Rasoul ABDI yaghoub aghdam mazraeh Open Access Article Abstract Page Full-Text 55 - Prediction of Stock Price Based on Fundamental, Technical and Economic Factors Mahdi Asghari narges yazdanian Bita Tabrizian Fraydoon Rahnamay Roodposhti Open Access Article Abstract Page Full-Text 56 - The Impact of Management Overconfidence on Value Creation and Stock Return Risk Amir Faridnia Behrooz Eskandarpoor Open Access Article Abstract Page Full-Text 57 - Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange Mohammad hasan ebrahimi sarvolia Mir feyz fallahshams Mohamad jafar meykade Meysam alimohammadi Open Access Article Abstract Page Full-Text 58 - Investigation of Effect Market Return on Stock Return Hosseyn Mohammadpour Zarandi Mahmoud Nikzad Kourosh Shayan Open Access Article Abstract Page Full-Text 59 - Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk Zahra Dianati Dilami Mehdi Moradzadeh Fard Saeed Mahmoudi Open Access Article Abstract Page Full-Text 60 - Comparing of the Effects of EVA (Economic Value Added), EVA Spread and EVA Momentum on Stock Return Zahra Poorzamani Hadiseh Arzee Open Access Article Abstract Page Full-Text 61 - Investigation the Un-Suretunetly of Exchange Rate On Index Price & Level of Investment In Tehran Stock Index (Using VAR and GARCH Models) M. Hossein Ranjbar M. Feiz Fallah Shams Rouhollah Rezazadeh Open Access Article Abstract Page Full-Text 62 - Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange Zahra Pourzamani Open Access Article Abstract Page Full-Text 63 - The relationship between concentration, mark-up and stock returns (Case Study: Tehran Stock Exchange) Mohammadnabi Shahiki tash Ali darikandeh Mohamad Rasoul Heshmati Seyed-Hasan Hosseini Open Access Article Abstract Page Full-Text 64 - The Effect of Financial Depth on Stock Return: The Bounds Testing Approach Saman Ghaderi Saman Rahmani Noroozabad Open Access Article Abstract Page Full-Text 65 - Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange Abdolmajid Dehghan Mohsen Farhadi sharif Abad Alireza Fahimi Open Access Article Abstract Page Full-Text 66 - Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models Hajar Moradian Ali Haghighat Hashem Zare Mehrzad Ebrahimi Open Access Article Abstract Page Full-Text 67 - The Impact of Individual Sentiment Beta on Stock Return of Companies Listed on Tehran Stock Exchange amir hossein sharifmehr karim Azarbaijani Arezoo Aghaei chadegani 10.30486/fbra.2022.1954973.1094 Open Access Article Abstract Page Full-Text 68 - Investigating the Impact of Social Responsibility and Liquidity Risk of Company Stocks on Fluctuations in Stock Returns in Companies Listed on Tehran Stock Exchange seyed ali hosseini sara razani 10.30486/fbra.2021.1942863.1040 Open Access Article Abstract Page Full-Text 69 - Utilizing Comprehensive RNN Neural Network Model for Valuation of BlockTrade Transactions Adeleh Bahreini Maraym Akbaryan fard Mehdi KHoshnood Open Access Article Abstract Page Full-Text 70 - The Investigation of the Effect of Different Methods of Financing on the Stock Returns of Companies Listed in Tehran Stock Exchange (2001-2010) Kayvan Faramarzi Serveh Mohammadi Open Access Article Abstract Page Full-Text 71 - تأثیرنقدشوندگی سهام برعملکردشرکتوریسک سقوط قیمت سهام بهزاد خدایی مهدی بشکوه Open Access Article Abstract Page Full-Text 72 - نقش پیشبینی های تحلیلگران جریان نقد در ناهنجاری اقلام تعهدی وحید بخردی نسب فاطمه ژولانژاد Open Access Article Abstract Page Full-Text 73 - Good fit of new models of stock return forecasting using conditional dual beta Hossein Aboutalebi mohsen dastgir Qplamreza Soleymani Amiri Open Access Article Abstract Page Full-Text 74 - Tail risk on stock market: The role of market sentiment Azad Asadi mohsen Hashemi Gohar Roya Darabi Shadi Shahverdiani Open Access Article Abstract Page Full-Text 75 - The effect of Firm Investment on Future volatility of Stock Returns by Considering the Moderating Effect of Accounting Conservatism Mehdi Haghighat shahrestani Mohsen Dastgir Afsaneh Soroushyar Open Access Article Abstract Page Full-Text 76 - The Effect of Capital Productivity Management on Capital Asset Pricing Models with a Focus on Life Cycle ali alimohammadpour ali zabihi khosro Faghani Makrani 10.30495/qjopm.2020.671975 Open Access Article Abstract Page Full-Text 77 - Investigating the Relationship Between Profitability Ratio, Capital Structure and the Rate of Stock Return majid bagherzadeh khajeh Asghar Feyzi Open Access Article Abstract Page Full-Text 78 - The effect of internal audit quality on stock return forecast javad Mahdizadeh ghalehjough Lida Mahdizadegh ghalehjough Open Access Article Abstract Page Full-Text 79 - Relation between Exports Incomes of Companies Accepted in Tehran Stock Exchange and their Stock Return erfan memarian seyed ali nabavi chashmi soheila ghrbani mojtaba matan Open Access Article Abstract Page Full-Text 80 - The Effect of Working Capital Management indicators on Firm Value and Stock Return Volatility mohamad mohamadi Open Access Article Abstract Page Full-Text 81 - The effect of CEO narcissism on stock returns Shahnaz Mashayekh mahmood Hasanzade Kuchou Raheleh Mirzaei Beirami Malihe Habibzade Open Access Article Abstract Page Full-Text 82 - Stock price modeling and forecasting using meta-heuristic ant colony algorithm seyed javad kiaei zahra Farshadfar 10.71848/jcma.2024.997350 Open Access Article Abstract Page Full-Text 83 - بررسی مقایسهای رویکرد الگوریتم ژنتیک با رویکرد شبکه عصبی مصنوعی با استفاده از نسبتهای مالی در پیشبینی بازده سهام زاداله فتحی سیده حمیده سجادی Open Access Article Abstract Page Full-Text 84 - The Impact of Abnormal Stock Returns on Future Volatility of Stock Returns Mohammad Alavi Sheshtamed Hamidreza Vakili Fard Amir Reza Keyghobadi Open Access Article Abstract Page Full-Text 85 - The Role of Financial crises in the impact of Liquidity on Stock Returns: Empirical evidence from Tehran Stock Exchange (TSE) Ehsan Rajabi Open Access Article Abstract Page Full-Text 86 - Asymmetric Effect of Exchange Rate Fluctuations on Stock Return in the Iranian Stock Market Mohammadreza Nahidi Amirkhiz Open Access Article Abstract Page Full-Text 87 - The Effect of Accounting Quality on the Transmission of Monetary Policy based on the Balance Sheet Channel to the Stock Market Elham Malakzade Mohammad Ali Aghaei Mohammad Amri-Asrami Open Access Article Abstract Page Full-Text 88 - Evaluation of Relationship between Net Operating Asset and Return Stock Mohammad Reza Askari Leila Baee Lashaki Open Access Article Abstract Page Full-Text 89 - The Value Relevance of Information in Annual and Interim Financial Statements in Tehran Stock Market M. MoradzadehFard M. Alemi S. Behzadpoor Open Access Article Abstract Page Full-Text 90 - Survey the influence of stock liquidity on the stock return listed at the Tehran stock Exchange Younes Badavar Nahandi Mehdi Zeynali Azhdar Maleki Open Access Article Abstract Page Full-Text 91 - The role of stock market confidence indicators in the conditions of financial uncertainty and uncertainty of economic policies and its shock on stock returns seyedeh narjes shirmardi majid sameti حسین شریفی رنانی https://doi.org/10.71818/ecj.2024.1062445 Open Access Article Abstract Page Full-Text 92 - رهیافت مدل احتمال مبادله آگاهانه در بررسی اثر عدمتقارن اطلاعات بر بازده سهام و حجم معاملات در شرکتهای منتخب بورس اوراق بهادار تهران غلامرضا زمانیان ام البنین جلالی علی کردی تمندانی Open Access Article Abstract Page Full-Text 93 - تأثیر شوکهای پایه پولی بر بازده قیمتی سهام شرکتهای فعال بورسی (رویکرد DSGE) میثم کاویانی پرویز سعیدی حسین دیده خانی سید فخر الدین فخر حسینی Open Access Article Abstract Page Full-Text 94 - تعامل ریسک سیستماتیک با بازده سهام در بورس اوراق بهادار تهران سعید دهقان خاوری سید حسین میر جلیلی Open Access Article Abstract Page Full-Text 95 - نسبتهای مالی و نرخ بازده سهام در صنعت بانکداری مهرزاد مینویی میر فیض فلاح شمس مرضیه صالحی حجت الله کاویانی Open Access Article Abstract Page Full-Text 96 - بررسی اثر نا اطمینانی نرخ ارز بر شاخص قیمت سهام و میزان سرمایهگذاری در بورس اوراق بهادار تهران (با استفاده از مدلهای GARCH و VAR) محمدحسین رنجبر میر فیض فلاح شمس روح اله رضا زاده Open Access Article Abstract Page Full-Text 97 - Analysis of stock returns response to non-systematic risk torque measurement models with a simultaneous role of arbitrage constraints and limited investor رقیه طالبی مجید زنجیردار محمدرضا پورفخاران DOI: 10.30495/FAAR.1403.1073177 Open Access Article Abstract Page Full-Text 98 - سودمندی رگرسیونهای تجمیعی و روشهای انتخاب متغیرهای پیشبین بهینه در پیشبینی بازده سهام محمد حسین ستایش مصطفی کاظم نژاد Open Access Article Abstract Page Full-Text 99 - بررسی اثر نوفهها بر کاهش ضریب واکنش به سود حسابداری وحید احمدیان حسین اعتمادی محمد علی آقایی نادر مهرگان Open Access Article Abstract Page Full-Text 100 - بررسی رابطه بین متغیرهای حسابداری و بازده سهام به تفکیک صنایع درشرکت های پذیرفته شده در بورس اوراق بهادار تهران زهرا لشگری علی شریف جدیدی Open Access Article Abstract Page Full-Text 101 - The Effect of Conditional and Unconditional Conservatism on the Level of Future Investment and Stock Value مهدی حقیقت شهرستانی محسن دستگیر افسانه سروش یار 10.30495/faar.2022.691684 Open Access Article Abstract Page Full-Text 102 - 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 Open Access Article Abstract Page Full-Text 103 - The Relative and Incremental Information Content of Earnings VS. Cash Recovery Rates for Measuring the Company’s Performance Jalil Khodaparast Shirazi Ghodratallah Talebnia Tahereh Mosallanejad Open Access Article Abstract Page Full-Text 104 - رابطه بین کیفیت سود (پراکندگی سود) و بازده سهام محسن دستگیر احمد گوگرد چیان ستاره آدمیت Open Access Article Abstract Page Full-Text 105 - بکارگیری تکنیک "تحلیل مولفههای اصلی" در دادهکاهی متغیرهای مؤثر بر بازده سهام اعظم مهتدی رضوان حجازی سید علی حسینی منصور مومنی Open Access Article Abstract Page Full-Text 106 - Effects oF Accruals Qulity on Conditional Volatility سلاله فیض اللهی کسینی مریم لشکری زاده Open Access Article Abstract Page Full-Text 107 - ارتباط بین تغییرات اقلام ترازنامه، سود و زیان و حجم مبادلات با بازده سهام در شرکت های پذیرفته شده در بورس اوراق بهادار تهران زهرا لشگری نادر نوروزی Open Access Article Abstract Page Full-Text 108 - تاثیر مدیریت سود بر مربوط بودن اقلام صورت های مالی زهرا پورزمانی آزیتا جهانشاد علی حسین زائری Open Access Article Abstract Page Full-Text 109 - The Relevance between Accounting Variables and Stock Return Based on the Stock Returns Model of Zhang Mohsen Dastgir Neda Taji Rahman Saedi Open Access Article Abstract Page Full-Text 110 - The Relation between Average of Stock Return, Firm Size, Earning and Cash Flow Volatilities Cycle Feraydoon Rahnamay Roodposhti Hashem Valipour Open Access Article Abstract Page Full-Text 111 - رابطه ارزش افزوده اقتصادی و ارزش افزوده اقتصادی پالایششده با بازده سهام غلامحسین مهدوی کمال گوینده Open Access Article Abstract Page Full-Text 112 - بررسی رابطه بین روش های تأمین مالی (منابع برون سازمانی) و موفقیت و عدم موفقیت شرکت های پذیرفته شده در بورس اوراق بهادار تهران مهناز ملانظری رضوان حجازی محمد صحرایی Open Access Article Abstract Page Full-Text 113 - رابطه محدودیت آربیتراژ با ناهنجاری رشد داراییها در شرکتها موسی بزرگ اصل محمد مرفوع مهران عربی Open Access Article Abstract Page Full-Text 114 - بررسی امکان استفاده از مدل قیمتگذاری داراییهای سرمایهای در بازار بورس اورا ق بهادار تهران رضوان حجازی مهری غلامحسینی Open Access Article Abstract Page Full-Text 115 - The Relation between Firm Size and Stock Return Volatility in Different Capital Market Conditions Shahnaz Mashayekh Nasim Harraf Amughin Open Access Article Abstract Page Full-Text 116 - تأثیر کیفیت افشای اطلاعات و عدم تقارن اطلاعاتی بر نوسان پذیری بازده سهام با استفاده از سیستم معادلات همزمان امیررضا کیقبادی شادان صدیق بهزادی سعید طهماسبی خورنه سمیرا سیف Open Access Article Abstract Page Full-Text 117 - بررسی رابطه ی سطح افشاء و بازده سهام شرکت های پذیرفته شده در بورس اوراق بهادار تهران زهرا لشگری شیرزاد نادری Open Access Article Abstract Page Full-Text 118 - رابطه جریانهای نقدی ناشی از فعالیتهای تامین مالی و بازده سهام مهدی مراد زاده فرد حسام ناد علی پور منفرد Open Access Article Abstract Page Full-Text 119 - Check the relative content and increasing profit information compared with cash recycling فرزاد Karimi GH Hoseinvand Open Access Article Abstract Page Full-Text 120 - بررسی کارائی شرکت های پذیرفته شده در بورس اوراق بهادار تهران با استفاده از روش تحلیل پوششی داده ها و ارتباط آن با بازده سهام آزیتا جهانشاد زهرا پورزمانی فاطمه اژدری Open Access Article Abstract Page Full-Text 121 - محتوای اطلاعاتی سود (زیان)های تعدیل شده بابت تورم حسن فرج زاده دهکردی حسین اعتمادی یگانه فغفور مغربی Open Access Article Abstract Page Full-Text 122 - 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Dividends and growth opportunities related variables impact on the quality of financial reporting and the volatility of stock returns فرزانه Heydarpur سمیه Zarerafie Open Access Article Abstract Page Full-Text 129 - Performance Quality, Stock Returns and Idiosyncratic Volatility Mohammad Amri-Asrami 10.30495/faar.2023.705565 Open Access Article Abstract Page Full-Text 130 - Factor Variability Test in Stock Return Forecasting Using Dynamic Model Averaging (DMA) hosein maghsoud hamedreza vakilifard Taghi Torabi Open Access Article Abstract Page Full-Text 131 - Investigation of Fractal Property Price and Stock Returns of Tehran Stock Exchange Companies Using Nonlinear ARIFMA Model amirhosein abdolmaleki mohsen hamidian ali baghani Open Access Article Abstract Page Full-Text 132 - Presentation of intelligent Meta-heuristic Hybrid models (ANFIS -MGGP ) to predict stock returns with more accuracy and speed than other Meta-heuristic methods. mahmood kohansal kafshgari Alireza Zarei reza behmanesh Open Access Article Abstract Page Full-Text 133 - 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Implied Equity Duration and Excess Stock Return: The Evidence from Tehran Stock Exchange Afsaneh Soroushyar Hossein Kazemi Gavarti Open Access Article Abstract Page Full-Text 144 - The relationship between different levels of management ownership, free floatation, stock return volatility and age of the company with stock prices synchronization Zabihallah Khani masuom abadi Hossein Rajabdorri sara motamed Open Access Article Abstract Page Full-Text 145 - Evaluation of Determining Parameters in Iran Stock Market Atena Kebryaie Abdolmajid Dehghan Open Access Article Abstract Page Full-Text 146 - The investigate Irregular Behavioral Stock, Stock Expects and Stock Returns Using the Liponov and Kolmogorov Method and BDS in the Tehran Stock Exchange with an Emphasis on Copula Garch and Copula TGarch mohammadreza Navaeian Mohammadreza Vatanparast Hadi Saeidi Shaban Mohammadi Open Access Article Abstract Page Full-Text 147 - Comparison of Signaling the Types of Profit and Their Impacts on Excess Stock Returns Atiyeh Alikhani Afsaneh Soroushyar 10.30495/jdaa.2023.699867 Open Access Article Abstract Page Full-Text 148 - The effect of macroeconomic variables on total efficiency of the securities market Approach using state - space A. 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Abdoli Open Access Article Abstract Page Full-Text 149 - Regime Dependent Effects and Cyclical Volatility Spillover of Exchange Rate and Stock Prices in Iran Mahdi Mozafarnia MirFeyz Fallahshams Gholamreza Zomorodian 10.30495/afi.2022.1943113.1055 Open Access Article Abstract Page Full-Text 150 - Forward-looking disclosure and corporate reputation as mechanisms to reduce stock return volatility Mohammad Kiamehr Ehsan Kermani Ali Norouzi 10.71965/AFT.2024.1104658 Open Access Article Abstract Page Full-Text 151 - 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 Abstract Page Full-Text 152 - A Bibliometric Analysis: Evaluation of Scientific Studies of Modern And Traditional Financial Markets (Case Study of Cryptocurrency Market And Stock Market) Ali Reza jorjor zadeh tayebeh darvishpoor Nader Khedri هوشنگ امیری Open Access Article Abstract Page Full-Text 153 - Investigating the Effect of Firm Opacity on Stock Returns: The Moderating Role of Board Gender Diversity Parniyan Jamshidi saeid aliahamdi