List of Articles Open Access Article Abstract Page Full-Text 1 - Investigation and Comparison of the Financing Costs Through the Financial Intermediates on Household Behavior(DSGE Model) hamidreza izadi 20.1001.1.22519165.1400.12.47.1.9 Open Access Article Abstract Page Full-Text 2 - Technical Analysis indicators calibration using Cellular Automaton Algorithm for use in high-frequency trading alireza Ahmadi Ali Paytakhti Oskooi Siroos Fakhimi Azar Younes Badavar Nahandi 20.1001.1.22519165.1400.12.47.2.0 Open Access Article Abstract Page Full-Text 3 - The effect of financial friction on the speed of stock price convergence Sepideh Rajizadeh Amirhossein Taebi Noghondari Hadis Zeinali 20.1001.1.22519165.1400.12.47.3.1 Open Access Article Abstract Page Full-Text 4 - Providing a tool to study the factors affecting customer portfolio management (CPM) in the insurance industry ali akbar jafri kambiz shahroodi seyed mahmoud shabgoo monsef narges delafrooz 20.1001.1.22519165.1400.12.47.4.2 Open Access Article Abstract Page Full-Text 5 - The Comparison of Cryptocurrency Returns Prediction Based on Geometric Brownian Motion and Wavelet Transform Ahmad Shojaei Alireza Heidarzadeh Hanzaei 20.1001.1.22519165.1400.12.47.5.3 Open Access Article Abstract Page Full-Text 6 - Factors Affecting the Financial Stress of Stock Exchange Individual Investors and Its Consequences: Meta-Synthesis Technique Yousef azadian iman dadashi Yosuf taghiporian 20.1001.1.22519165.1400.12.47.6.4 Open Access Article Abstract Page Full-Text 7 - Analysis of Cost and Asset Retrenchment Strategy on Corporates’ Financial Turnaround: Rent Creation Theory and System Dynamics Modeling Mostafa Beheshti Seresht Mohammad Ali Dehghan Dehnavi Ali Naghi Mashayekhi Meysam Amiry 20.1001.1.22519165.1400.12.47.7.5 Open Access Article Abstract Page Full-Text 8 - Designing a model for predicting bitcoin returns (with emphasis on hybrid models of convolutional and recursive neural networks and models with long-term memory) Mohammad Javad Bakhtiaran Mehdi Zolfaghari 20.1001.1.22519165.1400.12.47.8.6 Open Access Article Abstract Page Full-Text 9 - Impact of Corporate Governance on Financial Performance according to the Mediating Role of Firm Sustainability (case study: Private Banks of Iran) Saeed Rasfijani Abdolmajid Dehghan 20.1001.1.22519165.1400.12.47.9.7 Open Access Article Abstract Page Full-Text 10 - Identify and rank the factors affecting stock portfolio optimization with fuzzy network analysis approach Alireza Zamanpour Majid Zanjirdar Majid Davodi Nasr 20.1001.1.22519165.1400.12.47.10.8 Open Access Article Abstract Page Full-Text 11 - Developing a quantitative Banking cooperation model in integrating banks and institutions with a marketing approach Hamidreza Ramezani Parviz Saeidi Amir Ghafourian shagerdi Seyyedmohammadreza Hosseini 20.1001.1.22519165.1400.12.47.11.9 Open Access Article Abstract Page Full-Text 12 - The Presentation of a Model for Product Design and Development Process based on the Smart Economy Paradigm in the Banking Industry mahdi soltani njad kiamars fathihafshjani gholamreza hashemzadehKhorasgani , AbouTorab Alirezaei 20.1001.1.22519165.1400.12.47.12.0 Open Access Article Abstract Page Full-Text 13 - The financial development, financial constraint and firms investment somayeh peyghambari fatemeh samadi Ahmad Yaghbnezhad 20.1001.1.22519165.1400.12.47.13.1 Open Access Article Abstract Page Full-Text 14 - Investigate the interrelationship between management ability and economic value added using the method of simultaneous equations kamyar talebnia hamedreza vakilifard 20.1001.1.22519165.1400.12.47.14.2 Open Access Article Abstract Page Full-Text 15 - Financial Risk Management in the automotive in Dustry With a Fuzzy network analy sis approach ali fadaei abutorab alirezaee gholamreza hashemzadeh kiamars fathihafshjani 20.1001.1.22519165.1400.12.47.15.3 Open Access Article Abstract Page Full-Text 16 - Designing a fuzzy multi-objective optimization model for portfolio of bank exchange and participatory contracts mohadese kouchaki tajani reza fallah mehdi Maranjory Razieh Alikhani 20.1001.1.22519165.1400.12.47.16.4 Open Access Article Abstract Page Full-Text 17 - Risk modeling of financing structure according to probabilistic decision theory through ANP Hamidreza Iravani Hamidreza Kordlouie Freydoon Rahnamay Roodposhti Narges Yazdanian 20.1001.1.22519165.1400.12.47.17.5 Open Access Article Abstract Page Full-Text 18 - 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 20.1001.1.22519165.1400.12.47.18.6 Open Access Article Abstract Page Full-Text 19 - Multi-period portfolio optimization model design with a new approach to fuzzy uncertainty Zahra Khandan Barkousaraee Emran Mohammadi Farzad Movahedi Sobhani 20.1001.1.22519165.1400.12.47.19.7 Open Access Article Abstract Page Full-Text 20 - Algorithm Trading Application and Persistence in the Cryptocurrency Market Saeed Moradpour Mojtaba Dastoori 20.1001.1.22519165.1400.12.47.20.8 Open Access Article Abstract Page Full-Text 21 - Presentation Optimization portfolio model from market index prediction model despite of the long term memory with neural network saeed moshtagh Farhad Hosseinzadeh Lotfi Esmail fadayi nezhad 20.1001.1.22519165.1400.12.47.21.9 Open Access Article Abstract Page Full-Text 22 - Risk spillover and dynamics between financial markets, commodity markets and digital currencies with the MGARCH method Hamid Mohammadishad Mahdi Madanchi Zaj Amir Reza Keyghobadi 20.1001.1.22519165.1400.12.47.22.0 Open Access Article Abstract Page Full-Text 23 - Convergence of Futures Contracts For Iranian Stock Exchange Fatemeh mirzadeh ali saeedi Alireza Heidarzadeh Hanzaei Mohammad Khodaei valezaghard 20.1001.1.22519165.1400.12.47.23.1 Open Access Article Abstract Page Full-Text 24 - Stock Portfolio Optimization with MAD and CVaR Criteria by Comparing Classical and Metaheuristic Methods Mohammad reza Haddadi Younes Nademi Fateme Tafi 20.1001.1.22519165.1400.12.47.24.2 Open Access Article Abstract Page Full-Text 25 - The Analysis and Test of Spillover and Volatility Models in Tehran Stock Exchange (based on Copula family model) Mahsa Banakar Hashem Nikoomaram Hasan Ghalibaf Asl Mehrzad Minouei 20.1001.1.22519165.1400.12.47.25.3 Open Access Article Abstract Page Full-Text 26 - Portfolio Optimization Based on Robust Probablistic Planning Model Using Genetic Algorithm and Shuffled Frog-leaping Algorithm MohammadSaeed Heidari Javad Validi Seyed Babak Ebrahimi 20.1001.1.22519165.1400.12.47.26.4 Open Access Article Abstract Page Full-Text 27 - Prediction of stock efficiency based on kernel distribution and mixture of normal distributions Gholam reza Zeinali Narges yazdanian 20.1001.1.22519165.1400.12.47.27.5 Open Access Article Abstract Page Full-Text 28 - 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 20.1001.1.22519165.1400.12.47.28.6