Author Index

A

  • Abbasi, Abbas Simulating the Linguistic Variables Interactions in Capital Market Development Process Using Fuzzy Inference System in a System Dynamic Context [Volume 7, Issue 2, 2019, Pages 229-261]
  • Abbasi, Ebrahim The Test of the Price Pressure Effects due to the Capital Raising Plans [Volume 4, Issue 2, 2016, Pages 25-39]
  • Abbasi, Ebrahim Based on Osterwalder's Business Ontology (Case Study: Refah Kargaran Bank) [Volume 6, Issue 4, 2018, Pages 89-107]
  • Abbasi, Ebrahim Modeling Factors Affecting Startups Financing Using DEMATEL Technique [Volume 7, Issue 2, 2019, Pages 61-89]
  • Abbasi, Ebrahim Investigating the Predictability of Starting Point and Ending Short-Term Trend of Stock Price Using the Bayesian Likelihood Network [Volume 8, Issue 1, 2020, Pages 39-64]
  • Abbasi, Ebrahim Modeling the Moderating Role of Corporate Governance in the Relationship between Financial Reporting Readability and Agency Cost [Volume 9, Issue 2, 2021, Pages 223-201]
  • Abbasi, Ebrahim The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2023, Pages 151-176]
  • Abbasi, Ebrahim Identifying Mental Patterns in Identifying Entrepreneurial Opportunities in Islamic Banking: Application of Q Methodology [Volume 11, Issue 3, 2023, Pages 155-174]
  • Abbasi, Ebrahim Comparing the Performance of Algorithmic Trading Systems based on Machine Learning in the Cryptocurrency Market [Volume 12, Issue 1, 2024, Pages 161-190]
  • Abbasian, Ezatollah Entrepreneurship Finance Conceptual Framework in Iran [Volume 8, Issue 1, 2020, Pages 1-20]
  • Abbasian, Ezatollah Measure the Level of Adherence to the Random Walk Theory in Various Industry Indices Using Markov Switching Model [Volume 9, Issue 1, 2021, Pages 79-92]
  • Abbasian, Ezatollah The Role of Financial Inflexibility in Explaining Value Anomaly with‌ Emphasis on the Business Cycle [Volume 11, Issue 1, 2023, Pages 25-52]
  • Abbasian, Ezatollah Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Abbasimehr, Mohammad husein Prediction of Stock Return Using Financial Ratios: A Decision Tree Approach [Volume 3, Issue 4, 2016, Pages 125-146]
  • Abbasi Museloo, Khalil Identifying the Trading Behaviors and Risk of Noise Traders in Iran Stock Market [Volume 6, Issue 3, 2018, Pages 31-58]
  • Abbaszadeh, Mohammadreza More Corporate Social Responsibility, Less Leverage Adjustment Speed: a Fact? [Volume 10, Issue 4, 2023, Pages 103-124]
  • Abdoil, Mohammad Reza Factors of Financial and Accounting Competitiveness Strategies in Tehran Stock Exchange Companies Using Total Interpretative Structural Interpretation (TISM) [Volume 9, Issue 4, 2021, Pages 149-174]
  • Abdolbaghi Ataabadi, Abdolmajid Effectiveness of Momentum based on Industry Herding : Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 157-175]
  • Abdolbaghi Ataabadi, Abdolmajid Causes of Stock Prices at Tehran Stock Exchange based on a Meta-Analysis Approach: Evidence from Internal Studies [Volume 10, Issue 4, 2023, Pages 75-102]
  • Abdoli, Ghahreman Investigating the Disproportionate Reaction of Investors in the Iran Stock Market [Volume 9, Issue 4, 2021, Pages 87-106]
  • Abdoli, Mohammadreza Investigating the Effectiveness of Tournament incentive on Relationship between CEO Behavioral Bias with Internal Control Weakness in Companies listed in the Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 135-155]
  • Abdoli, Mohammadreza The Effect of Investor Protection on Stock Crash Risk: A Test of Effectiveness of Operant Conditioning Behavior Theory [Volume 10, Issue 2, 2022, Pages 209-230]
  • Abdoli, MohammadReza The Effect of Corporate Asset Restructuring Sensitivity on The Target Leverage of Companies listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 115-142]
  • Abdollahi, Maryam Effectiveness of Momentum based on Industry Herding : Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 157-175]
  • Abdollahi, Mohsen Forecasting Stock Prices In Tehran Stock Exchange Using Recurrent Neural Network Optimized by Artificial Bee Colony Algorithm [Volume 7, Issue 2, 2019, Pages 195-228]
  • Abdolmaleki, zahra Relationship between Performance and Information Asymmetry with Capital Structure in Companies listed on Tehran Stock Exchange [Volume 2, Issue 2, 2014, Pages 59-78]
  • Abdolvand, Neda Stock Price Prediction Modeling Using Artificial Neural Network Approach and Imperialist Competitive Algorithm Based On Chaos Theory [Volume 5, Issue 3, 2017, Pages 27-73]
  • Abed, Bahare The Effect of Trade Sanctions on Stock Indexes in Different Industries Listed in the Stock Exchange [Volume 9, Issue 3, 2021, Pages 161-176]
  • Abonori, Esmail Dividend Policies under Liquidity Uncertainty Conditions with Real Options [Volume 8, Issue 3, 2020, Pages 1-20]
  • Abvali, Mehdi Optional trading pricing with a new analytic method for the Black Scholes equation [Volume 7, Issue 3, 2019, Pages 135-155]
  • Adeli, Omid Ali The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2023, Pages 55-74]
  • Aflatooni, Abbas Demographic Characteristics of Financial Senior Managers and Earnings Management [Volume 9, Issue 4, 2021, Pages 65-86]
  • Aflatooni, Abbas Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Aghababaei, Mohammad ebrahim A Survey on Lead-Lag Effect on Small and Large Size Portfolios in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 114-139]
  • Aghababaei, Mohammad Ebrahim Factors Affecting Personal Financial Management Behaviors – The Case Of Iranian Youth [Volume 7, Issue 1, 2019, Pages 123-143]
  • Aghababaei, Mohammad Ebrahim Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Aghaei, Mohammad Ali Analytical Review of Separation of Operating Cash Flow and Accruals on the Ability to Predict Future Cash flows and Profits [Volume 2, Issue 4, 2014, Pages 75-89]
  • Aghaei, Mohammad Ali The Investigation of the Relationship between Corporate Governance and Corporate Tax Planning [Volume 3, Issue 2, 2015, Pages 1-21]
  • Aghajani, Hasanali Stock Price Changes and Trading Volume In Companies Accepted at the Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 75-95]
  • Aghamohammadi, Ahmad Provide an Optimization Model for Assessing Entry Risk Digital Currency to the Islamic Banking Currency Portfolio in Iran [Volume 11, Issue 4, 2023, Pages 219-240]
  • Aghasi, Ehsan Providing an Index to Measure the Sentiment Investor in the Iranian Capital Market [Volume 12, Issue 1, 2024, Pages 87-112]
  • Ahmadi, Gholamreza Growth Opportunities, Earning Permanence and the Valuation of Free Cash Flow [Volume 5, Issue 3, 2017, Pages 45-74]
  • Ahmadi, Hassan The Impact of Cultural Intelligence of Financial Managers on Corporates Financial Reporting Quality [Volume 11, Issue 4, 2023, Pages 197-218]
  • Ahmadi, Maryam The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2023, Pages 55-74]
  • Ahmadi, Shima Investigating the Relationship between Financial Statements Complexity and Voluntary Disclosure Based on the Role of Firm Performance, Liquidity, and Institutional Owners [Volume 9, Issue 2, 2021, Pages 87-64]
  • Ahmadi moghadam, Mansor The Relationship between Financing Constraints and Conditional and Unconditional Conservatism of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 73-88]
  • AhmadKhanBeygi, Sohail Stock Price Prediction Modeling Using Artificial Neural Network Approach and Imperialist Competitive Algorithm Based On Chaos Theory [Volume 5, Issue 3, 2017, Pages 27-73]
  • Ahmadpour, Ahmad Stock Price Changes and Trading Volume In Companies Accepted at the Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 75-95]
  • Ahmadvand, Maysam Introducing and Testing the ZZ Growth Model for Stock Valuation [Volume 12, Issue 2, 2024, Pages 53-86]
  • Ahmadyan, Azam Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Ahmadzad Asl, Mohammad Ali Pattern of Value Creation in National Iranian Copper Industries Company [Volume 9, Issue 4, 2021, Pages 131-148]
  • Ahmadzadeh, Moosa The Investigation of the Effect of Investment Opportunities and Corporate Finance Structure on the Dividend Payout Policies of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 1-36]
  • Ajdari, Fatemeh Overconfidence of Investment Managers and the Performance Assessment Indexes of Mutual Funds [Volume 1, Issue 1, 2013, Pages 17-34]
  • Akbari, Mohsen The Moderating Effect of Advertising Intensity on the Relationship between Corporate Social Responsibility and Corporate Value [Volume 3, Issue 2, 2015, Pages 127-146]
  • Akbari َAgmashhadi, Zahra Optimal portfolio selection using the compromise-programming model in the tehran stock exchange [Volume 8, Issue 1, 2020, Pages 21-37]
  • Akbaryan fard, Maryam The Comparative Investigation of the Relationship between Initial Public Offerings and Earning Management based on Discretionary Accruals [Volume 7, Issue 2, 2019, Pages 91-122]
  • Akbaryanfard, Maryam Designing a Model for Predicting Valuation of Block Trade Transactions with a Focus on GRU Artificial Neural Network in the Industry [Volume 12, Issue 2, 2024, Pages 249-274]
  • Akhlaghpour, Saeed Simulating the Linguistic Variables Interactions in Capital Market Development Process Using Fuzzy Inference System in a System Dynamic Context [Volume 7, Issue 2, 2019, Pages 229-261]
  • Akhondy, Heydarali Identifying Mental Patterns in Identifying Entrepreneurial Opportunities in Islamic Banking: Application of Q Methodology [Volume 11, Issue 3, 2023, Pages 155-174]
  • Alavinasab, Seyed Mohmmad The Role of Financial Inflexibility in Explaining Value Anomaly with‌ Emphasis on the Business Cycle [Volume 11, Issue 1, 2023, Pages 25-52]
  • Aleemran, Roya Studying the Impact of Management of Central Bank’s Monetary Policy Instability on Total Return of Tehran Stock Exchange [Volume 2, Issue 3, 2014, Pages 141-165]
  • Aliahmdi, Saeid The Effect of Mimetic Behavior of Peer Companies on Capital Structure of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 143-162]
  • Aliahmdi, Saeid Study on Enterprise Risk Management (ERM) effect on managerial ability in order to increasing investment efficiency [Volume 7, Issue 1, 2019, Pages 1-38]
  • Aligholi, Mansoureh Survey the Relationship between Bank Size and Capital with Systemic Risk in Banks Accepted in the Stock Exchange [Volume 8, Issue 1, 2020, Pages 163-176]
  • Alikhani, Zahra The Investigation of Relationship between Cash Dividends and Investment Considering the Effect of Company's Life Cycle Modifier in Listed Companies in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 35-56]
  • Alimohamadi, Ali mohamad Prediction of Stock Return Using Financial Ratios: A Decision Tree Approach [Volume 3, Issue 4, 2016, Pages 125-146]
  • Ali mohammadi, Meysam The Effect of Off-balance Sheet Financing and Financial Constraints on Cost Stickiness [Volume 3, Issue 2, 2015, Pages 23-34]
  • Alipour, Mohamamad Interpretive structural modeling of factors influencing Stock price informativeness [Volume 12, Issue 3, 2024]
  • Alipour Reikandeh, Javad Prediction of Stock Index Using Wavelet Neural Networks in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 15-31]
  • Ameri, Majid Causes of Stock Prices at Tehran Stock Exchange based on a Meta-Analysis Approach: Evidence from Internal Studies [Volume 10, Issue 4, 2023, Pages 75-102]
  • Amini fard, Abbas Investigating the Capital Asset Pricing Model with Intangible Capital: Dynamic Stochastic General Equilibrium Model [Volume 7, Issue 4, 2019, Pages 25-55]
  • Aminifard, Abbas Financial Asset Pricing Using Price Bubble Risk [Volume 8, Issue 3, 2020, Pages 201-232]
  • Aminimehr, Amin The Strength of Convolutional Neural Network in Financial Distress Prediction [Volume 11, Issue 2, 2023, Pages 77-96]
  • Amirhosseini, Zahra The Investigation of the Effect of Financial Leverage and Free Cash Flow on Diversification of Stocks and Financial Performance of Listed Companies [Volume 3, Issue 1, 2015, Pages 89-111]
  • Amirhosseini, Zahra The Investigation of the Relationship between the Value of Cash Holding and EVA Performance Evaluation of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 123-139]
  • Amirhosseini, Zahra Evaluation of Financial Performance Using Decision Tree Algorithm Method [Volume 5, Issue 2, 2017, Pages 185-205]
  • Amirhosseini, Zahra Decision-Making Autonomy of Managers and Financial Performance [Volume 6, Issue 4, 2018, Pages 177-200]
  • Amiri, Abdollah Examining the Relation of Financial Crisis, Life Cycle, and Asset and Financial Restructuring Strategies of Companies with Financial Crisis [Volume 9, Issue 4, 2021, Pages 175-190]
  • Amiri, Ali A scheme of CAPM models considering distress risk and Firms life cycle [Volume 7, Issue 1, 2019, Pages 95-122]
  • Amiri, Hadi Examining the Performance of Accruals Trading Strategy [Volume 8, Issue 3, 2020, Pages 21-41]
  • Amiri, Maghsoud A Model for Financial Flexibility of Accepted Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 45-67]
  • Amiri, Maghsoud Financial Contagion based on Overlapping Portfolio in TEPIX Industrial Groups [Volume 9, Issue 3, 2021, Pages 79-102]
  • Amirshahi, Ali Providing an Index to Measure the Sentiment Investor in the Iranian Capital Market [Volume 12, Issue 1, 2024, Pages 87-112]
  • Amiry, Meysam The Role of Stock Price Synchronicity and Stock Price Informativeness on Portfolio Optimization [Volume 7, Issue 3, 2019, Pages 25-60]
  • Amiry, Meysam The role of information sources on the association between investor personality characteristics and trading behavior in Tehran Securities Exchange [Volume 8, Issue 4, 2020, Pages 51-82]
  • Amri-Asrami, Mohammad The Impact of Governmental Ownership, Political Connections, and Related-Party Transactions on External Financing and Investment [Volume 11, Issue 2, 2023, Pages 53-76]
  • Aniran, Seyed Fazlollah Credit Risk Modeling Using Markov Switching Model [Volume 11, Issue 3, 2023, Pages 193-218]
  • Ansari, Hojjat-allah The Impact of Market Power and Income Structure on the Profitability and Insolvency Risk in Iran Banking System [Volume 6, Issue 2, 2018, Pages 60-81]
  • Ansari, Hojjat-allah Enhanced Index Tracking with a Two-Stage Mixed Integer Programing Model and Pattern Search Algorithm [Volume 7, Issue 4, 2019, Pages 1-22]
  • Ansari, Hojjat-allah Firm Characteristics Determining Idiosyncratic Volatility in Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 21-42]
  • Ansari Tadi, Azarnoosh Group AHP in Ranking Intangible Assets: Study of Chemical Industry [Volume 8, Issue 1, 2020, Pages 107-116]
  • Anvari, Ebrahim Analysis of the conceptual model of indicators affecting financing in crisis conditions: Insights from Covid-19 Pandemic and sanction [Volume 12, Issue 3, 2024]
  • Anvari Rostami, Ali Asghar The Investigation of the Relationship between Corporate Governance and Corporate Tax Planning [Volume 3, Issue 2, 2015, Pages 1-21]
  • Anvary Rostamy, Ali Asghar The Effect of Agency Costs on the Speed of Stock Price Adjustment: Evidence of Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 25-44]
  • Anvary Rostamy, Ali Asghar The Impact of External Financing Requirements on Corporate Governance Index and Company Value: Evidence from Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 1-24]
  • Aqiliyan, Seyedmohsen Investigating the Impact of Financial Structure Flexibility on the Distribution of Cash Profit and Cost of Capital in Companies Listed on the Tehran Stock Exchange [Volume 11, Issue 4, 2023, Pages 71-92]
  • Arab, Roohollah An Investigation into the Relationship between CEO Power and Corporate Financial Leverage [Volume 9, Issue 3, 2021, Pages 123-140]
  • Arabi, Mehran The Effect of Short-term, Medium, and Long-term Time Horizons on the Prediction of Future Cash Flows: A Comparative Study of the Ability of Operating Earnings and Cash Flows [Volume 4, Issue 4, 2017, Pages 107-127]
  • ArabMazar Yazdi, Mohammad Anticipation of Financial Crisis in Banks by Structural Equations Model [Volume 11, Issue 2, 2023, Pages 1-28]
  • Arabsalehi, Mahdi The Effect of Changes in Sale and Sale Growth Expectations on Stickiness of Costs in Conditions of Uncertainty [Volume 5, Issue 4, 2018, Pages 159-187]
  • Arabzadeh, Meysam Interpretive structural modeling of factors influencing Stock price informativeness [Volume 12, Issue 3, 2024]
  • Aref manesh, Zohreh Non-fungible tokens and factors affecting their pricing in a meta synthesis method [Volume 12, Issue 3, 2024]
  • Arefmanesh, Zohreh Determinants of Intangible Investments in Iranian Firms [Volume 5, Issue 2, 2017, Pages 77-99]
  • Argha, Leila The Role of Recession and Boom in the Impact of Oil Resource Rents on Financial Development Index in Iran: Is the Institutional Quality a Matter? [Volume 11, Issue 1, 2023, Pages 77-100]
  • Asadi, Abdorreza Corporate Governance and Holding Companies and Subsidiaries Performance in Tehran Stock Exchange [Volume 4, Issue 4, 2017, Pages 129-151]
  • Asadi, Gholamhossein Investigating the Effect of Capital and Liquidity Measures on the Probability of Financial Distress in Banks [Volume 8, Issue 3, 2020, Pages 147-174]
  • Asadi, Maryam The Moderating Effect of Earning Quality on Financial Distress Prediction of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 4, 2017, Pages 25-44]
  • Asadi, Maryam Investigating the Interactive Effect of Financial Constraints and Development on the Relationship between Stock Liquidity and the Company's Future Investment [Volume 11, Issue 4, 2023, Pages 93-118]
  • Asadzadeh, Ahmad The Effect of Leverage and Free Cash Flow on the Cash Holding [Volume 5, Issue 4, 2018, Pages 1-23]
  • Asefi yeganmahalleh, Faeze The Investigation of the Effect of Cash Flow Uncertainty on the Investment-Dividends Sensitivity [Volume 3, Issue 2, 2015, Pages 107-126]
  • Asgaripor, Mohsen Designing and Implementation of Pair Trading Strategy Software in Iran Stock Market [Volume 3, Issue 4, 2016, Pages 107-123]
  • Asghari, Iraj Factor Models and Long-tern Underperformance of the IPOs [Volume 12, Issue 1, 2024, Pages 1-22]
  • Ashrafi, Majid Modeling Factors Affecting Startups Financing Using DEMATEL Technique [Volume 7, Issue 2, 2019, Pages 61-89]
  • Ashrafi, Majid The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2023, Pages 151-176]
  • Ashrafitabar, Nazanin Valuation of Candidate Projects Financed by Crowdfunding [Volume 7, Issue 2, 2019, Pages 33-59]
  • Ashtab, Ali Review the Effect of Company Size on Stock Liquidity Concerning Companies Life Cycle Listed Companies at Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 117-138]
  • Ashtab, Ali The Formulation of Effective Factors Pattern on Underpricing Phenomenon in Initial Public Offering [Volume 9, Issue 3, 2021, Pages 177-202]
  • Ashtab, Ali Comparison of the Effectiveness of Machine Learning Models and Statistical Models in Predicting Financial Risk [Volume 11, Issue 1, 2023, Pages 53-76]
  • Asima, Mehdi Idiosyncratic Volatility pricing by explaining arbitrage risk [Volume 7, Issue 3, 2019, Pages 1-24]
  • Askarzade, Gholamreza Behavioral Stock Valuation Using 3d Grouping [Volume 5, Issue 2, 2017, Pages 1-26]
  • Aslizadeh, Ahmad Development of a Dynamic Model of Bank Strategy in Uncertainty using the SD Approach [Volume 11, Issue 2, 2023, Pages 203-226]
  • Ataei, Behrooz The Detection of the Stock Price Manipulation by Hybrid Genetic Algorithm: Artificial Neural Network Model (ANN-GA) and SQDF Model [Volume 4, Issue 3, 2016, Pages 149-171]
  • Ataeizadeh, Reza The Relationship between Various Measures of the Company's Growth and the Ratio of Changes in Retained Earnings of the Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 21-50]
  • Atefatdoost, Alireza Optimal portfolio selection using the compromise-programming model in the tehran stock exchange [Volume 8, Issue 1, 2020, Pages 21-37]
  • Athari, Babak The Evaluation of the Managed Momentum Strategy in the Listed Companies on Tehran Stock Exchange [Volume 8, Issue 4, 2020, Pages 23-50]
  • Azad, Mohammad Comparision of predictability of fixed incomes risk measures in pricing; Case Study of Debt Securities Accepted in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 175-199]
  • Azadeh, Soheila Development of a Dynamic Model of Bank Strategy in Uncertainty using the SD Approach [Volume 11, Issue 2, 2023, Pages 203-226]
  • Azadian, Yousef Identifying and Modeling the Relationships Between Economic and Non-economic Components Financial Stress of Individual Investors of the Capital Market (Integrated Approach of Techniques Meta-Synthesis - Fuzzy Delphi - Dematel) [Volume 11, Issue 4, 2023, Pages 147-172]
  • Azimzadeh, Saeid The Analytical Comparison of Financial Ratios of Listed Companies in Tehran and Istanbul Stock Exchanges [Volume 3, Issue 3, 2015, Pages 129-148]
  • Azinfar, Kaveh Modeling the Moderating Role of Corporate Governance in the Relationship between Financial Reporting Readability and Agency Cost [Volume 9, Issue 2, 2021, Pages 223-201]
  • Azinfar, Kaveh The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Azizi, Sedighe Evaluation of the Accuracy of Support Vector Machine based on Genetic Algorithm Compared to Common Linear Methods in Forecasting Earnings Per Share [Volume 11, Issue 3, 2023, Pages 127-154]

B

  • Babaei, Hamid Reza Studying the Influence of Base Volume on Stock Returns and Liquidity in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 59-73]
  • Babaei Falah, Amin Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • BabaeiParkohi, Zinat The Impact of Governmental Ownership, Political Connections, and Related-Party Transactions on External Financing and Investment [Volume 11, Issue 2, 2023, Pages 53-76]
  • Babajani, Jafar A Framework for Measuring and Predicting Systemic Risk with the Marginal Expected Shortfall Approach (MES) in Iran Capital Market [Volume 6, Issue 3, 2018, Pages 1-29]
  • Babajani, Jafar Forecasting Stock Prices In Tehran Stock Exchange Using Recurrent Neural Network Optimized by Artificial Bee Colony Algorithm [Volume 7, Issue 2, 2019, Pages 195-228]
  • Babalooyan, Shahram Payout Policy: An Empirical Test of the Catering Theory of Dividend in Tehran Stock Exchange (TSE) [Volume 3, Issue 1, 2015, Pages 1-20]
  • Badavarnahandi, Yunes The Relationship between Agency Costs and Stock Mispricing with Emphasis on the Role of Intermediate Compensation of the Board [Volume 3, Issue 4, 2016, Pages 51-71]
  • Badavar Nahandi, Younes The Effect of Agency Costs on the Speed of Stock Price Adjustment: Evidence of Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 25-44]
  • Badieenezhad, Ali The Impact of Institutional Investors, Investment Horizons on ManagementEfficiency and Investment Decisions of the Companies [Volume 11, Issue 1, 2023, Pages 185-210]
  • Baghani, ali Presenting Models to Applying the Fundamental Analysis Strategy in Stock Return Prediction [(Articles in Press)]
  • Baghani, Ali Comparison of intelligence accuracy of data mining algorithms to estimate stocks prices [Volume 12, Issue 3, 2024]
  • Baghebanzadeh, Fereshteh Investigating the Capital Asset Pricing Model with Intangible Capital: Dynamic Stochastic General Equilibrium Model [Volume 7, Issue 4, 2019, Pages 25-55]
  • Bagheri, Morteza Investigating the Mediating Role of Managerial Quality on the Relationship between Tax Avoidance and Stock Price Crash Risk of Firms Listed in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 11-34]
  • Bagheri Moslou, fatemeh Internal Financing of Firm Growth Considering Life Cycle Some Evidences of Pecking Order Theory [Volume 2, Issue 2, 2014, Pages 21-37]
  • Bahrami, Maziyar A study of Performance of the Hybrid Model in Assessing the Default Risk for Companies Listed on the Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 155-176]
  • Bahrami Nasab, Ali Investigating of the Moderating Effect of Political Connections on the Relationship between Financial Constraints and Financial Distress Risk with Abnormal Return [Volume 10, Issue 1, 2022, Pages 113-132]
  • Bahrami Nasab, Ali The Effect of Political Relations on the Conservatism of Profit and Loss and the Cost of Debt of Companies Accepted in the Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 107-88]
  • Bahreini, Adeleh Designing a Model for Predicting Valuation of Block Trade Transactions with a Focus on GRU Artificial Neural Network in the Industry [Volume 12, Issue 2, 2024, Pages 249-274]
  • Bahri sales, Jamal Developing a Model for Firms Survival in Iranian Capital Market: Based on the "Puteong" model [Volume 7, Issue 4, 2019, Pages 151-171]
  • Bahri Sales, Jamal The Formulation of Effective Factors Pattern on Underpricing Phenomenon in Initial Public Offering [Volume 9, Issue 3, 2021, Pages 177-202]
  • Bahrololoum, Mohammad Mahdi The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Bajalan, Saeed The Use of Feature Selection Method (HARC) in Predicting Financial Distress in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 77-106]
  • Bajalan, Saeed The Stock Trend Prediction Using Volume Weighted Support Vector Machine with a Hybrid Feature Selection Method to Predict the Stock Price Trend in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 121-148]
  • Baniasad, Reza Identifying and Prioritizing the Digital Financial Strategies Based on the Blockchain Technology in the Money and Capital Markets [Volume 10, Issue 3, 2022, Pages 95-122]
  • Banimahd, Bahman Provide an Optimization Model for Assessing Entry Risk Digital Currency to the Islamic Banking Currency Portfolio in Iran [Volume 11, Issue 4, 2023, Pages 219-240]
  • Baradaran Hasanzadeh, Rasoul Multidimensional Index of Financial Flexibility Assessment [Volume 11, Issue 4, 2023, Pages 173-196]
  • Baradaran hassanzadeh, Rasoul The Effect of Risk Disclosure on the Share Price Anticipation based on Earnings and Firm Value [Volume 5, Issue 4, 2018, Pages 189-209]
  • Barzegar, Ghodratalah The Ability of Support Vector Machine (SVM) in Financial Recoverey Prediction [Volume 11, Issue 1, 2023, Pages 169-184]
  • Barzide, Farrokh Free Float and P/E Ratio at the Tehran Stock Exchange Studying the Relationship [Volume 1, Issue 1, 2013, Pages 55-73]
  • Bashir Khodaparasti, Ramin The Efficient Fama and French Five-Factor model in the Offensive and Defensive Shares [Volume 6, Issue 4, 2018, Pages 109-130]
  • Bayat, Morteza The Impact of Management Earning Forecast on Non-systematic Risk [Volume 2, Issue 2, 2014, Pages 121-136]
  • Bayat, Morteza The Effect of Governmental Affiliation on Systemic Risk of the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 121-137]
  • Bazrafshan, Ameneh The Role of the Dynamics of Shareholders General Meetings in the Managers Financial and Tax Performance [Volume 7, Issue 3, 2019, Pages 61-82]
  • Bazrgar, Hamid The Relationship between Earnings Quality and Insolvency Risk [Volume 3, Issue 1, 2015, Pages 113-140]
  • Behbahaninia, Parisa Saadat Financial Reporting Quality of Tehran Stock Exchange Listed Companies during Global Financial Crisis [Volume 5, Issue 3, 2017, Pages 75-98]
  • Behfarnia, Marjan The Investigation of the Relationship between Corporate Governance Mechanisms and Value-based Financial Performance Measures [Volume 4, Issue 2, 2016, Pages 41-63]
  • Behnamoon, Yaghoob The Relationship between Tax Avoidance and Firm Value with an Emphasis on Agency Cost and Firm Disclosure Quality [Volume 4, Issue 3, 2016, Pages 25-48]
  • Behnampour, Mahmood The Relationship between Accounting Information Quality and Firm Value with an Emphasis on controlling operating volatility [Volume 7, Issue 4, 2019, Pages 57-81]
  • Behnamrad, Mahsa Predicting Stock Market Activity: Role of Google Search Engine [Volume 7, Issue 4, 2019, Pages 175-200]
  • Behzadi, Adel Enhanced Index Tracking with a Two-Stage Mixed Integer Programing Model and Pattern Search Algorithm [Volume 7, Issue 4, 2019, Pages 1-22]
  • Behzadi, Nahad The Relationship between Tax Avoidance and Firm Value with an Emphasis on Agency Cost and Firm Disclosure Quality [Volume 4, Issue 3, 2016, Pages 25-48]
  • Bekhradinasab, Vahid The Effect of Changes in Sale and Sale Growth Expectations on Stickiness of Costs in Conditions of Uncertainty [Volume 5, Issue 4, 2018, Pages 159-187]
  • Bekhradinasab, Vahid Investigating the Ability of Financial Figures to Summarize Stock Price Information based on "Tunneling View" Using the Moderator role of Good Governance [Volume 11, Issue 2, 2023, Pages 227-254]
  • Beshkooh, Mahdi The Relationship between the Managerial Overconfidence and Stock Price Crash Risk in Firms Listed in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 192-217]
  • Beykjani, Sara Applying Verbal Decision Making and Multi-objective Fuzzy Optimization Approach in Portfolio Selection [Volume 11, Issue 1, 2023, Pages 211-230]
  • Bigdelo, Jamshid Investigating Motivations Risk shift Mutual Funds Managers in Bullish and Bearish Market And its Impact on Return [Volume 12, Issue 1, 2024, Pages 139-160]
  • Blue, Ghasem Forecasting Stock Prices In Tehran Stock Exchange Using Recurrent Neural Network Optimized by Artificial Bee Colony Algorithm [Volume 7, Issue 2, 2019, Pages 195-228]
  • Blue, Ghasem Financial Contagion based on Overlapping Portfolio in TEPIX Industrial Groups [Volume 9, Issue 3, 2021, Pages 79-102]
  • Bodaghi, Hamid The Effect of CEO Managerial Ability on Marginal Value of Cash and Corporate Opacity of Companies Listed on Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 191-216]
  • Bolo, Ghasem Free Float and P/E Ratio at the Tehran Stock Exchange Studying the Relationship [Volume 1, Issue 1, 2013, Pages 55-73]
  • Bolo, Ghasem A Framework for Measuring and Predicting Systemic Risk with the Marginal Expected Shortfall Approach (MES) in Iran Capital Market [Volume 6, Issue 3, 2018, Pages 1-29]
  • Bonabi Ghadim, Rahim Effect of Principal-Principal Conflict on Relationship between Financial Flexibility with Investment Propensity and Dividend Payouts [Volume 9, Issue 1, 2021, Pages 133-154]
  • Bonabi Ghadim, Rahim The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • Boromandzadeh, Hossein The Efficient Fama and French Five-Factor model in the Offensive and Defensive Shares [Volume 6, Issue 4, 2018, Pages 109-130]
  • Boroumand, Rahebeh Investigating the effect of sensitivity of cash flows of investment thirst on companies listed in Tehran stock exchange [Volume 8, Issue 4, 2020, Pages 187-212]
  • Bostanara, Mahdi In Pursuit of the Optimal Combination of Fama-French and Carhart Models for Iranian Capital Market [Volume 7, Issue 1, 2019, Pages 41-70]
  • Botshekan, Mahmoud The Evaluation of the Managed Momentum Strategy in the Listed Companies on Tehran Stock Exchange [Volume 8, Issue 4, 2020, Pages 23-50]
  • Botshekan, Mohammad Hashem Supply Chain Finance and Financial Development Impact on Profitability of Listed Real Estate Firms in Tehran Stock Exchange and Iran Farabourse [Volume 10, Issue 2, 2022, Pages 29-46]
  • Bouzhmehrani, Ehsan The Study of the Relationship between Related-Party Transactions and the Control-Ownership Wedge of the Ultimate Controlling Shareholder [Volume 4, Issue 4, 2017, Pages 45-65]

C

  • Chalaki, Pari The Investigation of Factors Affecting the Liquidity of Banks and Financial Credit Institutions in Iran [Volume 4, Issue 1, 2016, Pages 59-76]
  • Chenaribokat, Hasan Modeling and Identifying Hierarchy of the Effective Measures of the Earning Management on the Prediction of the Bankruptcy [Volume 6, Issue 4, 2018, Pages 1-27]

D

  • Dadashi, Iman Modeling the Moderating Role of Corporate Governance in the Relationship between Financial Reporting Readability and Agency Cost [Volume 9, Issue 2, 2021, Pages 223-201]
  • Dadashi, Iman The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Dadashi, Iman The Ability of Support Vector Machine (SVM) in Financial Recoverey Prediction [Volume 11, Issue 1, 2023, Pages 169-184]
  • Dadashi, Iman Identifying and Modeling the Relationships Between Economic and Non-economic Components Financial Stress of Individual Investors of the Capital Market (Integrated Approach of Techniques Meta-Synthesis - Fuzzy Delphi - Dematel) [Volume 11, Issue 4, 2023, Pages 147-172]
  • Dadashzade, Ghader The Relationship between Agency Costs and Stock Mispricing with Emphasis on the Role of Intermediate Compensation of the Board [Volume 3, Issue 4, 2016, Pages 51-71]
  • Dadashzadeh, Aziz The Investigation of Factors Affecting the Liquidity of Banks and Financial Credit Institutions in Iran [Volume 4, Issue 1, 2016, Pages 59-76]
  • Dadashzadeh, Ghader The Value of Financial Flexibility, Investment Efficiency and Adjustment Speed of Working Capital [Volume 8, Issue 1, 2020, Pages 177-196]
  • Damoori, Dariush The Effect of Corporate Governance and Conservatism Mechanisms on Information Asymmetry with Structural Equation Modeling Technique in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 127-157]
  • Damoori, Dariush The Effect of Financial Flexibility, Managerial Efficiency, and Life Cycle on the Financial Performance of Companies Listed in the Tehran Stock Exchange [Volume 11, Issue 2, 2023, Pages 97-128]
  • Damoori, Darush Financial Policies and Investment Efficiency in the Companies Listed in Tehran Stock Exchange [Volume 6, Issue 4, 2018, Pages 157-175]
  • Damoori, Daryoush The Relationship between Information Asymmetry and Dividend Policy Using the Logit Model [Volume 2, Issue 1, 2014, Pages 21-38]
  • Damoori, Daryush The Analysis of the Relationship between Corporate Governance, Income Smoothing and Quality of Financial Reporting [Volume 3, Issue 4, 2016, Pages 27-49]
  • Dana, Nahid The Stock Trend Prediction Using Volume Weighted Support Vector Machine with a Hybrid Feature Selection Method to Predict the Stock Price Trend in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 121-148]
  • Daneshasgari, Tahmineh The Impact of Management Earning Forecast on Non-systematic Risk [Volume 2, Issue 2, 2014, Pages 121-136]
  • Daneshvar bondari, Reza The Role of Earnings Quality in Estimating Credit Risk [Volume 9, Issue 1, 2021, Pages 203-224]
  • Daneshvar Mofrad, Maryam Studying the Impact of Market, Liquidity and Momentum on Large Changes in Stock Prices Using Cox Regression [Volume 2, Issue 2, 2014, Pages 1-19]
  • Darabi, Roya Financial Flexibility and Decisions on Capital Structure Studying the Relationship [Volume 1, Issue 1, 2013, Pages 97-123]
  • Darabi, Roya The Relationship between Various Measures of the Company's Growth and the Ratio of Changes in Retained Earnings of the Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 21-50]
  • Darabi, Roya The Investigation of the Relationship between Capital Structure and Abnormal Returns (Evidence from Tehran Stock Exchange) [Volume 4, Issue 1, 2016, Pages 77-102]
  • Darabi, Roya Structural Equation Approach in Three-Level Analysis of Financial Distress in Listed Companies in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 189-215]
  • Darabi, Roya Efficiency Evaluation of Fireflies Optimization Algorithms And vector support regression Forecast Cost of Capital [Volume 8, Issue 2, 2020, Pages 111-133]
  • Darabi, Roya Detection Model of Stock Price Crashes [Volume 9, Issue 2, 2021, Pages 177-156]
  • Daryaei, Abbas Ali Blockholders Ownership and Liquidity: Panel Smooth Transition Regression Model [Volume 8, Issue 3, 2020, Pages 63-86]
  • Dastgir, Mohsen Study on Enterprise Risk Management (ERM) effect on managerial ability in order to increasing investment efficiency [Volume 7, Issue 1, 2019, Pages 1-38]
  • Dastgir, Mohsen A Model for Identify Uncertainty and increase Flexibility in Capital Budgeting Decisions via Real Option Approach Case Study: A photovoltaic Plant in the South of Isfahan [Volume 8, Issue 4, 2020, Pages 157-186]
  • Dastgir, Mohsen The Effect of Asset Growth on Future Stock Price Crash Risk Given the Moderating Role Conservatism and Agency Problem [Volume 10, Issue 1, 2022, Pages 75-90]
  • Davallou, Maryam Off-Balance Sheet Activities and Commercial Banks' Performance [Volume 5, Issue 2, 2017, Pages 135-158]
  • Davallou, Maryam The Relationship between Components of the Book to Market Ratio and Stock Returns [Volume 6, Issue 4, 2018, Pages 29-60]
  • Davallou, Maryam Investigation of the impact of equity duration on total and systematic risk [Volume 8, Issue 2, 2020, Pages 93-109]
  • Davallou, Maryam Stock Allocation Strategy with Equal risk Contribution [Volume 9, Issue 1, 2021, Pages 25-53]
  • Davallou, Maryam Pricing Continuous Overreaction: Evidences from Tehran Security Exchange [Volume 10, Issue 1, 2022, Pages 31-52]
  • Davari, Mehdi The Relationship between Exchange Rate Regimes and Capital Market in Iran [Volume 11, Issue 1, 2023, Pages 1-24]
  • Davarikish, Razieh The Impact of Competitiveness on the Development of the Stock Market; with an Emphasis on Performance-Based Components [Volume 9, Issue 2, 2021, Pages 40-21]
  • Davoudinasr, majid Comparing the approach of machine learning algorithms in predicting the maintenance costs of trading strategies [(Articles in Press)]
  • Dehghan, Abdolmajid Relationship Between Corporate Characteristics and Systematic Risk in Tehran Stock Exchange:Using the Fama and French three-factor model [Volume 8, Issue 2, 2020, Pages 177-196]
  • Dehghan, Fateme The Investigation of the Relationship Between Growth Type and Capital Structure of Firms [Volume 4, Issue 2, 2016, Pages 1-23]
  • Dehghan, Leila The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds) [Volume 3, Issue 3, 2015, Pages 1-23]
  • Dehghani, Morteza The Investigation of the Relationship Between Growth Type and Capital Structure of Firms [Volume 4, Issue 2, 2016, Pages 1-23]
  • Dehghani Ahmadabad, MohamadReza Liquidity Risk Loss Estimation in Commercial Banks Using Stochastic Process Approach [Volume 8, Issue 2, 2020, Pages 1-22]
  • Dehghani Firoozabadi, Abolfazl The Relationship between Information Asymmetry and Dividend Policy Using the Logit Model [Volume 2, Issue 1, 2014, Pages 21-38]
  • Dehghani FiroozAbadi, Zahra Non-fungible tokens and factors affecting their pricing in a meta synthesis method [Volume 12, Issue 3, 2024]
  • Dehghankar, Soheila Survey the Status of Capital Market Liquidity in Financial Crisis [Volume 4, Issue 2, 2016, Pages 83-102]
  • Dehghan Khanghahi, Bita The Formulation of Effective Factors Pattern on Underpricing Phenomenon in Initial Public Offering [Volume 9, Issue 3, 2021, Pages 177-202]
  • Dehghan Monkabadi, Maryam Causes of Stock Prices at Tehran Stock Exchange based on a Meta-Analysis Approach: Evidence from Internal Studies [Volume 10, Issue 4, 2023, Pages 75-102]
  • Deldar, Mostafa The effect of Concentration on Customer on the Corporate dividend payout policy [Volume 7, Issue 1, 2019, Pages 71-94]
  • Deldar, Mostafa The Effectiveness Test of Customer Concentration on Cash Holdings Adjustment Speed In Listed Companies In Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 55-78]
  • Delshad, Afsaneh Investigating the Role of Management Characteristics On Stock Price Crash Risk in Companies Listed on Tehran Stock Exchange [Volume 7, Issue 4, 2019, Pages 82-102]
  • Didehkhani, Hosein A Comparative Study of Multi-Objective Multi-Period Portfolio Optimization Models in a Fuzzy Credibility Environment Using Different Risk Measures [Volume 5, Issue 3, 2017, Pages 1-26]
  • Didehkhani, Hosein The Design of a Comprehensive Model to Identify and Rate the Risks of Islamic Securities [Volume 6, Issue 4, 2018, Pages 61-87]
  • Didehkhani, Hosein Simulation of the Impact of Oil and Currency Shocks on the Systematic Risk and price returns of Stock: DSGE Approach [Volume 7, Issue 2, 2019, Pages 123-154]
  • Didehkhani, Hosein Investigating the Predictability of Starting Point and Ending Short-Term Trend of Stock Price Using the Bayesian Likelihood Network [Volume 8, Issue 1, 2020, Pages 39-64]
  • Didehkhani, Hosein Applying Verbal Decision Making and Multi-objective Fuzzy Optimization Approach in Portfolio Selection [Volume 11, Issue 1, 2023, Pages 211-230]
  • Dolatabadi, Seyed Abolfazle Factors of Financial and Accounting Competitiveness Strategies in Tehran Stock Exchange Companies Using Total Interpretative Structural Interpretation (TISM) [Volume 9, Issue 4, 2021, Pages 149-174]
  • Dory, Mohsen Economic Evaluation of Projects under Uncertainty Using Fuzzy Logic, Analytical Hierarchy Process and Binary Integer Programming [Volume 5, Issue 3, 2017, Pages 171-184]
  • Dourvash, Davoud The Application of Technical Analysis in Stock Price Forecasting: Non-linear Probability Models and Artificial Neural Networks [Volume 6, Issue 3, 2018, Pages 59-79]

E

  • Ebrahimbai Salami, Gholamhaidar Investigating The Appropriate Financing Tools for Iran's Tourism Industry Projects in The Capital Market [Volume 11, Issue 2, 2023, Pages 183-202]
  • Ebrahimee, Amin The Moderating Effect of Management Characteristics on the Relationship between Corporation Risk and Competition in the Product Market of Tehran Stock Securities. [Volume 11, Issue 2, 2023, Pages 129-160]
  • Ebrahimi, Abbas Application of Finite Difference Method in Computing of Risk Sensitivity Parameters for European Option (A Case Study of Tehran Stock Exchange) [Volume 9, Issue 2, 2021, Pages 134-108]
  • Ebrahimi, Kazem The Relationship between Financing Constraints and Conditional and Unconditional Conservatism of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 73-88]
  • Ebrahimi, Kazem The Relationship Between Investor Sentiment and Idiosyncratic Risk with Stock Mispricing: Evidence from Tehran Stock Exchange [Volume 8, Issue 1, 2020, Pages 65-85]
  • Ebrahimi, Mehrzad Financial Asset Pricing Using Price Bubble Risk [Volume 8, Issue 3, 2020, Pages 201-232]
  • Ebrahimi, Seyed Babak Multiple-Step-Ahead Forecasting of Value at Risk Based on Holt-Winters Exponential Smoothing Multiplicative Method [Volume 6, Issue 1, 2018, Pages 93-114]
  • Ebrahimi, Seyed Babak Automatic Portfolio Rebalancing System Design Using Volatility Prediction Models and Technical Analysis Combination [Volume 7, Issue 1, 2019, Pages 145-164]
  • Ebrahimi, Seyed Kazem Investigating of the Moderating Effect of Political Connections on the Relationship between Financial Constraints and Financial Distress Risk with Abnormal Return [Volume 10, Issue 1, 2022, Pages 113-132]
  • Ebrahimi, Seyyed Kazem The Effect of Political Relations on the Conservatism of Profit and Loss and the Cost of Debt of Companies Accepted in the Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 107-88]
  • Ebrahimi, Seyyed Kazem The Impact of Governmental Ownership, Political Connections, and Related-Party Transactions on External Financing and Investment [Volume 11, Issue 2, 2023, Pages 53-76]
  • Ebrahimi, Shahla Financial Distress Prediction of the Listed Companies on Tehran Stock Exchange (TSE) and Iran Fara Burse (IFB) Using Support Vector Machine [Volume 9, Issue 1, 2021, Pages 115-132]
  • Ebrahimi Sarv-e-Olia, Mohamad Hasan Financial Contagion based on Overlapping Portfolio in TEPIX Industrial Groups [Volume 9, Issue 3, 2021, Pages 79-102]
  • Ebrahimi Sarv Oulia, Mohamadhasan The role of information sources on the association between investor personality characteristics and trading behavior in Tehran Securities Exchange [Volume 8, Issue 4, 2020, Pages 51-82]
  • Ebrahimnejad, Ali The Relationship Between Ownership Structure and Performance: Evidence from the Iranian Stock Market [Volume 11, Issue 3, 2023, Pages 73-98]
  • Eivazlou, Reza Order Imbalance and Stock Price Realized Volatility in Tehran Stock Exchange and Iran Farabourse [Volume 11, Issue 3, 2023, Pages 29-50]
  • Emadi, Seyed Morteza Automatic Portfolio Rebalancing System Design Using Volatility Prediction Models and Technical Analysis Combination [Volume 7, Issue 1, 2019, Pages 145-164]
  • Emamat, Mir Seyed Mohammad Mohsen Stock portfolio selection by ELECTRE-TRI: Abilities, approaches and sensitivity analysis [Volume 7, Issue 2, 2019, Pages 1-32]
  • Emam verdi, Qudratullah Forecasting of Stock Returns based on the approach of Bayesian Models Averaging; Quantum Finance and Continuous Wavelet Analysis [(Articles in Press)]
  • Erfani, Milad Investigating Motivations Risk shift Mutual Funds Managers in Bullish and Bearish Market And its Impact on Return [Volume 12, Issue 1, 2024, Pages 139-160]
  • Erza, Amir Hossein Ranking the Iranian Private Banks through CAMELS Framework by Integrating AHP and ARAS Method [Volume 5, Issue 3, 2017, Pages 99-118]
  • Erza, AmirHossien The Effect of Working Capital Management on the Performance in Tehran Stock Exchange Companies [Volume 6, Issue 4, 2018, Pages 131-156]
  • Eskandari, Ramin Agency Costs and the Relationship between Financial Distress Risk and the Stock Prices Crash Risk [Volume 12, Issue 2, 2024, Pages 87-112]
  • Eslahi, Mahtab Investigating the Effect of Price Acceleration in Tehran Stock Exchange based on Risk and Under Reaction [Volume 11, Issue 4, 2023, Pages 25-50]
  • Eslami Mofid Abadi, Hossein The Investigation of the Effect of Investment Opportunities and Corporate Finance Structure on the Dividend Payout Policies of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 1-36]
  • Esmaeilzadehmaghari, Ali The Impact of Institutional Investors, Investment Horizons on ManagementEfficiency and Investment Decisions of the Companies [Volume 11, Issue 1, 2023, Pages 185-210]
  • Esmaeilzadeh Maghari, Ali Studying the Effect of Financial Variables on the Bid - Ask Price Spread of Stocks [Volume 10, Issue 1, 2022, Pages 179-198]
  • Esmaeilzadeh makhari, Ali Presenting the Forecasting Model of Analysis of Capital market Signals Using (CEEMD-DL(LSTM)) approach [Volume 12, Issue 1, 2024, Pages 211-226]
  • Esmailikia, Ghareibeh The Investigation of the Long-Run and Short-Run Effects of Macroeconomic Variables on Companies Capital Cost [Volume 8, Issue 3, 2020, Pages 119-146]
  • Esnaashari, Hamideh Capital Structure and its Adjustment Speed in Firm's Life Cycle and the Role of Profitability [Volume 5, Issue 4, 2018, Pages 69-92]
  • Etemadi, Ahmadreza Development of a Dynamic Model of Bank Strategy in Uncertainty using the SD Approach [Volume 11, Issue 2, 2023, Pages 203-226]
  • Ezani, Mehrnaz Investigating the Impact of Margin Changes on Future Trading Activities of Gold Coin in Iran Mercantile Exchange [Volume 6, Issue 3, 2018, Pages 139-166]

F

  • Faaljou, Hamidreza The Study of the Effect of the Index of Country Risk on Tehran Stock Exchange returns [Volume 3, Issue 3, 2015, Pages 49-78]
  • Fadaei, Mehdi Designing a Model for Selecting Financing Sources of Iranian Industrial Enterprises with Fuzzy ISM-MICMAC Approach [Volume 12, Issue 2, 2024, Pages 187-214]
  • Fadaei Molodi, Habib Stock Allocation Strategy with Equal risk Contribution [Volume 9, Issue 1, 2021, Pages 25-53]
  • Fadaei Nejad, Muhammad Esmaeil The Investigation of the Importance of Individual Securities Idiosyncratic Risk: Another Look at Idiosyncratic Risk and Expected Returns [Volume 6, Issue 1, 2018, Pages 1-24]
  • Fadaeinezhad, Mohammadesmaeel A Study of the Relationship between Cash Flow and Capital Structure [Volume 9, Issue 3, 2021, Pages 61-78]
  • Fadaeinezhad, Mohammadesmaeel Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Fadaeinezhad, Mohammadesmaeel The Relationship between Exchange Rate Regimes and Capital Market in Iran [Volume 11, Issue 1, 2023, Pages 1-24]
  • Fadavi, Mostafa Stock Price Changes and Trading Volume In Companies Accepted at the Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 75-95]
  • Faghiri, Mohammadreza Selection of Briston-Based Multi-Purpose Performance: A Case Study of the Shared Funds of the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 175-200]
  • Fakhari, Hossein Corporate Social Responsibility Disclosure and Investment Efficiency [Volume 4, Issue 4, 2017, Pages 85-106]
  • Fakhari, Hossein Effect of Corporate Performance on the Future Stock Price Crash Risk [Volume 8, Issue 3, 2020, Pages 43-62]
  • Fakhari, Hossien The Effect of Leverage and Free Cash Flow on the Cash Holding [Volume 5, Issue 4, 2018, Pages 1-23]
  • Fakhrehosseini, Seyed Fakhreddin Simulation of the Impact of Oil and Currency Shocks on the Systematic Risk and price returns of Stock: DSGE Approach [Volume 7, Issue 2, 2019, Pages 123-154]
  • Fallah, Reza Tax Planning and Firm Value with the Moderating Role of the Board of Directors [Volume 12, Issue 2, 2024, Pages 157-186]
  • Fallah abed, Tahereh The Effect of Quality Level of Voluntary Disclosure of Financial and Non-Financial Key Performance Indicators on the Earnings Forecast [Volume 3, Issue 3, 2015, Pages 105-128]
  • Fallahpoor, Saeed Evaluating Value at Risk Using a Hybrid Model of Support Vector Machine Based and the GARCH [Volume 1, Issue 1, 2013, Pages 125-152]
  • Fallahpour, Saeed Prediction of Stock Index Using Wavelet Neural Networks in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 15-31]
  • Fallahpour, Saeed The Stock Trend Prediction Using Volume Weighted Support Vector Machine with a Hybrid Feature Selection Method to Predict the Stock Price Trend in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 121-148]
  • Fallahpour, Saeid Portfolio Selection Using Combination of Logarithmic Fuzzy Preference Programming Method and PROMETHEE [Volume 2, Issue 2, 2014, Pages 103-120]
  • Fallahpour, Saeid The Use of Feature Selection Method (HARC) in Predicting Financial Distress in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 77-106]
  • Fallahshams, Mirfeiz Selection of Briston-Based Multi-Purpose Performance: A Case Study of the Shared Funds of the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 175-200]
  • Fallahshams, Mirfeiz Government Effectiveness, Regulatory Quality and Stock Market Performance: A quantile regression approach [Volume 11, Issue 2, 2023, Pages 161-182]
  • Fallahshams, Mirfeiz The Effect of Political and Economic Uncertainty on the Instability of the Banking Sector in Tehran Stock Exchange (time-varying parameter approach) [Volume 12, Issue 1, 2024, Pages 191-210]
  • Fallah Tafti, Hamed Identifying and Analyzing the Components of Financial Succession Succeeding in Social Partnership Projects [Volume 7, Issue 3, 2019, Pages 108-133]
  • Faraj zadeh dehkordi, Hasan The Investigation of the Effect of Cash Flow Uncertainty on the Investment-Dividends Sensitivity [Volume 3, Issue 2, 2015, Pages 107-126]
  • Farazmand, Mehdi Measuring the amount of influencing factors on block spending in each of the active industries in Iran's capital market [Volume 12, Issue 3, 2024]
  • Fareed, Dariush Using the Fundamental Analysis Method to Create a Matrix of Investor Views in the Black Literman Optimization Model and Comparing its Performance with Existing Models [Volume 10, Issue 3, 2022, Pages 77-94]
  • Farid, Dariush The Measurement of Risk based on the Criterion of Value at Risk via Model of GARCH (A Study of Stock of Listeَd Companies in Tehran Stock Exchange (TSE) in the Cement Industry) [Volume 3, Issue 3, 2015, Pages 149-168]
  • Farid, Daryush Evaluation of PSO-BiLSTM method for stock price forecasting using stock price time series data (Case study: Iran Stock Exchange and OTC stock) [Volume 10, Issue 4, 2023, Pages 125-150]
  • Farzanegan, Elham Investigating of Systematic Risk Contagion Effect among Industries listed in Tehran Stock Exchange: the Tail Event driven Network [Volume 12, Issue 1, 2024, Pages 113-138]
  • Farzanehkargar, Esmail The Value Relevance of Fair Value of Marketable Securities Portfolio in the Investment Companies [Volume 12, Issue 1, 2024, Pages 23-46]
  • Fatahi, Shahram The Effect of Banking Soundness on Profitability of Commercial Banks: Threshold Panel Regression Approach [Volume 5, Issue 1, 2017, Pages 29-50]
  • Fatahi, Siroos The Effect of the Executive Compensation on the Capital Structure and Financial Performance of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 69-94]
  • Fateri, Ali The Investigation of the Relationship between Real and Accrual Earnings Management and Capital Cost in Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 141-159]
  • Fateri, Ali Investigating the Relationship between CEO's Tenure and Lack of Transparency in Company Information [Volume 8, Issue 1, 2020, Pages 87-106]
  • Fathi, Saeed The Investigation of the Effect of Control Mechanisms of Corporate Governance on the Level of Cash Flow Holdings in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 57-75]
  • Fathi, Zadallah Providing a Model for the Impact of Corporate Governance and Ownership Structure on Innovation [Volume 12, Issue 3, 2024]
  • Fathi, Zadullah Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2023, Pages 197-216]
  • Fattahi, Shahram The Effect of Stock Market`s Development on Upper and Lower Income Deciles [Volume 8, Issue 1, 2020, Pages 117-142]
  • Fattahi, Shahram Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2023, Pages 31-54]
  • Fattahi, Yasin Blockholders Ownership and Liquidity: Panel Smooth Transition Regression Model [Volume 8, Issue 3, 2020, Pages 63-86]
  • Fazlollah Poor Nagharchi, Mehran Financial Leverage and its Relationship with Financial Strength, Growth and Capital Intensity in Companies Listed on Tehran Stock Exchange (Linear & Curvilinear Relationships) [Volume 2, Issue 2, 2014, Pages 79-101]
  • Forughi, Aref Investigating the Effect of Managerial Ability on Tax Avoidance and Investment Efficiency Relationship [Volume 8, Issue 4, 2020, Pages 111-134]

G

  • Ganji, HamidReza The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Garkaz, Mansour Investigating the effect of sensitivity of cash flows of investment thirst on companies listed in Tehran stock exchange [Volume 8, Issue 4, 2020, Pages 187-212]
  • Garkaz, Mansour Developing of Eight Factor Model for Measuring Stock Returns Through Market Stress, the Rate of Market Fragility and Market Liquidity Risk Variables [Volume 10, Issue 2, 2022, Pages 185-208]
  • Garoosi, Fatemeh Hybrid Model Binary ant ColonyAlgorithm and Support Vector Machine (BACO-SVM) for Feature Selection and Classification of Bank Customers with Case Study [Volume 8, Issue 2, 2020, Pages 71-92]
  • Gasemi, Sanaz Effect of Principal-Principal Conflict on Relationship between Financial Flexibility with Investment Propensity and Dividend Payouts [Volume 9, Issue 1, 2021, Pages 133-154]
  • Gasemifar, Samineh Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Ghadakfroshan, Maryam Financial Policies and Investment Efficiency in the Companies Listed in Tehran Stock Exchange [Volume 6, Issue 4, 2018, Pages 157-175]
  • Ghadamyari, Mohamad Government Debt to Commercial Banks and Financial Fragility [Volume 8, Issue 4, 2020, Pages 213-234]
  • Ghaderi, Bahman The Mediation of Information Asymmetry on the Relationship between Audit Quality and Financing Policies [Volume 5, Issue 4, 2018, Pages 93-126]
  • Ghaderi, Farzad Developing a Model for Firms Survival in Iranian Capital Market: Based on the "Puteong" model [Volume 7, Issue 4, 2019, Pages 151-171]
  • Ghadrdan, Ehsan Empirical Evidence of The Role of Management Optimism on Stock Returns [Volume 8, Issue 1, 2020, Pages 143-162]
  • Ghaemi Far, Leila Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Ghalambor, Mohammad Hossein The Impact of Existing and Potential Competition of Product Market on Disclosure Quality of Companies Listed on Tehran Stock Exchange Using Factor Analysis on Competition Variables [Volume 2, Issue 4, 2014, Pages 91-112]
  • Ghalari, Hasan Off-Balance Sheet Activities and Commercial Banks' Performance [Volume 5, Issue 2, 2017, Pages 135-158]
  • Ghalibaf asl, Hasan The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds) [Volume 3, Issue 3, 2015, Pages 1-23]
  • Ghalibafasl, Hasan The Relationship between Dividend Policy with Information Asymmetry and Stock Liquidity in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 1-23]
  • Ghalibafasl, Hasan Developing a Model for Firms Survival in Iranian Capital Market: Based on the "Puteong" model [Volume 7, Issue 4, 2019, Pages 151-171]
  • Ghalibafasl, Hasan Competitive Effect of IPO's in Tehran Security Exchange: An Event Study Analysis [Volume 9, Issue 1, 2021, Pages 93-114]
  • Ghalibafasl, Hasan Investigating The Appropriate Financing Tools for Iran's Tourism Industry Projects in The Capital Market [Volume 11, Issue 2, 2023, Pages 183-202]
  • Ghalibafasl, Hassan Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]
  • Ghalibafasl, Hassan Introducing and Testing the ZZ Growth Model for Stock Valuation [Volume 12, Issue 2, 2024, Pages 53-86]
  • Ghalibaf-Asl, Hasan Overconfidence of Investment Managers and the Performance Assessment Indexes of Mutual Funds [Volume 1, Issue 1, 2013, Pages 17-34]
  • Ghanavati, Nasrin The Impact of Existing and Potential Competition of Product Market on Disclosure Quality of Companies Listed on Tehran Stock Exchange Using Factor Analysis on Competition Variables [Volume 2, Issue 4, 2014, Pages 91-112]
  • Ghanbari, Mehrdad Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2023, Pages 217-234]
  • Ghanbartabar, Sara The Effect of Financial Development on the Decoupling of Energy Consumption and Economic Growth [Volume 12, Issue 2, 2024, Pages 1-26]
  • Ghane, saeed Identifying the Threshold of the Effect of Systematic and Unsystematic Risks on the Supply Chain of the Oil-Petrochemical and Chemical Industries (Hybrid Fuzzy Delphi Models Type 3 Threshold Panels) [(Articles in Press)]
  • Ghannad, Mostafa The Effect of Short-term, Medium, and Long-term Time Horizons on the Prediction of Future Cash Flows: A Comparative Study of the Ability of Operating Earnings and Cash Flows [Volume 4, Issue 4, 2017, Pages 107-127]
  • Ghannad, Mostafa The Comparison of the Structure of Liquidities, Funding via Long-Term-Debts and Dividends in Family & Non Family Firms [Volume 6, Issue 1, 2018, Pages 25-52]
  • Gharehbaghi, Hadi Competitive Effect of IPO's in Tehran Security Exchange: An Event Study Analysis [Volume 9, Issue 1, 2021, Pages 93-114]
  • Gharib, Iman Optimization of Ansar bank's Customer Loan portfolio using genetic algorithm (Case study of Ansar Bank) [Volume 7, Issue 4, 2019, Pages 125-150]
  • Ghasemi, Ghasem Tax Planning and Firm Value with the Moderating Role of the Board of Directors [Volume 12, Issue 2, 2024, Pages 157-186]
  • Ghasemian, Javad Application of Finite Difference Method in Computing of Risk Sensitivity Parameters for European Option (A Case Study of Tehran Stock Exchange) [Volume 9, Issue 2, 2021, Pages 134-108]
  • Ghasemi shams, Masoomeh The Moderating Effect of Advertising Intensity on the Relationship between Corporate Social Responsibility and Corporate Value [Volume 3, Issue 2, 2015, Pages 127-146]
  • Ghasemiyeh, Rahim Investigating the Effect of Price Acceleration in Tehran Stock Exchange based on Risk and Under Reaction [Volume 11, Issue 4, 2023, Pages 25-50]
  • Ghasempour, Shiva Ranking the Iranian Private Banks through CAMELS Framework by Integrating AHP and ARAS Method [Volume 5, Issue 3, 2017, Pages 99-118]
  • Ghauory Moghadam, Ali Investigating the Role of Managers 'Capacity and the Conflict of Interests in the Usefulness of Cost Stickiness: Evidence of Consciously Decisions in the Cost Stickiness Phenomenon [Volume 9, Issue 2, 2021, Pages 1-20]
  • Ghavidel Dostokoue, Saleh Analysis of the Financial Stability of the Iranian Insurance Industry [Volume 9, Issue 4, 2021, Pages 107-130]
  • Ghayoor, Farzad The Moderating Effect of Earning Quality on Financial Distress Prediction of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 4, 2017, Pages 25-44]
  • Ghayour, Farzad Explaining Factors Affecting the Issue and Redemption of Mutual Fund Units: Comparison of the Behavior of Stock Funds and Fixed-income Funds [Volume 8, Issue 2, 2020, Pages 61-70]
  • Ghazali, Amin A Framework for Measuring and Predicting Systemic Risk with the Marginal Expected Shortfall Approach (MES) in Iran Capital Market [Volume 6, Issue 3, 2018, Pages 1-29]
  • Ghiasi, Azar Optimizing the Cryptocurrency Investment Portfolio in Conditions of Uncertainty Using the Method of Data Envelopment Analysis - Robust Programming [Volume 11, Issue 3, 2023, Pages 99-126]
  • Ghodratizoeram, Abbas The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • GholamiMoghaddam, Faezeh Word – Based Measures and Conventional Measures of Fraud in Financial Reporting: Evidence from an Exploratory Study [Volume 6, Issue 1, 2018, Pages 73-92]
  • Gholampour, Najme Free Float and P/E Ratio at the Tehran Stock Exchange Studying the Relationship [Volume 1, Issue 1, 2013, Pages 55-73]
  • Gholampourfard, Mohammad Masoud Entrepreneurship Finance Conceptual Framework in Iran [Volume 8, Issue 1, 2020, Pages 1-20]
  • Gholamrezapoor, Mohammad Managerial overconfidence and Research and Development Expenditures [Volume 7, Issue 3, 2019, Pages 157-173]
  • Gholamrezapoor, Mohammad An Investigation into the Relationship between CEO Power and Corporate Financial Leverage [Volume 9, Issue 3, 2021, Pages 123-140]
  • Gholizadeh, Ali Akbar Investigating the Effect of Currency Shock on Stock Returns in Middle East Stock Markets [Volume 11, Issue 3, 2023, Pages 51-72]
  • Gholizadeh, Mohammad Hassan Portfolio Optimization (The Application of Value at Risk Model on Cross Efficiency) [Volume 5, Issue 2, 2017, Pages 159-183]
  • Golarzi, Gholamhossein Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • Golbaz, Leila The Investigation of the Effect of Credit Power in Companies Listed in Tehran Stock Exchange on Market Value of Equity Volatility [Volume 4, Issue 1, 2016, Pages 141-167]
  • Gorgin, Moein Sustainable Performance Assessment based on Multi-Attribute Utility Model [Volume 7, Issue 2, 2019, Pages 155-194]
  • Gorji, Amir Mohsen Studying the Impact of Weather Anomaly and Air Pollution on Return of Tehran Stock Exchange Index [Volume 2, Issue 2, 2014, Pages 39-57]
  • Goudarzi, Manizheh Generalized Black-Scholes Model under Garch Volatility with Conditional value-at-risk Calculation in Derivative Pricing [Volume 11, Issue 4, 2023, Pages 51-70]
  • Gudarzi Farahani, Yazdan The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2023, Pages 55-74]
  • Gudarzi Farahani, Yazdan Examining the Relationship between Diversification of Banking Resources and Expenses and Systemic Risk [Volume 12, Issue 2, 2024, Pages 27-52]

H

  • Habibi, Mostafa The Index Prediction of Tehran Stock Exchange by Combining the Principal Components Analysis, Support Vector Regression and Particle Swarm Optimization [Volume 4, Issue 4, 2017, Pages 1-23]
  • Habibi, Reza Sustainable Performance Assessment based on Multi-Attribute Utility Model [Volume 7, Issue 2, 2019, Pages 155-194]
  • Habibzadeh Baygi, Seyed Javad Detection Model of Stock Price Crashes [Volume 9, Issue 2, 2021, Pages 177-156]
  • Haddadi, Mohammad Reza Generalized Black-Scholes Model under Garch Volatility with Conditional value-at-risk Calculation in Derivative Pricing [Volume 11, Issue 4, 2023, Pages 51-70]
  • Hadiyan, Seyyed Amin The Effect of Quality Level of Voluntary Disclosure of Financial and Non-Financial Key Performance Indicators on the Earnings Forecast [Volume 3, Issue 3, 2015, Pages 105-128]
  • Haghgoo, Behnaz Studying the Relationship between Behavioral Biases of Investors and Their Investment Decisions in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 113-133]
  • Haghighat, Ali Investigating the Capital Asset Pricing Model with Intangible Capital: Dynamic Stochastic General Equilibrium Model [Volume 7, Issue 4, 2019, Pages 25-55]
  • Haghverdilou, Mahmoud Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Hajebrahimi, Mehdi Investigating the Effect of Investor Heterogeneity on the Concurrence of Stock Prices andStock Returns [Volume 11, Issue 3, 2023, Pages 219-236]
  • Hajiha, Zohre The Study of the Effect of Risk Stimulating Variables on Financing Constraints in Firms Listed in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 89-106]
  • Hajiha, Zohre Modeling and Identifying Hierarchy of the Effective Measures of the Earning Management on the Prediction of the Bankruptcy [Volume 6, Issue 4, 2018, Pages 1-27]
  • Hajiha, Zohreh The Relationship between Corporate Cultural Dimensions and Management Behavior (Optimism) with Financial Reporting Risk in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 115-133]
  • Hajiha, Zohreh Presentation of a Strategic Pattern for Selecting Financial Assessment with Higher Expected Return Based on Liquidity and Multi-Criteria Decision-Making [Volume 10, Issue 2, 2022, Pages 155-184]
  • Hajizadeh, Ehsan Multi-Asset Portfolio Management Including Fixed Income Securities by Value at Risk based Models in Iran Market [Volume 10, Issue 3, 2022, Pages 43-76]
  • Hamayeli Mehrabani, Taimaz Simulating and Estimating Trade Probability Based on Informed Trading in Tehran Stock Exchange [Volume 9, Issue 3, 2021, Pages 17-40]
  • Hamedi, Fateme The Value Relevance of Fair Value of Marketable Securities Portfolio in the Investment Companies [Volume 12, Issue 1, 2024, Pages 23-46]
  • Hamedi, Orkideh The Effect of Financial Repression Policy on Bank Credit Risk Taking (Evidence from Iranian Banking Sector) [Volume 9, Issue 3, 2021, Pages 103-122]
  • Hamekhani, Saeid The Mediation of Information Asymmetry on the Relationship between Audit Quality and Financing Policies [Volume 5, Issue 4, 2018, Pages 93-126]
  • Hamidanvar, Naele Investigating the Effect of Currency Shock on Stock Returns in Middle East Stock Markets [Volume 11, Issue 3, 2023, Pages 51-72]
  • Hamidian, Mohsen Comparison of intelligence accuracy of data mining algorithms to estimate stocks prices [Volume 12, Issue 3, 2024]
  • Hamidieh, Alireza Optimizing the Cryptocurrency Investment Portfolio in Conditions of Uncertainty Using the Method of Data Envelopment Analysis - Robust Programming [Volume 11, Issue 3, 2023, Pages 99-126]
  • Hanafizade, Payam A Model for Assessing the Financial Strength of the Iranian Banks [Volume 5, Issue 2, 2017, Pages 101-133]
  • Hanafizadeh, Payam Valuation of Candidate Projects Financed by Crowdfunding [Volume 7, Issue 2, 2019, Pages 33-59]
  • Haronkolaee, Kazem The Ability of Support Vector Machine (SVM) in Financial Recoverey Prediction [Volume 11, Issue 1, 2023, Pages 169-184]
  • Hasanabadi, Hasan Optional trading pricing with a new analytic method for the Black Scholes equation [Volume 7, Issue 3, 2019, Pages 135-155]
  • Hasani, Davoud The Effect of Political and Economic Uncertainty on the Instability of the Banking Sector in Tehran Stock Exchange (time-varying parameter approach) [Volume 12, Issue 1, 2024, Pages 191-210]
  • Hasani, Hasan The Effect of Changes in Financial Leverage and Debt Cost on Revenue-Expense Matching [Volume 9, Issue 3, 2021, Pages 41-60]
  • HasaniMoghadam, Rafi Application of Finite Difference Method in Computing of Risk Sensitivity Parameters for European Option (A Case Study of Tehran Stock Exchange) [Volume 9, Issue 2, 2021, Pages 134-108]
  • Hasannejad, Mohammad The Relationship between Exchange Rate Regimes and Capital Market in Iran [Volume 11, Issue 1, 2023, Pages 1-24]
  • Hasanzadeh, Hosein Extracting and Ranking the Factors behind the Banking System's Deferred Claims and Proposing Solutions (2011-2019) [Volume 9, Issue 2, 2021, Pages 63-41]
  • Hashemi, Ghazaleh Order Imbalance and Stock Price Realized Volatility in Tehran Stock Exchange and Iran Farabourse [Volume 11, Issue 3, 2023, Pages 29-50]
  • Hashemi, Seyed Abbas The Examination Effect of Liquidity trading companies on Stock Liquidity of Companies Listed in Tehran Stock Exchange [Volume 1, Issue 2, 2013, Pages 89-104]
  • Hashemi, Seyed Abbas The Effect of Financial Distress Risk on Size and Value Effects [Volume 3, Issue 1, 2015, Pages 71-88]
  • Hashemi, Seyed Abbas Industry Based Style Investing and Herding Behaviour in Industry Level and Momentum Strategy Among Retail Investors [Volume 6, Issue 2, 2018, Pages 35-59]
  • Hashemi, Seyed Abbas Examining the Performance of Accruals Trading Strategy [Volume 8, Issue 3, 2020, Pages 21-41]
  • Hashemi, Taher The Effect of Governmental Affiliation on Systemic Risk of the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 121-137]
  • Hashemi Farasha, Seyyed Abulghasem Relationship Between Corporate Characteristics and Systematic Risk in Tehran Stock Exchange:Using the Fama and French three-factor model [Volume 8, Issue 2, 2020, Pages 177-196]
  • Hashemnia, Shahram The Effect of Stock Migration on the Spend of portfolios’ Return [Volume 4, Issue 4, 2017, Pages 67-84]
  • Hashempoor, Sahar Identifying and Analyzing the Components of Financial Succession Succeeding in Social Partnership Projects [Volume 7, Issue 3, 2019, Pages 108-133]
  • Hassani, Hassan Factors influencing Capital Structure of Companies with Emphasis on the Business Cycle [Volume 5, Issue 1, 2017, Pages 77-97]
  • Hassanpour, Davood Corporate Social Responsibility and Stock Liquidity: The Moderating Role of External Monitoring [Volume 11, Issue 3, 2023, Pages 175-192]
  • Hassas Yeganeh, Yahya A Model for Financial Flexibility of Accepted Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 45-67]
  • Hatam, javid Financial Leverage and its Relationship with Financial Strength, Growth and Capital Intensity in Companies Listed on Tehran Stock Exchange (Linear & Curvilinear Relationships) [Volume 2, Issue 2, 2014, Pages 79-101]
  • Hedayati, Ghodratollah The Relationship between Corporate Cultural Dimensions and Management Behavior (Optimism) with Financial Reporting Risk in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 115-133]
  • Heidari, Mahdi The Relationship Between Ownership Structure and Performance: Evidence from the Iranian Stock Market [Volume 11, Issue 3, 2023, Pages 73-98]
  • Heidari, Mehdi The Investigation of Factors Affecting the Liquidity of Banks and Financial Credit Institutions in Iran [Volume 4, Issue 1, 2016, Pages 59-76]
  • Heidari, Mehdi The Mediation of Information Asymmetry on the Relationship between Audit Quality and Financing Policies [Volume 5, Issue 4, 2018, Pages 93-126]
  • Heidari, Mohammad Investigating the Disproportionate Reaction of Investors in the Iran Stock Market [Volume 9, Issue 4, 2021, Pages 87-106]
  • Heidari, Zahra The Interaction of Innovation with Globalization and Institutional Quality on the Financial Wealth [Volume 12, Issue 1, 2024, Pages 47-68]
  • Heidarpoor, Farzaneh The Effect of Short-term, Medium, and Long-term Time Horizons on the Prediction of Future Cash Flows: A Comparative Study of the Ability of Operating Earnings and Cash Flows [Volume 4, Issue 4, 2017, Pages 107-127]
  • Hejazi, Rezvan Studying the Impact of Market, Liquidity and Momentum on Large Changes in Stock Prices Using Cox Regression [Volume 2, Issue 2, 2014, Pages 1-19]
  • Hejazi, Rezvan A scheme of CAPM models considering distress risk and Firms life cycle [Volume 7, Issue 1, 2019, Pages 95-122]
  • Hejazi, Rezvan The Value of Financial Flexibility, Investment Efficiency and Adjustment Speed of Working Capital [Volume 8, Issue 1, 2020, Pages 177-196]
  • Hekmat, Hanieh The Strength of Convolutional Neural Network in Financial Distress Prediction [Volume 11, Issue 2, 2023, Pages 77-96]
  • Hemmati, Hasan The Investigation of the Effect of Cash Flow Uncertainty on the Investment-Dividends Sensitivity [Volume 3, Issue 2, 2015, Pages 107-126]
  • Hesarzadeh, Reza Word – Based Measures and Conventional Measures of Fraud in Financial Reporting: Evidence from an Exploratory Study [Volume 6, Issue 1, 2018, Pages 73-92]
  • Homayounfar, Mahdi Designing a Model for Selecting Financing Sources of Iranian Industrial Enterprises with Fuzzy ISM-MICMAC Approach [Volume 12, Issue 2, 2024, Pages 187-214]
  • Hoseiini, Seyedeh Yeganeh Investigating the Effect of Price Acceleration in Tehran Stock Exchange based on Risk and Under Reaction [Volume 11, Issue 4, 2023, Pages 25-50]
  • Hoseini, Seyed Mojtaba Growth Opportunities, Earning Permanence and the Valuation of Free Cash Flow [Volume 5, Issue 3, 2017, Pages 45-74]
  • Hoseini, Seyed Mojtaba The Role of Stock Price Synchronicity and Stock Price Informativeness on Portfolio Optimization [Volume 7, Issue 3, 2019, Pages 25-60]
  • Hoshmand, Fatemeh The Moderating Effect of Advertising Intensity on the Relationship between Corporate Social Responsibility and Corporate Value [Volume 3, Issue 2, 2015, Pages 127-146]
  • Hoshmand, Saeed The Test of the Price Pressure Effects due to the Capital Raising Plans [Volume 4, Issue 2, 2016, Pages 25-39]
  • Hosseini, Seyed Ali Investigating the Relationship between Financial Statements Complexity and Voluntary Disclosure Based on the Role of Firm Performance, Liquidity, and Institutional Owners [Volume 9, Issue 2, 2021, Pages 87-64]
  • Hosseini, Seyed Ehsan Examining the Performance of Accruals Trading Strategy [Volume 8, Issue 3, 2020, Pages 21-41]
  • Hosseini, Seyedeh Zahra An Investigation into the Relationship between CEO Power and Corporate Financial Leverage [Volume 9, Issue 3, 2021, Pages 123-140]
  • Hosseini, S.Fatemeh Intraday Liquidity and Return Dependency Structure Modeling of a Portfolio in Tehran Stock Exchange with ACP-GARCH-High Dimension Vine Copula [Volume 9, Issue 4, 2021, Pages 1-20]
  • Hosseini Bamakan, Seyed Mojtaba Evaluation of PSO-BiLSTM method for stock price forecasting using stock price time series data (Case study: Iran Stock Exchange and OTC stock) [Volume 10, Issue 4, 2023, Pages 125-150]
  • Hosseini Chegeni, Elham Studying the Relationship between Behavioral Biases of Investors and Their Investment Decisions in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 113-133]
  • Hosseinidoust, Seyed Ehsan The Effect of Financial Repression Policy on Bank Credit Risk Taking (Evidence from Iranian Banking Sector) [Volume 9, Issue 3, 2021, Pages 103-122]
  • Hosseinidoust, Seyed Ehsan Investigating the Effect of Currency Shock on Stock Returns in Middle East Stock Markets [Volume 11, Issue 3, 2023, Pages 51-72]
  • Hosseininia, Parvin Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2023, Pages 31-54]
  • Hosseinzadeh, Zahra Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2023, Pages 197-216]
  • Houshmand Zaferanie, Rahmat The Investigation of the Relationship Between Growth Type and Capital Structure of Firms [Volume 4, Issue 2, 2016, Pages 1-23]
  • Houshmand zahferanieh, rahmat allah The effect of capital structure on stock futures Abnormal returns with regard to the level of concentration in the industry [Volume 1, Issue 3, 2014, Pages 131-146]
  • Husseinzadeh Kashan, Ali Operational Risk Assessment Using Bayesian Inference with Regard to the Composition of Data Sources and the Assumption of Dependence between Experts and Internal Loss Data [Volume 6, Issue 1, 2018, Pages 53-72]
  • Husseinzadeh Kashan, Ali Hybrid Model Binary ant ColonyAlgorithm and Support Vector Machine (BACO-SVM) for Feature Selection and Classification of Bank Customers with Case Study [Volume 8, Issue 2, 2020, Pages 71-92]

I

  • Iesvand Heidari, Abdolreza Analysis of the Financial Stability of the Iranian Insurance Industry [Volume 9, Issue 4, 2021, Pages 107-130]
  • Izadinia, Naser Financial Distress as a Risk Factor for the Occurrence of Earnings Management [Volume 3, Issue 3, 2015, Pages 25-47]
  • Izadinia, Naser The Relationship between Accounting Information Quality and Firm Value with an Emphasis on controlling operating volatility [Volume 7, Issue 4, 2019, Pages 57-81]

J

  • Jabarzade, Saeed The Relationship between Tax Avoidance and Firm Value with an Emphasis on Agency Cost and Firm Disclosure Quality [Volume 4, Issue 3, 2016, Pages 25-48]
  • Jabbari, Ali Identifying the Threshold of the Effect of Systematic and Unsystematic Risks on the Supply Chain of the Oil-Petrochemical and Chemical Industries (Hybrid Fuzzy Delphi Models Type 3 Threshold Panels) [(Articles in Press)]
  • Jabbarzadeh, Armin The Application of Technical Analysis in Stock Price Forecasting: Non-linear Probability Models and Artificial Neural Networks [Volume 6, Issue 3, 2018, Pages 59-79]
  • Jabbarzadeh kangarluei, Saeid Agency Problem, Corporate Governance Mechanisms and Cost Stickiness in Firms Listed in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 79-103]
  • Jabbarzadeh Kangarluei, Saeid The Formulation of Effective Factors Pattern on Underpricing Phenomenon in Initial Public Offering [Volume 9, Issue 3, 2021, Pages 177-202]
  • Jadidian, Ahmad Ali Investor Sentiment Model based on Asymmetric Conditions of Strategies in Psychological Games of Stock Price [Volume 12, Issue 2, 2024, Pages 215-248]
  • Jafari, Abolfazl A Model for Assessing the Financial Strength of the Iranian Banks [Volume 5, Issue 2, 2017, Pages 101-133]
  • Jafari, Ali Investigating the intensity and weakness of herding behavior with a new method Based on stock market value in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 83-107]
  • Jafari, Seyedeh mahboobeh Estimation of Systemic Risk of Iranian Banking System Using MES and CoVaR Measures [Volume 8, Issue 4, 2020, Pages 235-256]
  • Jafari, Seyedeh Mahboobeh Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]
  • Jafari Eskandari, Meysam Economic Evaluation of Projects under Uncertainty Using Fuzzy Logic, Analytical Hierarchy Process and Binary Integer Programming [Volume 5, Issue 3, 2017, Pages 171-184]
  • Jafarizade, Vahid The Effect of Mimetic Behavior of Peer Companies on Capital Structure of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 143-162]
  • Jahandoust Marghoub, Mehran The Impact of Different Information Environments on the Relationship between Disclosure Quality and Idiosyncratic Stock Risk: A Principal Component Analysis Approach [Volume 11, Issue 1, 2023, Pages 131-144]
  • Jahandoust Marghoub, Mehran The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Jahanshad, Azita The effect of managers’ overconfidence based on investment and capital expenditure on risk indexes and capital productivity [Volume 7, Issue 4, 2019, Pages 104-124]
  • Jahanshad, Azita Proposing a Conceptual-Mathematical Model for Financial Distress Prediction by Focusing on Adjusted Cash Flow Statement [(Articles in Press)]
  • Jahed, Tahereh The Effect of Banking Soundness on Profitability of Commercial Banks: Threshold Panel Regression Approach [Volume 5, Issue 1, 2017, Pages 29-50]
  • Jalae, Abdol Majid The Effect of Corporate Governance Quality Index on Limiting Earning Management Using Unusual Transactions with Related Parties in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 1-27]
  • Jalali, Fatemeh The Relationship Between Investor Sentiment and Idiosyncratic Risk with Stock Mispricing: Evidence from Tehran Stock Exchange [Volume 8, Issue 1, 2020, Pages 65-85]
  • Jalili, Esmaeel Time-Varying Effect of Macroeconomic Factors on Investor Sentiment: Examining the Role of Sanction, JCPOA and Covid-19 [Volume 12, Issue 2, 2024, Pages 133-156]
  • Jalilian, Jamal Designing and Implementation of Pair Trading Strategy Software in Iran Stock Market [Volume 3, Issue 4, 2016, Pages 107-123]
  • Jamali, Gholamreza The Impact of Cultural Intelligence of Financial Managers on Corporates Financial Reporting Quality [Volume 11, Issue 4, 2023, Pages 197-218]
  • Jamali, Jafar Government Effectiveness, Regulatory Quality and Stock Market Performance: A quantile regression approach [Volume 11, Issue 2, 2023, Pages 161-182]
  • Jamalzade, Mahmood The Effect of Corporate Governance Quality Index on Limiting Earning Management Using Unusual Transactions with Related Parties in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 1-27]
  • Jamshidi, Amir Investigating The Relationship Between Bank, Automotive, Cement, Base Metals, And Petroleum Products in Tehran Stock Exchange in Positive and Negative Return by Asymmetric TVP-VAR [Volume 12, Issue 1, 2024, Pages 69-86]
  • Jamshidi Naveed, Babak Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2023, Pages 217-234]
  • Janati, Atefe The Deviation from Optimal Leverage and Abnormal Returns [Volume 8, Issue 4, 2020, Pages 135-156]
  • Javadi, Navid The Effect of the Executive Compensation on the Capital Structure and Financial Performance of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 69-94]
  • Javaheri, Ahmad Prediction of Stock Return Using Financial Ratios: A Decision Tree Approach [Volume 3, Issue 4, 2016, Pages 125-146]
  • Javidan, Hamid The Effect of Corporate Governance and Conservatism Mechanisms on Information Asymmetry with Structural Equation Modeling Technique in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 127-157]
  • Joola, Ja'far Studying the Influence of Base Volume on Stock Returns and Liquidity in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 59-73]

K

  • Kabgani, Mohamad Hosein Developing a Model and Quantitative Analysis of Monetary and Fiscal Services of Banks Based on Functional Aspects in Green Banking [Volume 4, Issue 3, 2016, Pages 49-67]
  • Kaffashpour yazdi, Mahsa The Effects of Information Symmetry on the Relationship between Internal Information Quality and Systematic Risk Using Static and Dynamic Approaches [Volume 9, Issue 3, 2021, Pages 141-160]
  • Kamyabi, Yahya The Study of the Relationship between Related-Party Transactions and the Control-Ownership Wedge of the Ultimate Controlling Shareholder [Volume 4, Issue 4, 2017, Pages 45-65]
  • Kargar, Hamed Empirical Investigating of the Impact of Comparability and Readability of the Financial Statements on Avoiding of the Companies Shares' Incorrect Pricing [Volume 12, Issue 3, 2024]
  • Karimi, Tooraj The Application of Rough Set Theory in Stock Price Forecasting (Case Study: Iran Saderat Bank) [Volume 5, Issue 3, 2017, Pages 119-144]
  • Karimi Vardanjani, Reza Extracting and Ranking the Factors behind the Banking System's Deferred Claims and Proposing Solutions (2011-2019) [Volume 9, Issue 2, 2021, Pages 63-41]
  • Karimkhani, Masoud Survey the Relationship between Bank Size and Capital with Systemic Risk in Banks Accepted in the Stock Exchange [Volume 8, Issue 1, 2020, Pages 163-176]
  • Kaviani, Meysam Simulation of the Impact of Oil and Currency Shocks on the Systematic Risk and price returns of Stock: DSGE Approach [Volume 7, Issue 2, 2019, Pages 123-154]
  • Kazemi, Parivash Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Kazemi Miyangaskari, Mina Portfolio Optimization (The Application of Value at Risk Model on Cross Efficiency) [Volume 5, Issue 2, 2017, Pages 159-183]
  • Kazemi-Rashnani, Marzieh Multi-Asset Portfolio Management Including Fixed Income Securities by Value at Risk based Models in Iran Market [Volume 10, Issue 3, 2022, Pages 43-76]
  • Kazempour, Morteza Analytical Review of Separation of Operating Cash Flow and Accruals on the Ability to Predict Future Cash flows and Profits [Volume 2, Issue 4, 2014, Pages 75-89]
  • Kermani, Ehsan The Study of the Effect of the Board of Directors’ Independency on the Relationship between Information Asymmetry and Financial Reporting Quality of the Companies Listed in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 1-26]
  • Keshavarz, Fatemeh The Relationship between the Managerial Overconfidence and Stock Price Crash Risk in Firms Listed in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 192-217]
  • Khademalhosseini, Sahar Decision-Making Autonomy of Managers and Financial Performance [Volume 6, Issue 4, 2018, Pages 177-200]
  • Khademi, Samaneh Factors Affecting Personal Financial Management Behaviors – The Case Of Iranian Youth [Volume 7, Issue 1, 2019, Pages 123-143]
  • Khadivar, Ameneh Designing an Expert System to Manage Banking Resources and Expenditures [Volume 11, Issue 2, 2023, Pages 29-52]
  • Khajavi, Shokrollah Investigating the Mediating Role of Managerial Quality on the Relationship between Tax Avoidance and Stock Price Crash Risk of Firms Listed in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 11-34]
  • Khajavi, Shokrollah Investigating the Role of Managers 'Capacity and the Conflict of Interests in the Usefulness of Cost Stickiness: Evidence of Consciously Decisions in the Cost Stickiness Phenomenon [Volume 9, Issue 2, 2021, Pages 1-20]
  • Khajavi, Shokrollah The Impact of Different Information Environments on the Relationship between Disclosure Quality and Idiosyncratic Stock Risk: A Principal Component Analysis Approach [Volume 11, Issue 1, 2023, Pages 131-144]
  • Khakzar Bafruei, Morteza Development of a Dynamic Model of Bank Strategy in Uncertainty using the SD Approach [Volume 11, Issue 2, 2023, Pages 203-226]
  • Khalaj, Ahmad Pricing Continuous Overreaction: Evidences from Tehran Security Exchange [Volume 10, Issue 1, 2022, Pages 31-52]
  • Khaleghi Moghaddam, Hamid A Model for Financial Flexibility of Accepted Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 45-67]
  • Khalili, Karam The Impact of External Financing Requirements on Corporate Governance Index and Company Value: Evidence from Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 1-24]
  • Khaliliaraghi, Maryam Optional trading pricing with a new analytic method for the Black Scholes equation [Volume 7, Issue 3, 2019, Pages 135-155]
  • Khalili Araghi, Maryam Behavioral Stock Valuation Using 3d Grouping [Volume 5, Issue 2, 2017, Pages 1-26]
  • Khalili Araghi, Maryam Momentum Strategies and Investors` Sentiment in the Real Estate Investment Companies Listed in Stock Exchange [Volume 6, Issue 3, 2018, Pages 167-188]
  • Khalili Araghi, Maryam Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • Khalili dameghani, Kaveh Investigating the Predictability of Starting Point and Ending Short-Term Trend of Stock Price Using the Bayesian Likelihood Network [Volume 8, Issue 1, 2020, Pages 39-64]
  • Khalili Damghani, Kaveh A Comparative Study of Multi-Objective Multi-Period Portfolio Optimization Models in a Fuzzy Credibility Environment Using Different Risk Measures [Volume 5, Issue 3, 2017, Pages 1-26]
  • Khani, Abdullah The Evaluation of the Managed Momentum Strategy in the Listed Companies on Tehran Stock Exchange [Volume 8, Issue 4, 2020, Pages 23-50]
  • Khanjarpanah, Hossein The Application of Technical Analysis in Stock Price Forecasting: Non-linear Probability Models and Artificial Neural Networks [Volume 6, Issue 3, 2018, Pages 59-79]
  • Khatiri, Mohammad Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Khazayi, Sajad Operational Risk Assessment Using Bayesian Inference with Regard to the Composition of Data Sources and the Assumption of Dependence between Experts and Internal Loss Data [Volume 6, Issue 1, 2018, Pages 53-72]
  • Khochiany, Ramin The Time-Scale Interactions between Stock Price and Exchange Rate Volatility in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 168-191]
  • Khodamipour, Ahmad Investigating the Effect of Managerial Ability on Tax Avoidance and Investment Efficiency Relationship [Volume 8, Issue 4, 2020, Pages 111-134]
  • Khorramabadi, Mehdi Investigating the Interactive Effect of Financial Constraints and Development on the Relationship between Stock Liquidity and the Company's Future Investment [Volume 11, Issue 4, 2023, Pages 93-118]
  • Khoshnood, Mehdi Designing a Model for Predicting Valuation of Block Trade Transactions with a Focus on GRU Artificial Neural Network in the Industry [Volume 12, Issue 2, 2024, Pages 249-274]
  • Khosravi Golmet Abadi, Homayoun Investor Sentiment Model based on Asymmetric Conditions of Strategies in Psychological Games of Stock Price [Volume 12, Issue 2, 2024, Pages 215-248]
  • Khosravipour, Negar Estimation of Systemic Risk of Iranian Banking System Using MES and CoVaR Measures [Volume 8, Issue 4, 2020, Pages 235-256]
  • Khosravipour, Negar Studying the Effect of Financial Variables on the Bid - Ask Price Spread of Stocks [Volume 10, Issue 1, 2022, Pages 179-198]
  • Khosravipour, Negar The Impact of Institutional Investors, Investment Horizons on ManagementEfficiency and Investment Decisions of the Companies [Volume 11, Issue 1, 2023, Pages 185-210]
  • Khozein, Ali The Relationship between Stock Liquidity Dimensions and Put Option Volume as a New Financial Instrument [Volume 5, Issue 1, 2017, Pages 99-114]
  • Khozein, Ali The Design of a Comprehensive Model to Identify and Rate the Risks of Islamic Securities [Volume 6, Issue 4, 2018, Pages 61-87]
  • Kiani, Tahereh The Measurement of Risk based on the Criterion of Value at Risk via Model of GARCH (A Study of Stock of Listeَd Companies in Tehran Stock Exchange (TSE) in the Cement Industry) [Volume 3, Issue 3, 2015, Pages 149-168]
  • Kianirad, Bahman Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2023, Pages 217-234]
  • Kianizadeh, Hossein Comparison of intelligence accuracy of data mining algorithms to estimate stocks prices [Volume 12, Issue 3, 2024]
  • Kimiagari, Alimohammad Estimation of Profitability Function Using Capital Structure Variables in Iranian Industries [Volume 9, Issue 4, 2021, Pages 43-64]
  • Koohi, Elham The Relationship Between Ownership Structure and Performance: Evidence from the Iranian Stock Market [Volume 11, Issue 3, 2023, Pages 73-98]
  • Koosha, Emad Optimization of Ansar bank's Customer Loan portfolio using genetic algorithm (Case study of Ansar Bank) [Volume 7, Issue 4, 2019, Pages 125-150]
  • Koosha, Emad Comparing the Performance of Algorithmic Trading Systems based on Machine Learning in the Cryptocurrency Market [Volume 12, Issue 1, 2024, Pages 161-190]
  • Kordestani, Gholamreza The Effect of Private Information on Investment and Dividend Policy [Volume 5, Issue 2, 2017, Pages 27-53]
  • Kordestani, Gholamreza Agency Costs and the Relationship between Financial Distress Risk and the Stock Prices Crash Risk [Volume 12, Issue 2, 2024, Pages 87-112]
  • Kordi, Malihe Overconfidence of Investment Managers and the Performance Assessment Indexes of Mutual Funds [Volume 1, Issue 1, 2013, Pages 17-34]

L

  • Lalbar, Ali Comparing the approach of machine learning algorithms in predicting the maintenance costs of trading strategies [(Articles in Press)]
  • Lari dashtbayaz, Mahmoud Reversibility of Earning Management Related to the Major Finance [Volume 5, Issue 2, 2017, Pages 55-76]
  • Lari Dastebayaz, Mahmood More Corporate Social Responsibility, Less Leverage Adjustment Speed: a Fact? [Volume 10, Issue 4, 2023, Pages 103-124]
  • Lashgarara, Soheila Investigating the Interactive Effect of Financial Constraints and Development on the Relationship between Stock Liquidity and the Company's Future Investment [Volume 11, Issue 4, 2023, Pages 93-118]

M

  • Madanchi zaj, Mehdi The Test of the Effect of Investor Trading Behavior and Investors` Sentiment on Excess Return in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 140-167]
  • Madani, Mehdi Investigating the Effect of Financial Literacy on the Intention to Invest in the Stock Market, Taking into Account the Tendency and Behavioral Controls of Investors and Emphasizing Moral and Mental Norms [Volume 12, Issue 2, 2024, Pages 113-132]
  • Mahdavi, Gholamhossein The Study of the Effect of the Board of Directors’ Independency on the Relationship between Information Asymmetry and Financial Reporting Quality of the Companies Listed in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 1-26]
  • Mahdiabadi, Narges The Analysis of the Relationship between Corporate Governance, Income Smoothing and Quality of Financial Reporting [Volume 3, Issue 4, 2016, Pages 27-49]
  • Mahmoodi, Mohammad The Effect of Quality Level of Voluntary Disclosure of Financial and Non-Financial Key Performance Indicators on the Earnings Forecast [Volume 3, Issue 3, 2015, Pages 105-128]
  • Mahmoudi, Maryam The Prediction of the Risk of Financial Bankruptcy Using Hybrid Model in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 51-75]
  • Mahmoudi, Vahid Entrepreneurship Finance Conceptual Framework in Iran [Volume 8, Issue 1, 2020, Pages 1-20]
  • Mahmoudi azar, Meysam Studying the Impact of Weather Anomaly and Air Pollution on Return of Tehran Stock Exchange Index [Volume 2, Issue 2, 2014, Pages 39-57]
  • Mahroomi, Ramin The Effect of Risk Disclosure on the Share Price Anticipation based on Earnings and Firm Value [Volume 5, Issue 4, 2018, Pages 189-209]
  • Majidi, Hamed The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • Maleki, Mostafa Investigating the Relationship between Research and Development Expenditures and Capital Budgeting Methods in Advanced Technology Industries [Volume 8, Issue 3, 2020, Pages 232-252]
  • Maleki amiri, Fatemeh Explaining the Role of sources of financing mergers and acquisitions on the company's performance based on Pecking Order Theory [Volume 12, Issue 3, 2024]
  • Malekian, Esfandyar The Effect of Changes in Financial Leverage and Debt Cost on Revenue-Expense Matching [Volume 9, Issue 3, 2021, Pages 41-60]
  • Malekian, Mostafa The Effect of Changes in Financial Leverage and Debt Cost on Revenue-Expense Matching [Volume 9, Issue 3, 2021, Pages 41-60]
  • Malekian kallehbasti, Mostafa The Investigation of the Relationship between Real and Accrual Earnings Management and Capital Cost in Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 141-159]
  • Mandegari, Ali The Effect of Financial Flexibility, Managerial Efficiency, and Life Cycle on the Financial Performance of Companies Listed in the Tehran Stock Exchange [Volume 11, Issue 2, 2023, Pages 97-128]
  • Mansoorfar, Gholamreza The Moderating Effect of Earning Quality on Financial Distress Prediction of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 4, 2017, Pages 25-44]
  • Mansourfar, Gholamreza Financial Distress as a Risk Factor for the Occurrence of Earnings Management [Volume 3, Issue 3, 2015, Pages 25-47]
  • Mansourfar, Gholamreza Explaining Factors Affecting the Issue and Redemption of Mutual Fund Units: Comparison of the Behavior of Stock Funds and Fixed-income Funds [Volume 8, Issue 2, 2020, Pages 61-70]
  • Mansourfar, Gholamreza Comparison of Statistical and Machine Models for Predicting Cash Holdings and Providing the Optimal Model [Volume 11, Issue 3, 2023, Pages 1-28]
  • Marfu, Mohammad Factor Models and Long-tern Underperformance of the IPOs [Volume 12, Issue 1, 2024, Pages 1-22]
  • Mashayekhi, Bita Financial Reporting Quality, Debt Maturity and Investment Efficiency [Volume 2, Issue 4, 2014, Pages 1-14]
  • Mashhadizadeh, Mohammad A Model for Identify Uncertainty and increase Flexibility in Capital Budgeting Decisions via Real Option Approach Case Study: A photovoltaic Plant in the South of Isfahan [Volume 8, Issue 4, 2020, Pages 157-186]
  • Mashokouh ajirlou, Mohammad The Comparison of Fuzzy Neural Network Methods with Wavelet Fuzzy Neural Network in Predicting Stock Prices of Banks Accepted in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 109-138]
  • Masihabadi, Abolghasem The Role of Earnings Quality in Estimating Credit Risk [Volume 9, Issue 1, 2021, Pages 203-224]
  • Maskani, Mostafa Investigating the Effectiveness of Tournament incentive on Relationship between CEO Behavioral Bias with Internal Control Weakness in Companies listed in the Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 135-155]
  • Matoufi, Alireza Investigating the effect of sensitivity of cash flows of investment thirst on companies listed in Tehran stock exchange [Volume 8, Issue 4, 2020, Pages 187-212]
  • Matoufi, Alireza Board Characteristics and Integrated Life Cycle Classification of the Firms Listed on the Tehran Stock Exchange Using DeAngelo and Dickinson Models [Volume 9, Issue 2, 2021, Pages 200-178]
  • Matoufi, Alireza Developing of Eight Factor Model for Measuring Stock Returns Through Market Stress, the Rate of Market Fragility and Market Liquidity Risk Variables [Volume 10, Issue 2, 2022, Pages 185-208]
  • Mazaheri, Esmaeel Analysis of the conceptual model of indicators affecting financing in crisis conditions: Insights from Covid-19 Pandemic and sanction [Volume 12, Issue 3, 2024]
  • Mehrabanpour, Mohammadreza The Role of Financial Inflexibility in Explaining Value Anomaly with‌ Emphasis on the Business Cycle [Volume 11, Issue 1, 2023, Pages 25-52]
  • Mehrabi, Ali The Investigation of the Relationship between Corporate Governance Mechanisms and Value-based Financial Performance Measures [Volume 4, Issue 2, 2016, Pages 41-63]
  • Mehrabi Hashtchin, Narges Investigating of the Moderating Effect of Political Connections on the Relationship between Financial Constraints and Financial Distress Risk with Abnormal Return [Volume 10, Issue 1, 2022, Pages 113-132]
  • Mehrani, Kiarash The Test of the Effect of Investor Trading Behavior and Investors` Sentiment on Excess Return in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 140-167]
  • Mehrara, Mohsen Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Mehrara, Mohsen Investigating the Reverse Hypothesis of Long-run Return Trends in Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 41-60]
  • Mehrara, Mohsen Simulating and Estimating Trade Probability Based on Informed Trading in Tehran Stock Exchange [Volume 9, Issue 3, 2021, Pages 17-40]
  • Mehrara, Mohsen Examining the Relationship between Diversification of Banking Resources and Expenses and Systemic Risk [Volume 12, Issue 2, 2024, Pages 27-52]
  • Mehregan, Mohammad Reza Stock portfolio selection by ELECTRE-TRI: Abilities, approaches and sensitivity analysis [Volume 7, Issue 2, 2019, Pages 1-32]
  • Mehrjoo, Majid Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Memarian, Erfan Explaining the Role of sources of financing mergers and acquisitions on the company's performance based on Pecking Order Theory [Volume 12, Issue 3, 2024]
  • Meraji, Mohamadreza The role of information sources on the association between investor personality characteristics and trading behavior in Tehran Securities Exchange [Volume 8, Issue 4, 2020, Pages 51-82]
  • Meshki, Mehdi The Effect of Deviation from the Optimal Level of Cash Holding on the Marginal Value of Cash Holding [Volume 4, Issue 2, 2016, Pages 103-120]
  • Mir, Hedyeh The Effect of Corporate Governance Quality Index on Limiting Earning Management Using Unusual Transactions with Related Parties in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 1-27]
  • Miraki, Foad The Effect of Financial Distress Risk on Size and Value Effects [Volume 3, Issue 1, 2015, Pages 71-88]
  • Mirlohi, Mojtaba Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Mirlohi, Mojtaba Effectiveness of Momentum based on Industry Herding : Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 157-175]
  • Mirlohi, Mojtaba Measure the Level of Adherence to the Random Walk Theory in Various Industry Indices Using Markov Switching Model [Volume 9, Issue 1, 2021, Pages 79-92]
  • MirLohi, Seyed Mojtaba A Novel Early Warning Model for Companies’ Financial Health Status Using Hybrid BAT-ANN Model [(Articles in Press)]
  • Mirzaei, Hamidreaza Using the Fundamental Analysis Method to Create a Matrix of Investor Views in the Black Literman Optimization Model and Comparing its Performance with Existing Models [Volume 10, Issue 3, 2022, Pages 77-94]
  • Mirzaei, Sajjad Comparison of Statistical and Machine Models for Predicting Cash Holdings and Providing the Optimal Model [Volume 11, Issue 3, 2023, Pages 1-28]
  • Mirzaei, Sepideh Comparing the approach of machine learning algorithms in predicting the maintenance costs of trading strategies [(Articles in Press)]
  • Mirzapour, Akbar Investigating the Impact of Margin Changes on Future Trading Activities of Gold Coin in Iran Mercantile Exchange [Volume 6, Issue 3, 2018, Pages 139-166]
  • Moeinadin, Mahmoud The Effects of Information Symmetry on the Relationship between Internal Information Quality and Systematic Risk Using Static and Dynamic Approaches [Volume 9, Issue 3, 2021, Pages 141-160]
  • Moeinizadeh, Mohsen Reversibility of Earning Management Related to the Major Finance [Volume 5, Issue 2, 2017, Pages 55-76]
  • Moghadam, Abdolkarim Growth Opportunities, Earning Permanence and the Valuation of Free Cash Flow [Volume 5, Issue 3, 2017, Pages 45-74]
  • Moghaddassi, Motahare Examining the Performance of Different Risk Criteria in Portfolio Selection and Optimization, Using the Ant Colony Algorithm In companies Listed at the Tehran Stock Exchange [Volume 1, Issue 2, 2013, Pages 15-32]
  • Mohamadi, Asfandiar The Investigation of the Long-Run and Short-Run Effects of Macroeconomic Variables on Companies Capital Cost [Volume 8, Issue 3, 2020, Pages 119-146]
  • Mohamadi, Asfandiar The Impact of External Financing Requirements on Corporate Governance Index and Company Value: Evidence from Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 1-24]
  • Mohamadimehr, Javad Effect of Board's Characteristics on Earnings Informativeness by Considering the Moderating Role of Investor Sentiment [Volume 8, Issue 3, 2020, Pages 87-118]
  • Mohamadiyan, Rana The Comparison of Fuzzy Neural Network Methods with Wavelet Fuzzy Neural Network in Predicting Stock Prices of Banks Accepted in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 109-138]
  • Mohamadzadeh, Amir Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Mohammadi, Ahmad Multidimensional Index of Financial Flexibility Assessment [Volume 11, Issue 4, 2023, Pages 173-196]
  • Mohammadi, Ali Simulating the Linguistic Variables Interactions in Capital Market Development Process Using Fuzzy Inference System in a System Dynamic Context [Volume 7, Issue 2, 2019, Pages 229-261]
  • Mohammadi, Attaollah Investor Sentiment Model based on Asymmetric Conditions of Strategies in Psychological Games of Stock Price [Volume 12, Issue 2, 2024, Pages 215-248]
  • Mohammadi, Davar The Effect of Stock Migration on the Spend of portfolios’ Return [Volume 4, Issue 4, 2017, Pages 67-84]
  • Mohammadi, Mehdi Comparison of Statistical and Machine Models for Predicting Cash Holdings and Providing the Optimal Model [Volume 11, Issue 3, 2023, Pages 1-28]
  • Mohammadi, Mehdi Empirical Investigating of the Impact of Comparability and Readability of the Financial Statements on Avoiding of the Companies Shares' Incorrect Pricing [Volume 12, Issue 3, 2024]
  • Mohammadi, Parastoo Impact of Financing Approach on Corporate’s Financial Performance in Economic Fluctuations (Case Study of Automotive Industry) [Volume 3, Issue 1, 2015, Pages 51-70]
  • Mohammadi, Pooyan The Study of the Relationship between Related-Party Transactions and the Control-Ownership Wedge of the Ultimate Controlling Shareholder [Volume 4, Issue 4, 2017, Pages 45-65]
  • Mohammadi, Shapour Idiosyncratic Volatility pricing by explaining arbitrage risk [Volume 7, Issue 3, 2019, Pages 1-24]
  • Mohammadi, Shapour Intraday Liquidity and Return Dependency Structure Modeling of a Portfolio in Tehran Stock Exchange with ACP-GARCH-High Dimension Vine Copula [Volume 9, Issue 4, 2021, Pages 1-20]
  • Mohammadi, Teimour Exchange Rate Threshold Affecting Financial Stability of Iranian Banks [Volume 8, Issue 4, 2020, Pages 1-22]
  • Mohammadi, Yadegar The Investigation of the Long-Run and Short-Run Effects of Macroeconomic Variables on Companies Capital Cost [Volume 8, Issue 3, 2020, Pages 119-146]
  • Mohammadian, Mojtaba Investigating the Reverse Hypothesis of Long-run Return Trends in Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 41-60]
  • Mohammadian Amiri, Ehsan Multiple-Step-Ahead Forecasting of Value at Risk Based on Holt-Winters Exponential Smoothing Multiplicative Method [Volume 6, Issue 1, 2018, Pages 93-114]
  • Mohammadikhanghah, Golshan The effect of changes in credit rating on the quality of disclosure Tehran Stock Exchange listed companies. [Volume 12, Issue 3, 2024]
  • Mohammadpour, Farshad Financial Reporting Quality, Debt Maturity and Investment Efficiency [Volume 2, Issue 4, 2014, Pages 1-14]
  • MohammadrezaKhani, vahid The effect of capital structure on stock futures Abnormal returns with regard to the level of concentration in the industry [Volume 1, Issue 3, 2014, Pages 131-146]
  • Mohammad Shafiee, Majid Group AHP in Ranking Intangible Assets: Study of Chemical Industry [Volume 8, Issue 1, 2020, Pages 107-116]
  • Mohammad Tabar Kasgari, Foziyeh Relationship Between Corporate Characteristics and Systematic Risk in Tehran Stock Exchange:Using the Fama and French three-factor model [Volume 8, Issue 2, 2020, Pages 177-196]
  • Mohammadzadeh, Hamideh Review the Effect of Company Size on Stock Liquidity Concerning Companies Life Cycle Listed Companies at Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 117-138]
  • Mohammad Zadeh, Amir Survey the Status of Capital Market Liquidity in Financial Crisis [Volume 4, Issue 2, 2016, Pages 83-102]
  • Mohebi, Somayeh Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Moienodin, Mahmoud Examining the Relationship between Accruals and Financing using Equity Issuance and Debt Instruments Case Study: Listed Companies on Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 125-140]
  • Molaei, Saber An Empirical Analysis of Price Jump and Asymmetric Information in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-81]
  • Monem, Roya The Determination of the Dominant Pattern of the Capital Structure in Automotive and Parts Industry [Volume 9, Issue 1, 2021, Pages 177-202]
  • Monfared, Mansor The Impact of Operating Cash Flows on Financial Leverage Adjustments in Firms listed on Tehran Stock Exchange (TSE) [Volume 2, Issue 1, 2014, Pages 73-95]
  • Monjazeb, Mohammad reza Providing Optimized Banks Resource Allocation by Emphasizing on the Role of Risk management (Total Criteria Approach and Sequential Unconstrained Optimization Technique) [Volume 8, Issue 2, 2020, Pages 23-40]
  • Moosavi, Seyed Ebrahim Providing Optimized Banks Resource Allocation by Emphasizing on the Role of Risk management (Total Criteria Approach and Sequential Unconstrained Optimization Technique) [Volume 8, Issue 2, 2020, Pages 23-40]
  • Moradi, Javad Internal Financing of Firm Growth Considering Life Cycle Some Evidences of Pecking Order Theory [Volume 2, Issue 2, 2014, Pages 21-37]
  • Moradi, Mahdi The effect of Concentration on Customer on the Corporate dividend payout policy [Volume 7, Issue 1, 2019, Pages 71-94]
  • Moridi, Zeynab The Effect of Stock Market`s Development on Upper and Lower Income Deciles [Volume 8, Issue 1, 2020, Pages 117-142]
  • Moridian Pirdosti, Ali Prioritizing and Analyzing Participatory Financing Methods for Urban Projects [Volume 6, Issue 3, 2018, Pages 81-108]
  • Morsali Arzanagh, Zoleikha Examining the Relationship between Diversification of Banking Resources and Expenses and Systemic Risk [Volume 12, Issue 2, 2024, Pages 27-52]
  • Mortazaviyan, Seyedeh Fatemeh The Effect of CEO Managerial Ability on Marginal Value of Cash and Corporate Opacity of Companies Listed on Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 191-216]
  • Moshari, Mohammad Investigating the Predictability of Starting Point and Ending Short-Term Trend of Stock Price Using the Bayesian Likelihood Network [Volume 8, Issue 1, 2020, Pages 39-64]
  • Moshdeyee, Mojtaba Factors of Financial and Accounting Competitiveness Strategies in Tehran Stock Exchange Companies Using Total Interpretative Structural Interpretation (TISM) [Volume 9, Issue 4, 2021, Pages 149-174]
  • Mosleh Shirazi, Alinaghi Simulating the Linguistic Variables Interactions in Capital Market Development Process Using Fuzzy Inference System in a System Dynamic Context [Volume 7, Issue 2, 2019, Pages 229-261]
  • Motavassel, morteza The Impact of Operating Cash Flows on Financial Leverage Adjustments in Firms listed on Tehran Stock Exchange (TSE) [Volume 2, Issue 1, 2014, Pages 73-95]
  • Motavassel, Morteza Agency Problem, Corporate Governance Mechanisms and Cost Stickiness in Firms Listed in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 79-103]
  • Mousavi, Fatemeh Comparison of the Seven-Factor Model with the Capital Assets Pricing Model and the Fama and French Three-Factor Model to Predict the Expected Returns of Stock in the Tehran Stock Exchange [Volume 10, Issue 4, 2023, Pages 1-30]
  • Mousavi, Mir hossein Analysis of the Financial Stability of the Iranian Insurance Industry [Volume 9, Issue 4, 2021, Pages 107-130]
  • Mousavi, Mir Hossein Studying the Impact of Market, Liquidity and Momentum on Large Changes in Stock Prices Using Cox Regression [Volume 2, Issue 2, 2014, Pages 1-19]
  • Mousavi, MirHossein Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Mousavi, Sayed Hasan Presentation of a Strategic Pattern for Selecting Financial Assessment with Higher Expected Return Based on Liquidity and Multi-Criteria Decision-Making [Volume 10, Issue 2, 2022, Pages 155-184]
  • Mousavi, Somayeh Multi-Asset Portfolio Management Including Fixed Income Securities by Value at Risk based Models in Iran Market [Volume 10, Issue 3, 2022, Pages 43-76]
  • Mousavian, seyed abbass Practical model of Overdraft in non-interest banking based on attorneyship contract [Volume 1, Issue 3, 2014, Pages 111-129]
  • Mousavi Gowki, Sayyed Ali Predicting Stock Market Activity: Role of Google Search Engine [Volume 7, Issue 4, 2019, Pages 175-200]
  • Mousavi kakhki, Vahideh Measuring the amount of influencing factors on block spending in each of the active industries in Iran's capital market [Volume 12, Issue 3, 2024]
  • Mousavi Shiri, Seyyed Mahmoud Empirical Evidence of The Role of Management Optimism on Stock Returns [Volume 8, Issue 1, 2020, Pages 143-162]
  • Mozaffari, Mehrdokht Payout Policy: An Empirical Test of the Catering Theory of Dividend in Tehran Stock Exchange (TSE) [Volume 3, Issue 1, 2015, Pages 1-20]

N

  • Nabavichashemi, Seyed Ali Credit Risk Modeling Using Markov Switching Model [Volume 11, Issue 3, 2023, Pages 193-218]
  • Nabavi Chashmi, Seyed Ali Explaining the Role of sources of financing mergers and acquisitions on the company's performance based on Pecking Order Theory [Volume 12, Issue 3, 2024]
  • Nabavi Chashmi, Seyyed Ali The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Nabavichshmi, SeyyedAli The Ability of Support Vector Machine (SVM) in Financial Recoverey Prediction [Volume 11, Issue 1, 2023, Pages 169-184]
  • Nabizade, Ahmad A study of Performance of the Hybrid Model in Assessing the Default Risk for Companies Listed on the Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 155-176]
  • Nabizadeh, Ahmad Testing Stock Return Distribution in the Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 1-15]
  • Nabizadeh, Ahmad Investigating the Effect of Financial Literacy on the Intention to Invest in the Stock Market, Taking into Account the Tendency and Behavioral Controls of Investors and Emphasizing Moral and Mental Norms [Volume 12, Issue 2, 2024, Pages 113-132]
  • Naderi, Ebrahim Studying the Effect of Financial Variables on the Bid - Ask Price Spread of Stocks [Volume 10, Issue 1, 2022, Pages 179-198]
  • Naderi, Jalal Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Naderi, Masoumeh Investigating The Appropriate Financing Tools for Iran's Tourism Industry Projects in The Capital Market [Volume 11, Issue 2, 2023, Pages 183-202]
  • Naderi, Morteza The Investigation of the Effect of Financial Leverage and Free Cash Flow on Diversification of Stocks and Financial Performance of Listed Companies [Volume 3, Issue 1, 2015, Pages 89-111]
  • Naderian, Arash The Design of a Comprehensive Model to Identify and Rate the Risks of Islamic Securities [Volume 6, Issue 4, 2018, Pages 61-87]
  • Naderian, Arash The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2023, Pages 151-176]
  • Nadiri, Mohammad Identifying the Trading Behaviors and Risk of Noise Traders in Iran Stock Market [Volume 6, Issue 3, 2018, Pages 31-58]
  • Nadiri, Mohammad Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Namaki, Ali Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Namaki, Ali Interpretive structural modeling of factors influencing Stock price informativeness [Volume 12, Issue 3, 2024]
  • Namazi, Mohammad The Impact of Product Market Competition on Firms’ Dividend Policy [Volume 1, Issue 3, 2014, Pages 1-24]
  • Namazi, Mohammad Modeling and Identifying Hierarchy of the Effective Measures of the Earning Management on the Prediction of the Bankruptcy [Volume 6, Issue 4, 2018, Pages 1-27]
  • Namazi, Mohammad Financial Distress Prediction of the Listed Companies on Tehran Stock Exchange (TSE) and Iran Fara Burse (IFB) Using Support Vector Machine [Volume 9, Issue 1, 2021, Pages 115-132]
  • Namazian, Ali Investigating the Effect of Effective Tax rate and Quality of Corporate Governance on Tax Avoidance in Companies Listed on the Tehran Stock Exchange [Volume 10, Issue 4, 2023, Pages 177-196]
  • Nasirifar, Hashem The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Nasiry, Mehrab The Relationship between Earning Management with Bid-Ask Spread of Stock and Trading Volume in Corporations with High Level of Non-Institutional Ownership [Volume 2, Issue 3, 2014, Pages 27-48]
  • Nasiry, Mehrab Effect of Corporate Performance on the Future Stock Price Crash Risk [Volume 8, Issue 3, 2020, Pages 43-62]
  • Nasirzadeh, Farzaneh Fundamental Analysis of Cost Behavior by Function and Nature and Its Impacts on Earnings Forecast Accuracy [Volume 8, Issue 4, 2020, Pages 83-110]
  • Nasr esfahani, Reza Prioritizing and Analyzing Participatory Financing Methods for Urban Projects [Volume 6, Issue 3, 2018, Pages 81-108]
  • Nasrollahi, Hossein Generalized Black-Scholes Model under Garch Volatility with Conditional value-at-risk Calculation in Derivative Pricing [Volume 11, Issue 4, 2023, Pages 51-70]
  • Nategh Golestan, Ahmad The Investigation of the Risk Perception Effects and the Impact of Seasonal Factors on it in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 145-170]
  • Nayeri Hazeri, Hatef The Comparison of Fuzzy Neural Network Methods with Wavelet Fuzzy Neural Network in Predicting Stock Prices of Banks Accepted in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 109-138]
  • Nazari, Fardin Providing a Model for the Impact of Corporate Governance and Ownership Structure on Innovation [Volume 12, Issue 3, 2024]
  • Nazari, Hengameh The Comparison of the Structure of Liquidities, Funding via Long-Term-Debts and Dividends in Family & Non Family Firms [Volume 6, Issue 1, 2018, Pages 25-52]
  • Nazarizadeh Dehkordi, Somayeh Evaluating Value at Risk with Using Wavelet Analysis Case Study: Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 97-124]
  • Nazemi Ardakani, Mahdi Evaluation of PSO-BiLSTM method for stock price forecasting using stock price time series data (Case study: Iran Stock Exchange and OTC stock) [Volume 10, Issue 4, 2023, Pages 125-150]
  • Nikahd, Ali The Index Prediction of Tehran Stock Exchange by Combining the Principal Components Analysis, Support Vector Regression and Particle Swarm Optimization [Volume 4, Issue 4, 2017, Pages 1-23]
  • Nikbakht, Mohammad Reza Investigating the Relationship between CEO's Tenure and Lack of Transparency in Company Information [Volume 8, Issue 1, 2020, Pages 87-106]
  • Nikbakht, Mohammad Reza The Effectiveness Test of Customer Concentration on Cash Holdings Adjustment Speed In Listed Companies In Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 55-78]
  • Nikomaram, Hashem Behavioral Stock Valuation Using 3d Grouping [Volume 5, Issue 2, 2017, Pages 1-26]
  • Nikoo, Hanieh The Relationship Between Investor Sentiment and Idiosyncratic Risk with Stock Mispricing: Evidence from Tehran Stock Exchange [Volume 8, Issue 1, 2020, Pages 65-85]
  • Nikoomaram, Hashem Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • Nikoumaram, Hashem The Comparative Investigation of the Relationship between Initial Public Offerings and Earning Management based on Discretionary Accruals [Volume 7, Issue 2, 2019, Pages 91-122]
  • Nikoumaram, Hashem The Determination of the Dominant Pattern of the Capital Structure in Automotive and Parts Industry [Volume 9, Issue 1, 2021, Pages 177-202]
  • Nikusokhan, Moien The Investigation of the Importance of Individual Securities Idiosyncratic Risk: Another Look at Idiosyncratic Risk and Expected Returns [Volume 6, Issue 1, 2018, Pages 1-24]
  • Niroumand Beihaghi, Ali Tax Planning and Firm Value with the Moderating Role of the Board of Directors [Volume 12, Issue 2, 2024, Pages 157-186]
  • Norifard, Yadollah Detection Model of Stock Price Crashes [Volume 9, Issue 2, 2021, Pages 177-156]
  • Noroozi, Mohammad Corporate Social Responsibility Disclosure and Investment Efficiency [Volume 4, Issue 4, 2017, Pages 85-106]
  • Norouzi, Hossein Momentum Strategies and Investors` Sentiment in the Real Estate Investment Companies Listed in Stock Exchange [Volume 6, Issue 3, 2018, Pages 167-188]
  • Norouzi, Mohammad Modeling the Moderating Role of Corporate Governance in the Relationship between Financial Reporting Readability and Agency Cost [Volume 9, Issue 2, 2021, Pages 223-201]
  • Norozi, Mohammad The Effect of Off-balance Sheet Financing and Financial Constraints on Cost Stickiness [Volume 3, Issue 2, 2015, Pages 23-34]

O

  • Ohadi, Fereydoun Provide an Optimization Model for Assessing Entry Risk Digital Currency to the Islamic Banking Currency Portfolio in Iran [Volume 11, Issue 4, 2023, Pages 219-240]
  • Olfati, Samira The Effect of Trade Sanctions on Stock Indexes in Different Industries Listed in the Stock Exchange [Volume 9, Issue 3, 2021, Pages 161-176]
  • Omidi, Vahid Investigating The Relationship Between Bank, Automotive, Cement, Base Metals, And Petroleum Products in Tehran Stock Exchange in Positive and Negative Return by Asymmetric TVP-VAR [Volume 12, Issue 1, 2024, Pages 69-86]
  • Omrani, Nader Portfolio Selection Using Combination of Logarithmic Fuzzy Preference Programming Method and PROMETHEE [Volume 2, Issue 2, 2014, Pages 103-120]
  • Ooshaksaraie, Maryam Designing a Model for Selecting Financing Sources of Iranian Industrial Enterprises with Fuzzy ISM-MICMAC Approach [Volume 12, Issue 2, 2024, Pages 187-214]
  • Osoolian, Mohamad Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Osoolian, Mohammad A Study of the Relationship between Cash Flow and Capital Structure [Volume 9, Issue 3, 2021, Pages 61-78]
  • Ostadhashemi, Ali The Effect of Corporate Asset Restructuring Sensitivity on The Target Leverage of Companies listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 115-142]
  • Ostadi, Bakhtiar Operational Risk Assessment Using Bayesian Inference with Regard to the Composition of Data Sources and the Assumption of Dependence between Experts and Internal Loss Data [Volume 6, Issue 1, 2018, Pages 53-72]

P

  • Pakbaz Kataj, Mahmood Using the Fundamental Analysis Method to Create a Matrix of Investor Views in the Black Literman Optimization Model and Comparing its Performance with Existing Models [Volume 10, Issue 3, 2022, Pages 77-94]
  • Pakmaram, Asgar Factors influencing Capital Structure of Companies with Emphasis on the Business Cycle [Volume 5, Issue 1, 2017, Pages 77-97]
  • Pakmaram, Asgar Developing a Model for Firms Survival in Iranian Capital Market: Based on the "Puteong" model [Volume 7, Issue 4, 2019, Pages 151-171]
  • Panahifard, Amirhossein Comparing the approach of machine learning algorithms in predicting the maintenance costs of trading strategies [(Articles in Press)]
  • Pashanejad, yousef Presenting Models to Applying the Fundamental Analysis Strategy in Stock Return Prediction [(Articles in Press)]
  • Peykarjou, Kambiz Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Peymany Foroushany, Moslem The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Piri, Parviz The Investigation of Relationship between Cash Dividends and Investment Considering the Effect of Company's Life Cycle Modifier in Listed Companies in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 35-56]
  • Piri, Parviz The effect of changes in credit rating on the quality of disclosure Tehran Stock Exchange listed companies. [Volume 12, Issue 3, 2024]
  • Piri, Salimeh Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • Poordadash mehrabani, Nazila The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds) [Volume 3, Issue 3, 2015, Pages 1-23]
  • Poortalebi Jaghargh, Mohammad The Impact of Market Power and Income Structure on the Profitability and Insolvency Risk in Iran Banking System [Volume 6, Issue 2, 2018, Pages 60-81]
  • Porkavosh, Taher The Role of Financial Inflexibility in Explaining Value Anomaly with‌ Emphasis on the Business Cycle [Volume 11, Issue 1, 2023, Pages 25-52]
  • Pourdadashi, Azita Board Characteristics and Integrated Life Cycle Classification of the Firms Listed on the Tehran Stock Exchange Using DeAngelo and Dickinson Models [Volume 9, Issue 2, 2021, Pages 200-178]
  • Pourheidari, Omid Investigating the Effect of Effective Tax rate and Quality of Corporate Governance on Tax Avoidance in Companies Listed on the Tehran Stock Exchange [Volume 10, Issue 4, 2023, Pages 177-196]
  • Pourheydari, Omid The Investigation of the Relationship Between Growth Type and Capital Structure of Firms [Volume 4, Issue 2, 2016, Pages 1-23]
  • Pourrezaei, Arash Estimation of Profitability Function Using Capital Structure Variables in Iranian Industries [Volume 9, Issue 4, 2021, Pages 43-64]
  • Pouryousof, Azam More Corporate Social Responsibility, Less Leverage Adjustment Speed: a Fact? [Volume 10, Issue 4, 2023, Pages 103-124]
  • Puryousof, Azam Conservative Capital Structure and Stock Price Crash Risk: The Moderating Role of Information Asymmetry and Firm Life Cycle [Volume 11, Issue 4, 2023, Pages 119-146]
  • Puryousof, Azam Investigating the moderating effect of investors' behavioral patterns on the relationship between manager's myopia and social responsibility [Volume 12, Issue 3, 2024]

Q

  • Qasemifar, Samineh Analysis of the Relationship between Bitcoin Fluctuations and Tehran Stock Exchange Fluctuations During the Coronavirus Epidemic (Markov Switching Baysian VAR) [Volume 11, Issue 1, 2023, Pages 101-120]

R

  • Radfar, Mohammad Reza Survey the Relationship between Bank Size and Capital with Systemic Risk in Banks Accepted in the Stock Exchange [Volume 8, Issue 1, 2020, Pages 163-176]
  • Raee, Reza The Index Prediction of Tehran Stock Exchange by Combining the Principal Components Analysis, Support Vector Regression and Particle Swarm Optimization [Volume 4, Issue 4, 2017, Pages 1-23]
  • Raei, reza Testing Stock Return Distribution in the Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 1-15]
  • Raei, Reza The Impact of Market Power and Income Structure on the Profitability and Insolvency Risk in Iran Banking System [Volume 6, Issue 2, 2018, Pages 60-81]
  • Raei, Reza In Pursuit of the Optimal Combination of Fama-French and Carhart Models for Iranian Capital Market [Volume 7, Issue 1, 2019, Pages 41-70]
  • Raei, Reza Intraday Liquidity and Return Dependency Structure Modeling of a Portfolio in Tehran Stock Exchange with ACP-GARCH-High Dimension Vine Copula [Volume 9, Issue 4, 2021, Pages 1-20]
  • Rafiee, Milad Explaining the Nonlinear Response of Tehran Stock Exchange Price Index to Oil Price Shocks Using Markov Switching Regime [Volume 11, Issue 4, 2023, Pages 1-24]
  • Rahi, Masoud A Novel Early Warning Model for Companies’ Financial Health Status Using Hybrid BAT-ANN Model [(Articles in Press)]
  • Rahimi, Alireza Investigating the Effect of Managerial Ability on Tax Avoidance and Investment Efficiency Relationship [Volume 8, Issue 4, 2020, Pages 111-134]
  • Rahimi, Farzane Firm Characteristics Determining Idiosyncratic Volatility in Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 21-42]
  • Rahimi, Hossein Identifying and Analyzing the Components of Financial Succession Succeeding in Social Partnership Projects [Volume 7, Issue 3, 2019, Pages 108-133]
  • Rahimi, Hossein Investigating the Impact of Financial Structure Flexibility on the Distribution of Cash Profit and Cost of Capital in Companies Listed on the Tehran Stock Exchange [Volume 11, Issue 4, 2023, Pages 71-92]
  • Rahimi, Mousa Group AHP in Ranking Intangible Assets: Study of Chemical Industry [Volume 8, Issue 1, 2020, Pages 107-116]
  • Rahimi, Zahra Competitive Effect of IPO's in Tehran Security Exchange: An Event Study Analysis [Volume 9, Issue 1, 2021, Pages 93-114]
  • Rahimipoor, Akbar The Effect of Corporate Governance Quality Index on Limiting Earning Management Using Unusual Transactions with Related Parties in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 1-27]
  • Rahimpour, Mahbubeh The Investigation of the Effect of Control Mechanisms of Corporate Governance on the Level of Cash Flow Holdings in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 57-75]
  • Rahimzadeh Khazaei, Amin Agency Problem, Corporate Governance Mechanisms and Cost Stickiness in Firms Listed in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 79-103]
  • Rahmani, Ali Determinants of Intangible Investments in Iranian Firms [Volume 5, Issue 2, 2017, Pages 77-99]
  • Rahmani, Ali Designing an Expert System to Manage Banking Resources and Expenditures [Volume 11, Issue 2, 2023, Pages 29-52]
  • Rahmani, Ali The Value Relevance of Fair Value of Marketable Securities Portfolio in the Investment Companies [Volume 12, Issue 1, 2024, Pages 23-46]
  • Rahmani Firouzjaei, Majid The Effect of Stock Migration on the Spend of portfolios’ Return [Volume 4, Issue 4, 2017, Pages 67-84]
  • Rahmaninejad, Leila Studying the Relationship between Behavioral Biases of Investors and Their Investment Decisions in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 113-133]
  • Rahmani Noorozabad, Saman The Impact of External Financing Requirements on Corporate Governance Index and Company Value: Evidence from Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 1-24]
  • Rahmanpour, Ebrahim The Effect of Trade Sanctions on Stock Indexes in Different Industries Listed in the Stock Exchange [Volume 9, Issue 3, 2021, Pages 161-176]
  • Rahnama Rodposhti, Fereyoon Behavioral Stock Valuation Using 3d Grouping [Volume 5, Issue 2, 2017, Pages 1-26]
  • Rahnamaroodposhti, Fereydoun Select a stock portfolio to invest and identify top companies With the limitations of L and using the machine learning method [(Articles in Press)]
  • Rahnamay Roodposhti, Feraydoon The Investigation of the Effect of Investment Opportunities and Corporate Finance Structure on the Dividend Payout Policies of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 1-36]
  • Rahnamay Roodposhti, Fereydoon Payout Policy: An Empirical Test of the Catering Theory of Dividend in Tehran Stock Exchange (TSE) [Volume 3, Issue 1, 2015, Pages 1-20]
  • Rahnamayroudposhti, Fereydon The Determination of the Dominant Pattern of the Capital Structure in Automotive and Parts Industry [Volume 9, Issue 1, 2021, Pages 177-202]
  • Raiessi, Zohre Growth Opportunities, Earning Permanence and the Valuation of Free Cash Flow [Volume 5, Issue 3, 2017, Pages 45-74]
  • Rajabzadeh, Mohamadreza Comparision of predictability of fixed incomes risk measures in pricing; Case Study of Debt Securities Accepted in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 175-199]
  • Ramezani zare, Mohammad Hossein Interpretive structural modeling of factors influencing Stock price informativeness [Volume 12, Issue 3, 2024]
  • Ramooz, Najme Optimal portfolio selection using the compromise-programming model in the tehran stock exchange [Volume 8, Issue 1, 2020, Pages 21-37]
  • Ramooz, Najmeh The Prediction of the Risk of Financial Bankruptcy Using Hybrid Model in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 51-75]
  • Ramsheh, Manijeh The Deviation from Optimal Leverage and Abnormal Returns [Volume 8, Issue 4, 2020, Pages 135-156]
  • Ramsheh, Manijeh Time-Varying Effect of Macroeconomic Factors on Investor Sentiment: Examining the Role of Sanction, JCPOA and Covid-19 [Volume 12, Issue 2, 2024, Pages 133-156]
  • Rasekhi, Saeed The Effect of Financial Development on the Decoupling of Energy Consumption and Economic Growth [Volume 12, Issue 2, 2024, Pages 1-26]
  • Rashidi, Mona Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Rashidi baqhi, Mohsen Role of Contractual Obligations Violations on Risk Appetite and CEO Compensation Based on Credit Status [Volume 9, Issue 2, 2021, Pages 155-135]
  • Rashidi khazaee, Musa Financial Distress as a Risk Factor for the Occurrence of Earnings Management [Volume 3, Issue 3, 2015, Pages 25-47]
  • Rasouli, Reza Studying the Impact of Strategic Human Resource Management on Financial Performance of Companies Listed on Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 33-57]
  • Rayati Shavazi, Alireza Financial Contagion based on Overlapping Portfolio in TEPIX Industrial Groups [Volume 9, Issue 3, 2021, Pages 79-102]
  • Razani, Sara Investigation of Financial Factors Affecting the Growth of Listed Companies [Volume 9, Issue 3, 2021, Pages 1-16]
  • Razeghi, Ghazaleh The Investigation of the Relationship between the Value of Cash Holding and EVA Performance Evaluation of Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 123-139]
  • Rezaee, Nasrin Evaluation of Financial Performance Using Decision Tree Algorithm Method [Volume 5, Issue 2, 2017, Pages 185-205]
  • Rezaei, Gholamreza Investigating the Mediating Role of Managerial Quality on the Relationship between Tax Avoidance and Stock Price Crash Risk of Firms Listed in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 11-34]
  • Rezaei, Gholamreza The Effects of Product Market Competition on Labor Investment Efficiency with Emphasis the Role of Financing Constraints [Volume 10, Issue 2, 2022, Pages 77-98]
  • Rezaei, Mehdi The Effect of Banking Soundness on Profitability of Commercial Banks: Threshold Panel Regression Approach [Volume 5, Issue 1, 2017, Pages 29-50]
  • Rezaei, Sajedeh Leader-Follower Relationship in Determining of the Capital Structure [Volume 11, Issue 1, 2023, Pages 145-168]
  • Rezaei, Sayyed Mahdi The Relationship between Components of the Book to Market Ratio and Stock Returns [Volume 6, Issue 4, 2018, Pages 29-60]
  • Rezaei, Shaghayegh A Survey on Lead-Lag Effect on Small and Large Size Portfolios in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 114-139]
  • Rezaei pitenoei, Yasser Managerial overconfidence and Research and Development Expenditures [Volume 7, Issue 3, 2019, Pages 157-173]
  • Rezaei pitenoei, Yasser Corporate Social Responsibility and Stock Liquidity: The Moderating Role of External Monitoring [Volume 11, Issue 3, 2023, Pages 175-192]
  • Rezaei Pitenoei, Yasser Corporate Social Responsibility Disclosure and Investment Efficiency [Volume 4, Issue 4, 2017, Pages 85-106]
  • Rezaei Pitenoei, Yasser Board Characteristics and Integrated Life Cycle Classification of the Firms Listed on the Tehran Stock Exchange Using DeAngelo and Dickinson Models [Volume 9, Issue 2, 2021, Pages 200-178]
  • Rezaei sakha, Zeinab An Equilibrium Model for Stochastic Simulation of Iranian Stock Market Behavior: An Econophysic Approach [Volume 6, Issue 2, 2018, Pages 82-113]
  • Rezagharehbagh, Raziyeh Impact of Financing Approach on Corporate’s Financial Performance in Economic Fluctuations (Case Study of Automotive Industry) [Volume 3, Issue 1, 2015, Pages 51-70]
  • Rezaie bonjar, Mahmoud Based on Osterwalder's Business Ontology (Case Study: Refah Kargaran Bank) [Volume 6, Issue 4, 2018, Pages 89-107]
  • Rezaveisi, MohammadMahdi The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Rostami, Ali The Effect of Off-balance Sheet Financing and Financial Constraints on Cost Stickiness [Volume 3, Issue 2, 2015, Pages 23-34]
  • Rostami, Mohammadreza Examination of the Impact of Financial Risk and Volatility of Macroeconomic Variables on Dividend Policy: A Case Study of Listed Companies on Tehran Stock Exchange [Volume 2, Issue 3, 2014, Pages 49-68]
  • Rostami, Mohammadreza Government Effectiveness, Regulatory Quality and Stock Market Performance: A quantile regression approach [Volume 11, Issue 2, 2023, Pages 161-182]
  • Rostami, Mohammadreza Presenting the Forecasting Model of Analysis of Capital market Signals Using (CEEMD-DL(LSTM)) approach [Volume 12, Issue 1, 2024, Pages 211-226]
  • Rostami, Mohammad Reza Firm Characteristics Determining Idiosyncratic Volatility in Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 21-42]
  • Rostami, Vahab Empirical Investigating of the Impact of Comparability and Readability of the Financial Statements on Avoiding of the Companies Shares' Incorrect Pricing [Volume 12, Issue 3, 2024]
  • Roudari, Soheil Investigating The Relationship Between Bank, Automotive, Cement, Base Metals, And Petroleum Products in Tehran Stock Exchange in Positive and Negative Return by Asymmetric TVP-VAR [Volume 12, Issue 1, 2024, Pages 69-86]
  • Rudari, Soheil The Role of Recession and Boom in the Impact of Oil Resource Rents on Financial Development Index in Iran: Is the Institutional Quality a Matter? [Volume 11, Issue 1, 2023, Pages 77-100]

S

  • Saatian, Armin The Effect of Financial Repression Policy on Bank Credit Risk Taking (Evidence from Iranian Banking Sector) [Volume 9, Issue 3, 2021, Pages 103-122]
  • Saba, Mina The Efficient Fama and French Five-Factor model in the Offensive and Defensive Shares [Volume 6, Issue 4, 2018, Pages 109-130]
  • Saberi, Mohammad Javad Identifying and Prioritizing the Digital Financial Strategies Based on the Blockchain Technology in the Money and Capital Markets [Volume 10, Issue 3, 2022, Pages 95-122]
  • Sabermahani, Masoumeh The effect of Concentration on Customer on the Corporate dividend payout policy [Volume 7, Issue 1, 2019, Pages 71-94]
  • Sabermahani, Masoumeh The Effectiveness Test of Customer Concentration on Cash Holdings Adjustment Speed In Listed Companies In Tehran Stock Exchange [Volume 9, Issue 1, 2021, Pages 55-78]
  • Saboonian, Mehrdad Economic Evaluation of Projects under Uncertainty Using Fuzzy Logic, Analytical Hierarchy Process and Binary Integer Programming [Volume 5, Issue 3, 2017, Pages 171-184]
  • Sadeghi, Hojjatollah The Measurement of Risk based on the Criterion of Value at Risk via Model of GARCH (A Study of Stock of Listeَd Companies in Tehran Stock Exchange (TSE) in the Cement Industry) [Volume 3, Issue 3, 2015, Pages 149-168]
  • Sadeghian, Ramin Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Sadeghi Moghadam, Mohammad Reza Stock portfolio selection by ELECTRE-TRI: Abilities, approaches and sensitivity analysis [Volume 7, Issue 2, 2019, Pages 1-32]
  • Sadeghi Panah, Javad Developing of Eight Factor Model for Measuring Stock Returns Through Market Stress, the Rate of Market Fragility and Market Liquidity Risk Variables [Volume 10, Issue 2, 2022, Pages 185-208]
  • Sadeghpour, Asal The Study of the Effect of the Index of Country Risk on Tehran Stock Exchange returns [Volume 3, Issue 3, 2015, Pages 49-78]
  • Sadeghzadeh Maharlui, Mohammad The Effects of Product Market Competition on Labor Investment Efficiency with Emphasis the Role of Financing Constraints [Volume 10, Issue 2, 2022, Pages 77-98]
  • Saeedi, Ali The Effect of Agency Costs on the Speed of Stock Price Adjustment: Evidence of Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 25-44]
  • Saeedi, Parviz A Comparative Study of Multi-Objective Multi-Period Portfolio Optimization Models in a Fuzzy Credibility Environment Using Different Risk Measures [Volume 5, Issue 3, 2017, Pages 1-26]
  • Saeedi, Parviz Simulation of the Impact of Oil and Currency Shocks on the Systematic Risk and price returns of Stock: DSGE Approach [Volume 7, Issue 2, 2019, Pages 123-154]
  • Saeedi, Parviz Investigating the effect of sensitivity of cash flows of investment thirst on companies listed in Tehran stock exchange [Volume 8, Issue 4, 2020, Pages 187-212]
  • Saeedi, Parviz Examining the Relation of Financial Crisis, Life Cycle, and Asset and Financial Restructuring Strategies of Companies with Financial Crisis [Volume 9, Issue 4, 2021, Pages 175-190]
  • Saeedi, Parviz Developing of Eight Factor Model for Measuring Stock Returns Through Market Stress, the Rate of Market Fragility and Market Liquidity Risk Variables [Volume 10, Issue 2, 2022, Pages 185-208]
  • Saeedi, Parviz Identifying Mental Patterns in Identifying Entrepreneurial Opportunities in Islamic Banking: Application of Q Methodology [Volume 11, Issue 3, 2023, Pages 155-174]
  • Saei, MohammadJavad Word – Based Measures and Conventional Measures of Fraud in Financial Reporting: Evidence from an Exploratory Study [Volume 6, Issue 1, 2018, Pages 73-92]
  • Saei, MohammadJavad Fundamental Analysis of Cost Behavior by Function and Nature and Its Impacts on Earnings Forecast Accuracy [Volume 8, Issue 4, 2020, Pages 83-110]
  • Saeidi Kousha, Mahdi Liquidity Risk Loss Estimation in Commercial Banks Using Stochastic Process Approach [Volume 8, Issue 2, 2020, Pages 1-22]
  • Safari, Arian Off-Balance Sheet Activities and Commercial Banks' Performance [Volume 5, Issue 2, 2017, Pages 135-158]
  • Safari, Arian Investigation of the impact of equity duration on total and systematic risk [Volume 8, Issue 2, 2020, Pages 93-109]
  • Safari, Hosein Portfolio Selection Using Combination of Logarithmic Fuzzy Preference Programming Method and PROMETHEE [Volume 2, Issue 2, 2014, Pages 103-120]
  • Safari Gerayeli, Mehdi Corporate Social Responsibility and Market Value of Corporate Cash Holdings [Volume 6, Issue 1, 2018, Pages 163-183]
  • Safari gerayli, Mehdi Managerial overconfidence and Research and Development Expenditures [Volume 7, Issue 3, 2019, Pages 157-173]
  • Safari Gerayli, Mehdi Corporate Social Responsibility and Stock Liquidity: The Moderating Role of External Monitoring [Volume 11, Issue 3, 2023, Pages 175-192]
  • Safari Gerayli, Mehdi The Effect of Investor Protection on Stock Crash Risk: A Test of Effectiveness of Operant Conditioning Behavior Theory [Volume 10, Issue 2, 2022, Pages 209-230]
  • Safari Taherkhani, Ali Stock Allocation Strategy with Equal risk Contribution [Volume 9, Issue 1, 2021, Pages 25-53]
  • Safarzadeh, Esmaeel Analysis of the Financial Stability of the Iranian Insurance Industry [Volume 9, Issue 4, 2021, Pages 107-130]
  • Safarzadeh, Mohammad Hoseyn Anticipation of Financial Crisis in Banks by Structural Equations Model [Volume 11, Issue 2, 2023, Pages 1-28]
  • Saffari, Babak The Relationship between Accounting Information Quality and Firm Value with an Emphasis on controlling operating volatility [Volume 7, Issue 4, 2019, Pages 57-81]
  • Saghafi, Mahdi Conservative Capital Structure and Stock Price Crash Risk: The Moderating Role of Information Asymmetry and Firm Life Cycle [Volume 11, Issue 4, 2023, Pages 119-146]
  • Sahebgharani, Amir Abbas Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]
  • Sajjadi Nasab, Hossein The Effect of Political Relations on the Conservatism of Profit and Loss and the Cost of Debt of Companies Accepted in the Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 107-88]
  • Salahshour, Soheil A Model for Identify Uncertainty and increase Flexibility in Capital Budgeting Decisions via Real Option Approach Case Study: A photovoltaic Plant in the South of Isfahan [Volume 8, Issue 4, 2020, Pages 157-186]
  • Salehabadi, Zahra Designing an Expert System to Manage Banking Resources and Expenditures [Volume 11, Issue 2, 2023, Pages 29-52]
  • Salehi, Allah Karam Identifying the Threshold of the Effect of Systematic and Unsystematic Risks on the Supply Chain of the Oil-Petrochemical and Chemical Industries (Hybrid Fuzzy Delphi Models Type 3 Threshold Panels) [(Articles in Press)]
  • Salehi, Mahdi The Relationship between Earnings Quality and Insolvency Risk [Volume 3, Issue 1, 2015, Pages 113-140]
  • Salehi, Mahdi The Relationship between Capital Structure and Return on Assets, with an Emphasis on Inflation Caused by Government Decision Makings [Volume 4, Issue 1, 2016, Pages 37-57]
  • Salehi, Mehrdad A scheme of CAPM models considering distress risk and Firms life cycle [Volume 7, Issue 1, 2019, Pages 95-122]
  • Salehiazad, Rojin Empirical Evidence of The Role of Management Optimism on Stock Returns [Volume 8, Issue 1, 2020, Pages 143-162]
  • Salehnejad, Hasan The Effect of Predicting Profit by Management on Risk and Firm Value [Volume 4, Issue 1, 2016, Pages 103-124]
  • Salemi, Saeedeh Designing an Expert System to Manage Banking Resources and Expenditures [Volume 11, Issue 2, 2023, Pages 29-52]
  • Salimi, Mohamadjavad A Model for Assessing the Financial Strength of the Iranian Banks [Volume 5, Issue 2, 2017, Pages 101-133]
  • Salimi, Mohammad Javad Factor Models and Long-tern Underperformance of the IPOs [Volume 12, Issue 1, 2024, Pages 1-22]
  • Salmani, Yunes The Investigation of the Relationship between Corporate Governance and Corporate Tax Planning [Volume 3, Issue 2, 2015, Pages 1-21]
  • Samadi, Saeed An Empirical Analysis of Price Jump and Asymmetric Information in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-81]
  • Samandar, Mahsa Application of Clustering Analysis in Assessing the Performance of Mutual Funds [Volume 2, Issue 1, 2014, Pages 1-20]
  • Samanipour, Hassan Exchange Rate Threshold Affecting Financial Stability of Iranian Banks [Volume 8, Issue 4, 2020, Pages 1-22]
  • Samiei, Roohallh Identifying Mental Patterns in Identifying Entrepreneurial Opportunities in Islamic Banking: Application of Q Methodology [Volume 11, Issue 3, 2023, Pages 155-174]
  • Sanayeei Masuleh, Mahyar The Effect of Deviation from the Optimal Level of Cash Holding on the Marginal Value of Cash Holding [Volume 4, Issue 2, 2016, Pages 103-120]
  • Saranj, Alireza The Application of Rough Set Theory in Stock Price Forecasting (Case Study: Iran Saderat Bank) [Volume 5, Issue 3, 2017, Pages 119-144]
  • Saranj, Alireza Identifying the Trading Behaviors and Risk of Noise Traders in Iran Stock Market [Volume 6, Issue 3, 2018, Pages 31-58]
  • Saranj, Alireza Explaining the Nonlinear Response of Tehran Stock Exchange Price Index to Oil Price Shocks Using Markov Switching Regime [Volume 11, Issue 4, 2023, Pages 1-24]
  • Sari, Mohammad Al The Investigation of the Relationship between Corporate Governance and Corporate Tax Planning [Volume 3, Issue 2, 2015, Pages 1-21]
  • Sarlak, Narges The Analytical Comparison of Financial Ratios of Listed Companies in Tehran and Istanbul Stock Exchanges [Volume 3, Issue 3, 2015, Pages 129-148]
  • Sarraf, Fatemeh Detection Model of Stock Price Crashes [Volume 9, Issue 2, 2021, Pages 177-156]
  • Sarraf, Fatemeh Forecasting of Stock Returns based on the approach of Bayesian Models Averaging; Quantum Finance and Continuous Wavelet Analysis [(Articles in Press)]
  • Savari, Zoha Government Effectiveness, Regulatory Quality and Stock Market Performance: A quantile regression approach [Volume 11, Issue 2, 2023, Pages 161-182]
  • Sayyadi, Mohammad Study on Enterprise Risk Management (ERM) effect on managerial ability in order to increasing investment efficiency [Volume 7, Issue 1, 2019, Pages 1-38]
  • Sayyadi nezhad, Sakineh Presenting the Forecasting Model of Analysis of Capital market Signals Using (CEEMD-DL(LSTM)) approach [Volume 12, Issue 1, 2024, Pages 211-226]
  • Sedaghati, Moslem Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Seifi, Farnaz The Effect of Working Capital Management on the Performance in Tehran Stock Exchange Companies [Volume 6, Issue 4, 2018, Pages 131-156]
  • Seighali, Mohsen Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Seighaly, Mohsen Provide an Optimization Model for Assessing Entry Risk Digital Currency to the Islamic Banking Currency Portfolio in Iran [Volume 11, Issue 4, 2023, Pages 219-240]
  • Seighaly, Mohsen Comparing the Performance of Algorithmic Trading Systems based on Machine Learning in the Cryptocurrency Market [Volume 12, Issue 1, 2024, Pages 161-190]
  • Sepasi, Sahar Analytical Review of Separation of Operating Cash Flow and Accruals on the Ability to Predict Future Cash flows and Profits [Volume 2, Issue 4, 2014, Pages 75-89]
  • Shabani Varnami, Mohammad The Design of a Comprehensive Model to Identify and Rate the Risks of Islamic Securities [Volume 6, Issue 4, 2018, Pages 61-87]
  • Shafie, Abolfazl The Effect of Asset Growth on Future Stock Price Crash Risk Given the Moderating Role Conservatism and Agency Problem [Volume 10, Issue 1, 2022, Pages 75-90]
  • Shafie, Hossein Providing a Model for the Impact of Corporate Governance and Ownership Structure on Innovation [Volume 12, Issue 3, 2024]
  • Shafie Bafty, Hossein Investigating the Effect of Investor Heterogeneity on the Concurrence of Stock Prices andStock Returns [Volume 11, Issue 3, 2023, Pages 219-236]
  • Shafiei, Elahe Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Shafiei, Hossein Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2023, Pages 197-216]
  • Shafieyan, Mohsen Designing a Model for Selecting Financing Sources of Iranian Industrial Enterprises with Fuzzy ISM-MICMAC Approach [Volume 12, Issue 2, 2024, Pages 187-214]
  • Shahabadi, Abolfazl The Impact of Competitiveness on the Development of the Stock Market; with an Emphasis on Performance-Based Components [Volume 9, Issue 2, 2021, Pages 40-21]
  • Shahabadi, Abolfazl Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Shahabadi, Abolfazl The Role of Recession and Boom in the Impact of Oil Resource Rents on Financial Development Index in Iran: Is the Institutional Quality a Matter? [Volume 11, Issue 1, 2023, Pages 77-100]
  • Shahabadi, Abolfazl The Interaction of Innovation with Globalization and Institutional Quality on the Financial Wealth [Volume 12, Issue 1, 2024, Pages 47-68]
  • Shahband Zade, Hamid Developing a Model and Quantitative Analysis of Monetary and Fiscal Services of Banks Based on Functional Aspects in Green Banking [Volume 4, Issue 3, 2016, Pages 49-67]
  • Shahrabi, Behzad Modeling Factors Affecting Startups Financing Using DEMATEL Technique [Volume 7, Issue 2, 2019, Pages 61-89]
  • Shahraeini, Saeid Studying the Impact of Strategic Human Resource Management on Financial Performance of Companies Listed on Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 33-57]
  • Shahrami Babakan, Majid The Application of Rough Set Theory in Stock Price Forecasting (Case Study: Iran Saderat Bank) [Volume 5, Issue 3, 2017, Pages 119-144]
  • Shakeri, Abbas Exchange Rate Threshold Affecting Financial Stability of Iranian Banks [Volume 8, Issue 4, 2020, Pages 1-22]
  • Shakeri, Abdorreza Estimation of Systemic Risk of Iranian Banking System Using MES and CoVaR Measures [Volume 8, Issue 4, 2020, Pages 235-256]
  • Shakoori, Samira The Relationship between Tax Avoidance and Firm Value with an Emphasis on Agency Cost and Firm Disclosure Quality [Volume 4, Issue 3, 2016, Pages 25-48]
  • Shams, Parvaneh A Study of the Relationship between Cash Flow and Capital Structure [Volume 9, Issue 3, 2021, Pages 61-78]
  • Shams, Shahabodin The Detection of the Stock Price Manipulation by Hybrid Genetic Algorithm: Artificial Neural Network Model (ANN-GA) and SQDF Model [Volume 4, Issue 3, 2016, Pages 149-171]
  • Shamsi, Fatemeh The effect of managers’ overconfidence based on investment and capital expenditure on risk indexes and capital productivity [Volume 7, Issue 4, 2019, Pages 104-124]
  • Shariat Panahi, Majid Selection of Briston-Based Multi-Purpose Performance: A Case Study of the Shared Funds of the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 175-200]
  • Shavvalpour, Saeed The Application of Technical Analysis in Stock Price Forecasting: Non-linear Probability Models and Artificial Neural Networks [Volume 6, Issue 3, 2018, Pages 59-79]
  • Shekarkhah, Javad Anticipation of Financial Crisis in Banks by Structural Equations Model [Volume 11, Issue 2, 2023, Pages 1-28]
  • Shekarkhah, Javad Factor Models and Long-tern Underperformance of the IPOs [Volume 12, Issue 1, 2024, Pages 1-22]
  • Sheybani, Abbas Investigating the Effect of Investor Heterogeneity on the Concurrence of Stock Prices andStock Returns [Volume 11, Issue 3, 2023, Pages 219-236]
  • Shirehzadeh, Jalal A Model for Financial Flexibility of Accepted Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 45-67]
  • Shirehzadeh, Jalal The Moderating Effect of Management Characteristics on the Relationship between Corporation Risk and Competition in the Product Market of Tehran Stock Securities. [Volume 11, Issue 2, 2023, Pages 129-160]
  • Shiri Ghahi, Amir A Comparative Study of Multi-Objective Multi-Period Portfolio Optimization Models in a Fuzzy Credibility Environment Using Different Risk Measures [Volume 5, Issue 3, 2017, Pages 1-26]
  • Shirinbakhsh, Shamsolah Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Shirkavand, Saeed Entrepreneurship Finance Conceptual Framework in Iran [Volume 8, Issue 1, 2020, Pages 1-20]
  • Shirkavand, Saeed A Novel Early Warning Model for Companies’ Financial Health Status Using Hybrid BAT-ANN Model [(Articles in Press)]
  • Shirvani, Hamed Investigating the Effect of Concentrated Ownership in Family and Non-Family Firms on Performance of Companies Listed in Tehran Stock Exchange [Volume 7, Issue 1, 2019, Pages 165-184]
  • Shirzad, Ali Fundamental Analysis of Cost Behavior by Function and Nature and Its Impacts on Earnings Forecast Accuracy [Volume 8, Issue 4, 2020, Pages 83-110]
  • Shojaedin, Naeeme Developing a Model and Quantitative Analysis of Monetary and Fiscal Services of Banks Based on Functional Aspects in Green Banking [Volume 4, Issue 3, 2016, Pages 49-67]
  • Shorvarzi, Mohamadreza The Role of Earnings Quality in Estimating Credit Risk [Volume 9, Issue 1, 2021, Pages 203-224]
  • Sinaei, Hasanali The Investigation of the Relationship between Corporate Governance Mechanisms and Value-based Financial Performance Measures [Volume 4, Issue 2, 2016, Pages 41-63]
  • Sinaei, Hasanali Investigating the Effect of Price Acceleration in Tehran Stock Exchange based on Risk and Under Reaction [Volume 11, Issue 4, 2023, Pages 25-50]
  • Sinaei, hassanali Application of Clustering Analysis in Assessing the Performance of Mutual Funds [Volume 2, Issue 1, 2014, Pages 1-20]
  • Sohaili, Kiomars The Effect of Stock Market`s Development on Upper and Lower Income Deciles [Volume 8, Issue 1, 2020, Pages 117-142]
  • Sohaili, Kiomars Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2023, Pages 31-54]
  • Sojoodi, Sakineh Comparison of the Seven-Factor Model with the Capital Assets Pricing Model and the Fama and French Three-Factor Model to Predict the Expected Returns of Stock in the Tehran Stock Exchange [Volume 10, Issue 4, 2023, Pages 1-30]
  • Soleimany Amiri, Gholamreza Investigation of Financial Factors Affecting the Growth of Listed Companies [Volume 9, Issue 3, 2021, Pages 1-16]
  • Soleymani, Mohammad Investigating the Effect of Capital and Liquidity Measures on the Probability of Financial Distress in Banks [Volume 8, Issue 3, 2020, Pages 147-174]
  • Soleymani, Mohammad Anticipation of Financial Crisis in Banks by Structural Equations Model [Volume 11, Issue 2, 2023, Pages 1-28]
  • Soleymani Mareshk, Mojtaba Industry Based Style Investing and Herding Behaviour in Industry Level and Momentum Strategy Among Retail Investors [Volume 6, Issue 2, 2018, Pages 35-59]
  • Sorayai, Ali Credit Risk Modeling Using Markov Switching Model [Volume 11, Issue 3, 2023, Pages 193-218]
  • Soroushyar, Afsaneh Investigating the Effect of Concentrated Ownership in Family and Non-Family Firms on Performance of Companies Listed in Tehran Stock Exchange [Volume 7, Issue 1, 2019, Pages 165-184]

T

  • Tabatabaei, Seyed Jalal An Investigation to the Measurement of Corporate Investment Behavior Matters [Volume 7, Issue 1, 2019, Pages 185-217]
  • Taftiyan, Akram The Effects of Information Symmetry on the Relationship between Internal Information Quality and Systematic Risk Using Static and Dynamic Approaches [Volume 9, Issue 3, 2021, Pages 141-160]
  • Taghavi, Mahdi Exchange Rate Threshold Affecting Financial Stability of Iranian Banks [Volume 8, Issue 4, 2020, Pages 1-22]
  • Taghavi, Seyed Ali The Investigation of the Effect of Credit Power in Companies Listed in Tehran Stock Exchange on Market Value of Equity Volatility [Volume 4, Issue 1, 2016, Pages 141-167]
  • Taghavifard, Mohammad Taghi Sustainable Performance Assessment based on Multi-Attribute Utility Model [Volume 7, Issue 2, 2019, Pages 155-194]
  • Taghavi Fardoud, Vahid Multidimensional Index of Financial Flexibility Assessment [Volume 11, Issue 4, 2023, Pages 173-196]
  • Taghipouryan Gilani, Yousef Identifying and Modeling the Relationships Between Economic and Non-economic Components Financial Stress of Individual Investors of the Capital Market (Integrated Approach of Techniques Meta-Synthesis - Fuzzy Delphi - Dematel) [Volume 11, Issue 4, 2023, Pages 147-172]
  • Taghizadeh, Reza The Effects of Product Market Competition on Labor Investment Efficiency with Emphasis the Role of Financing Constraints [Volume 10, Issue 2, 2022, Pages 77-98]
  • Taghizadeh Khanqah, Vahid The Effect of the Board Characteristics and Management Entrenchment on Firm Diversification Strategy [Volume 5, Issue 1, 2017, Pages 135-157]
  • Taghva, Mohammadreza Forecasting Stock Prices In Tehran Stock Exchange Using Recurrent Neural Network Optimized by Artificial Bee Colony Algorithm [Volume 7, Issue 2, 2019, Pages 195-228]
  • Taher Abadi, Ali Asghar Investor Sentiment Model based on Asymmetric Conditions of Strategies in Psychological Games of Stock Price [Volume 12, Issue 2, 2024, Pages 215-248]
  • Tajdini, Saeid Measure the Level of Adherence to the Random Walk Theory in Various Industry Indices Using Markov Switching Model [Volume 9, Issue 1, 2021, Pages 79-92]
  • Taj mazinani, Maede The Use of Feature Selection Method (HARC) in Predicting Financial Distress in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 77-106]
  • Talebnia, Ghodratallah A scheme of CAPM models considering distress risk and Firms life cycle [Volume 7, Issue 1, 2019, Pages 95-122]
  • Talebnia, Ghodratallah Presentation of a Strategic Pattern for Selecting Financial Assessment with Higher Expected Return Based on Liquidity and Multi-Criteria Decision-Making [Volume 10, Issue 2, 2022, Pages 155-184]
  • Taleghani, Mohammad Designing a Model for Selecting Financing Sources of Iranian Industrial Enterprises with Fuzzy ISM-MICMAC Approach [Volume 12, Issue 2, 2024, Pages 187-214]
  • Tanhayi, Mohammad Reza Forecasting of Stock Returns based on the approach of Bayesian Models Averaging; Quantum Finance and Continuous Wavelet Analysis [(Articles in Press)]
  • Tartar, Mohsen The Impact of Competitiveness on the Development of the Stock Market; with an Emphasis on Performance-Based Components [Volume 9, Issue 2, 2021, Pages 40-21]
  • Tavakoli, Saman Comparison of the Effectiveness of Machine Learning Models and Statistical Models in Predicting Financial Risk [Volume 11, Issue 1, 2023, Pages 53-76]
  • Tavakolnia, Esmail Financial Leverage and its Relationship with Financial Strength, Growth and Capital Intensity in Companies Listed on Tehran Stock Exchange (Linear & Curvilinear Relationships) [Volume 2, Issue 2, 2014, Pages 79-101]
  • Tavakolnia, Esmail The Continuous Testing of Efficient Structure and Quiet-Life Hypotheses in Tehran Stock Exchange: Emphasizing the Role of Human Capital and Management Optimism [Volume 4, Issue 3, 2016, Pages 95-120]
  • Tavangar hamzeh kallaee, Afsaneh The Impact of Institutional Investors, Investment Horizons on ManagementEfficiency and Investment Decisions of the Companies [Volume 11, Issue 1, 2023, Pages 185-210]
  • Tavassoli Nia, Ali The Interaction of Innovation with Globalization and Institutional Quality on the Financial Wealth [Volume 12, Issue 1, 2024, Pages 47-68]
  • Tayebi Sani, Ehsan Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Tehrani, Reza Identifying the Trading Behaviors and Risk of Noise Traders in Iran Stock Market [Volume 6, Issue 3, 2018, Pages 31-58]
  • Tehrani, Reza Investigating the Role of Management Characteristics On Stock Price Crash Risk in Companies Listed on Tehran Stock Exchange [Volume 7, Issue 4, 2019, Pages 82-102]
  • Tehrani, Reza Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Tehrani, Reza Dividend Policies under Liquidity Uncertainty Conditions with Real Options [Volume 8, Issue 3, 2020, Pages 1-20]
  • Tehrani, Reza Measure the Level of Adherence to the Random Walk Theory in Various Industry Indices Using Markov Switching Model [Volume 9, Issue 1, 2021, Pages 79-92]
  • Tehrani, Reza Leader-Follower Relationship in Determining of the Capital Structure [Volume 11, Issue 1, 2023, Pages 145-168]
  • Tehrani, Reza A Novel Early Warning Model for Companies’ Financial Health Status Using Hybrid BAT-ANN Model [(Articles in Press)]
  • Tehrani, Reza Investigating Motivations Risk shift Mutual Funds Managers in Bullish and Bearish Market And its Impact on Return [Volume 12, Issue 1, 2024, Pages 139-160]
  • Teymori, Tahere The Effect of Private Information on Investment and Dividend Policy [Volume 5, Issue 2, 2017, Pages 27-53]
  • Tohidi, Mohammad Providing an Index to Measure the Sentiment Investor in the Iranian Capital Market [Volume 12, Issue 1, 2024, Pages 87-112]
  • Tondnevis, Farid Enhanced Index Tracking with a Two-Stage Mixed Integer Programing Model and Pattern Search Algorithm [Volume 7, Issue 4, 2019, Pages 1-22]
  • Torabian, Mohsen Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]

V

  • Vadieei, Mohammad Hossein The Comparison of the Structure of Liquidities, Funding via Long-Term-Debts and Dividends in Family & Non Family Firms [Volume 6, Issue 1, 2018, Pages 25-52]
  • Vadiee Noghabi, Mohammad Hpssein Studying the Relationship between Corporate life Cycle and Stock Liquidity of Companies [Volume 2, Issue 3, 2014, Pages 1-25]
  • Vadiei Nowghabi, Mohammad Hossein The Investigation of the Relationship Between Growth Type and Capital Structure of Firms [Volume 4, Issue 2, 2016, Pages 1-23]
  • Vaez, Sayed Ali Effect of Principal-Principal Conflict on Relationship between Financial Flexibility with Investment Propensity and Dividend Payouts [Volume 9, Issue 1, 2021, Pages 133-154]
  • Vaez, Seyed Ali The Impact of Existing and Potential Competition of Product Market on Disclosure Quality of Companies Listed on Tehran Stock Exchange Using Factor Analysis on Competition Variables [Volume 2, Issue 4, 2014, Pages 91-112]
  • Vaez, Seyed Ali Analysis of the conceptual model of indicators affecting financing in crisis conditions: Insights from Covid-19 Pandemic and sanction [Volume 12, Issue 3, 2024]
  • Vaez Barzani, Mohammad An Empirical Analysis of Price Jump and Asymmetric Information in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-81]
  • Vaezi, Mohammad Sadegh Dividend Policies under Liquidity Uncertainty Conditions with Real Options [Volume 8, Issue 3, 2020, Pages 1-20]
  • Vaghfi, Hesam The Effect of Predicting Profit by Management on Risk and Firm Value [Volume 4, Issue 1, 2016, Pages 103-124]
  • Vaghfi, Seyed Hesam Structural Equation Approach in Three-Level Analysis of Financial Distress in Listed Companies in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 189-215]
  • Vahdani, Mohammad Effect of Board's Characteristics on Earnings Informativeness by Considering the Moderating Role of Investor Sentiment [Volume 8, Issue 3, 2020, Pages 87-118]
  • Vakili, Seyed Hojjat Automatic Portfolio Rebalancing System Design Using Volatility Prediction Models and Technical Analysis Combination [Volume 7, Issue 1, 2019, Pages 145-164]
  • Vakilifard, Hamidreza The Comparative Investigation of the Relationship between Initial Public Offerings and Earning Management based on Discretionary Accruals [Volume 7, Issue 2, 2019, Pages 91-122]
  • Vakilifard, Hamidreza The Determination of the Dominant Pattern of the Capital Structure in Automotive and Parts Industry [Volume 9, Issue 1, 2021, Pages 177-202]
  • Vakilifard, Hamidreza Leader-Follower Relationship in Determining of the Capital Structure [Volume 11, Issue 1, 2023, Pages 145-168]
  • Vakilifard, Hamidreza Developing a Model Based on Income Management, Information Asymmetry, and Marginal Value in Stock Market Using Panel Data the companies accepted in the Tehran Stock Exchange [(Articles in Press)]
  • Vakilifard, Hamid Reza Studying the Influence of Base Volume on Stock Returns and Liquidity in Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 59-73]
  • VakiliFard, HamidReza Presentation of a Strategic Pattern for Selecting Financial Assessment with Higher Expected Return Based on Liquidity and Multi-Criteria Decision-Making [Volume 10, Issue 2, 2022, Pages 155-184]
  • Valipour, Hashem The Impact of Cultural Intelligence of Financial Managers on Corporates Financial Reporting Quality [Volume 11, Issue 4, 2023, Pages 197-218]
  • Valiyan, Hasan The Effect of Corporate Asset Restructuring Sensitivity on The Target Leverage of Companies listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 115-142]
  • Valiyan, Hasan The Effect of CEO Managerial Ability on Marginal Value of Cash and Corporate Opacity of Companies Listed on Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 191-216]
  • Valiyan, Hasan The Effect of Investor Protection on Stock Crash Risk: A Test of Effectiveness of Operant Conditioning Behavior Theory [Volume 10, Issue 2, 2022, Pages 209-230]
  • Valizadeh, Farideh The Relationship between Dividend Policy with Information Asymmetry and Stock Liquidity in Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 1-23]
  • Valizadeh, Farzaneh Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Valizadeh Larijani, Azam Capital Structure and its Adjustment Speed in Firm's Life Cycle and the Role of Profitability [Volume 5, Issue 4, 2018, Pages 69-92]
  • Varzideh, Alireza Investigation of the impact of equity duration on total and systematic risk [Volume 8, Issue 2, 2020, Pages 93-109]
  • Vaseyee charmahali, Mehdi The Effect of CEO Managerial Ability on Marginal Value of Cash and Corporate Opacity of Companies Listed on Tehran Stock Exchange [Volume 9, Issue 4, 2021, Pages 191-216]
  • Vatanparast, Mohammadreza Investigating the Relationship between Research and Development Expenditures and Capital Budgeting Methods in Advanced Technology Industries [Volume 8, Issue 3, 2020, Pages 232-252]
  • Vaziri Kordestani, Jalil Evaluation of PSO-BiLSTM method for stock price forecasting using stock price time series data (Case study: Iran Stock Exchange and OTC stock) [Volume 10, Issue 4, 2023, Pages 125-150]
  • Veisi, sajad Analysis of the conceptual model of indicators affecting financing in crisis conditions: Insights from Covid-19 Pandemic and sanction [Volume 12, Issue 3, 2024]

W

  • Weysihesar, Soraya Investigating the Relationship between CEO's Tenure and Lack of Transparency in Company Information [Volume 8, Issue 1, 2020, Pages 87-106]
  • Weysihesar, Soraya The Impact of Different Information Environments on the Relationship between Disclosure Quality and Idiosyncratic Stock Risk: A Principal Component Analysis Approach [Volume 11, Issue 1, 2023, Pages 131-144]
  • Weysihesar, Soraya The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]

Y

  • Yaghobnejad, َAhmad Presenting the Forecasting Model of Analysis of Capital market Signals Using (CEEMD-DL(LSTM)) approach [Volume 12, Issue 1, 2024, Pages 211-226]
  • Yaghoobnezhad, Ahmad Optional trading pricing with a new analytic method for the Black Scholes equation [Volume 7, Issue 3, 2019, Pages 135-155]
  • YaghoobNezhad, Ahmad Proposing a Conceptual-Mathematical Model for Financial Distress Prediction by Focusing on Adjusted Cash Flow Statement [(Articles in Press)]
  • Yaghoubi, Mohamad Measuring the amount of influencing factors on block spending in each of the active industries in Iran's capital market [Volume 12, Issue 3, 2024]
  • Yakideh, Keikhosro Portfolio Optimization (The Application of Value at Risk Model on Cross Efficiency) [Volume 5, Issue 2, 2017, Pages 159-183]
  • Yarmohammadian, Naser Prioritizing and Analyzing Participatory Financing Methods for Urban Projects [Volume 6, Issue 3, 2018, Pages 81-108]
  • Yosefi, Somayeh The Relationship between Capital Structure and Return on Assets, with an Emphasis on Inflation Caused by Government Decision Makings [Volume 4, Issue 1, 2016, Pages 37-57]
  • Yousefi, Mohaddese Time-Varying Effect of Macroeconomic Factors on Investor Sentiment: Examining the Role of Sanction, JCPOA and Covid-19 [Volume 12, Issue 2, 2024, Pages 133-156]
  • Yousefi Behzad Farokhi, Mohammad Ali Analysis of the Relationship between Bitcoin Fluctuations and Tehran Stock Exchange Fluctuations During the Coronavirus Epidemic (Markov Switching Baysian VAR) [Volume 11, Issue 1, 2023, Pages 101-120]

Z

  • Zalaghi, Hasan The Impact of Management Earning Forecast on Non-systematic Risk [Volume 2, Issue 2, 2014, Pages 121-136]
  • Zalaghi, Hasan The Effect of Governmental Affiliation on Systemic Risk of the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 121-137]
  • Zalaghi, Hasan Demographic Characteristics of Financial Senior Managers and Earnings Management [Volume 9, Issue 4, 2021, Pages 65-86]
  • Zamani, Ali Asghar The Effect of Agency Costs on the Speed of Stock Price Adjustment: Evidence of Tehran Stock Exchange [Volume 5, Issue 4, 2018, Pages 25-44]
  • Zamharirlou, Samira Explaining Factors Affecting the Issue and Redemption of Mutual Fund Units: Comparison of the Behavior of Stock Funds and Fixed-income Funds [Volume 8, Issue 2, 2020, Pages 61-70]
  • Zanganeh, Javad The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2023, Pages 151-176]
  • Zare, Ebrahim Financial Asset Pricing Using Price Bubble Risk [Volume 8, Issue 3, 2020, Pages 201-232]
  • Zare, Hashem An Equilibrium Model for Stochastic Simulation of Iranian Stock Market Behavior: An Econophysic Approach [Volume 6, Issue 2, 2018, Pages 82-113]
  • Zare, Hashem Investigating the Capital Asset Pricing Model with Intangible Capital: Dynamic Stochastic General Equilibrium Model [Volume 7, Issue 4, 2019, Pages 25-55]
  • Zare, Mohammad An Equilibrium Model for Stochastic Simulation of Iranian Stock Market Behavior: An Econophysic Approach [Volume 6, Issue 2, 2018, Pages 82-113]
  • Zare bahnemiri, Mohammadjavad The Investigation of the Relationship between Real and Accrual Earnings Management and Capital Cost in Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 141-159]
  • Zarei, Ghasem The Comparison of Fuzzy Neural Network Methods with Wavelet Fuzzy Neural Network in Predicting Stock Prices of Banks Accepted in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 109-138]
  • Zavari Rezaei, Akbar Review the Effect of Company Size on Stock Liquidity Concerning Companies Life Cycle Listed Companies at Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 117-138]
  • Zeinab, Golale The effect of changes in credit rating on the quality of disclosure Tehran Stock Exchange listed companies. [Volume 12, Issue 3, 2024]
  • Zeinali, Hadis Investigating the Effect of Effective Tax rate and Quality of Corporate Governance on Tax Avoidance in Companies Listed on the Tehran Stock Exchange [Volume 10, Issue 4, 2023, Pages 177-196]
  • Zeinali, Mehdi The Effect of the Board Characteristics and Management Entrenchment on Firm Diversification Strategy [Volume 5, Issue 1, 2017, Pages 135-157]
  • Zemaheni, Majid Studying the Impact of Strategic Human Resource Management on Financial Performance of Companies Listed on Tehran Stock Exchange [Volume 2, Issue 4, 2014, Pages 33-57]
  • Zeraatgari, Ramin The Effects of Product Market Competition on Labor Investment Efficiency with Emphasis the Role of Financing Constraints [Volume 10, Issue 2, 2022, Pages 77-98]
  • Zholanezhad, Fatemeh The Effect of Changes in Sale and Sale Growth Expectations on Stickiness of Costs in Conditions of Uncertainty [Volume 5, Issue 4, 2018, Pages 159-187]
  • Zomorodian, Gholamreza Comparision of predictability of fixed incomes risk measures in pricing; Case Study of Debt Securities Accepted in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 175-199]
  • Zomorodian, Gholamreza Selection of Briston-Based Multi-Purpose Performance: A Case Study of the Shared Funds of the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 175-200]
  • Zomorodian, Gholamreza Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Zomorodian, Gholamreza The Effect of Political and Economic Uncertainty on the Instability of the Banking Sector in Tehran Stock Exchange (time-varying parameter approach) [Volume 12, Issue 1, 2024, Pages 191-210]