Keyword Index

A

  • Abnormal return 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]
  • Agency problem 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]
  • Asset growth 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]

B

  • Banking Stability The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2022, Pages 55-74]
  • Banking System The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2022, Pages 55-74]
  • Behavioral Finance Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • BiLSTM 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, 2022, Pages 125-150]
  • Biological Attributes The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Black Literman Model 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]
  • Blockchain Technology 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]

C

  • Capital Asset Pricing Model 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, 2022, Pages 1-30]
  • Capital market Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]
  • CAPM Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • Cash Conversion Cycle (CCC) 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]
  • Cash Holdings Speed of Adjustment Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • CEO Narcissism The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • CEO power The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • Company size 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]
  • Complex networks Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Conditional Value at Risk 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]
  • Consistent Earnings Growth The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • Copula Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Corporate Life cycle 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]
  • Corporate Social Responsibility More Corporate Social Responsibility, Less Leverage Adjustment Speed: a Fact? [Volume 10, Issue 4, 2022, Pages 103-124]
  • Credit Risk The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2022, Pages 55-74]
  • Cryptocurrencies 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]

D

  • DCC Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Digital Financial Strategy 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]
  • Dimension Reduction Technique" Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Dividend policy Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Dividend premium Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Domestic Credit to GDP 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]
  • Dynamic Factor Analysis method Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]

E

  • Early Warning System Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Economical variables Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • Economic Policy Uncertainty Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2022, Pages 31-54]
  • Economic prosperities and recessions Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Effecting Indicators Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]
  • Effective Tax Rate 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, 2022, Pages 177-196]
  • Emerging Actors Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Existing Assets Beta Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • Expected Returns 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]
  • Expected Stock Returns 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, 2022, Pages 1-30]
  • Exploratory Sequential Mixed Method 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]

F

  • Fama and French 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, 2022, Pages 1-30]
  • Fama and French Five-Factor Model 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]
  • Feature selection" Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Financial Awareness Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Financial Constraint 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]
  • Financial Crisis Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2022, Pages 217-234]
  • Financial Development (FD) 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]
  • Financial Distress Risk 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]
  • Financial Flexibility The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2022, Pages 151-176]
  • Financial Fragility Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2022, Pages 217-234]
  • Financial Rules and Regulations Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Firm value Investigating the Effect of Dividend Policy on the Fundamental Firm Value in Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 123-140]
  • Fixed Income Securities 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]
  • Fragility 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]
  • Frim Value The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Fundamental analysis 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]
  • Future Stock Price Crash Risk 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]

G

  • Grey Beta Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]
  • Growth Beta Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]

I

  • Importance-Performance Analysis 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]
  • Individual Investor The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Information Asymmetry More Corporate Social Responsibility, Less Leverage Adjustment Speed: a Fact? [Volume 10, Issue 4, 2022, Pages 103-124]
  • Insurance Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Investment Efficiency The Effect of Narcissism and CEO Power on the Investment Efficiency and Consistent Earnings Growth [Volume 10, Issue 3, 2022, Pages 203-224]
  • Investor Attitude Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2022, Pages 197-216]
  • Investor Behavior Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2022, Pages 197-216]
  • Investor Decision Making Identifying and Prioritizing Factors Affecting Investor Decision Making: A Model Based on Investor Attitude and Behavior [Volume 10, Issue 4, 2022, Pages 197-216]
  • Investor Protection 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]
  • Investors Designing a Model of Financial Fragility Evaluation of Companies Listed in the Iranian Stock Exchange [Volume 10, Issue 4, 2022, Pages 217-234]
  • Investor Sentiment Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • Iranian Financial Markets Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2022, Pages 31-54]
  • Islamic Debt securities Indicators Effecting on evaluation of Islamic Debt securities in Iran Capital Market [Volume 10, Issue 2, 2022, Pages 139-154]

K

  • Keywords: Political connections 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]
  • Kilian Index Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2022, Pages 31-54]

L

  • Labor 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]
  • Largest Shareholder The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Liquidity Risk 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]
  • Liquidity Risk The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2022, Pages 55-74]
  • Logit Panel Data Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]

M

  • Manager Financial Decisions The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Market Performance and Response Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]
  • Market Stress 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]
  • Markowitz model 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]
  • MCAViaR model Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Minimum spanning tree Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Money And Investment Market 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]
  • Multi-asset Portfolio 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]
  • Multi-Criteria Decision-Making 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]
  • Myopia The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2022, Pages 151-176]

O

  • Operant Conditioning Behavior Theory 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]
  • Optimism The Effect of Behavioral Characteristics of Managers on Corporate Financial Flexibility Moderated by Managing Director’s Efficiency and Political Connections [Volume 10, Issue 4, 2022, Pages 151-176]
  • Optimization Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Over-investment 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]
  • Ownership structure The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]

P

  • Panel Smooth Transition Regression The Impact of Banking Stability on Liquidity and Credit Risks in Iran; Panel Smooth Transition Regression Approach [Volume 10, Issue 4, 2022, Pages 55-74]
  • Portfolio Performance Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Product Market Competition 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]
  • PSO 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, 2022, Pages 125-150]
  • PSO meta-heuristic algorithm Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]
  • Psychological factors Identifying and Ranking the Factors Affecting Iran's Financial Crises Using Multi-Criteria Decision-Making Techniques [Volume 10, Issue 1, 2022, Pages 133-156]

Q

  • Qualitative-quantitative research method Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Quality of corporate governance 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, 2022, Pages 177-196]

R

  • Real Shareholder The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Real-time Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Recursive Stress Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Risk Measurement Measuring Industry Beta using a Combination of Black-Scholes model and Grey Theory [Volume 10, Issue 1, 2022, Pages 157-178]

S

  • Seven Factors Model 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, 2022, Pages 1-30]
  • Solvency Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Logit Panel Data Method [Volume 10, Issue 3, 2022, Pages 187-202]
  • Spread The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]
  • Stock Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Stock Crash Risk 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]
  • Stock Index Prediction" Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Stock Liquidity 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]
  • Stock Liquidity The Effect of Ownership Structure on The Relationship Between Liquidity and Company Value [Volume 10, Issue 2, 2022, Pages 47-76]
  • Stock Market Crises Assay the Impact of Investors' Emotional Decisions on Occurrence Crisis in Tehran Stock Exchange [Volume 10, Issue 2, 2022, Pages 99-116]
  • Stock Portfolio optimization 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]
  • Stock Price Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Stock price crash risk Designing a Model to Predict Stock Price Crash Risk in the Tehran Stock Exchange [Volume 10, Issue 3, 2022, Pages 161-186]
  • Stock price crash risk Causes of Stock Prices at Tehran Stock Exchange based on a Meta-Analysis Approach: Evidence from Internal Studies [Volume 10, Issue 4, 2022, Pages 75-102]
  • Stock price prediction 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, 2022, Pages 125-150]
  • Stock Return 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]
  • Stocks Price Studying the Effect of Financial Variables on the Bid - Ask Price Spread of Stocks [Volume 10, Issue 1, 2022, Pages 179-198]
  • Stocks Price Bid-Ask Spread Studying the Effect of Financial Variables on the Bid - Ask Price Spread of Stocks [Volume 10, Issue 1, 2022, Pages 179-198]
  • Supply Chain Finance (SCF) 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]
  • Support Vector Regression" Predicting the Tehran Stock Exchange Index Using Support Vector Regression; Based on the Dimension Reduction Technique [Volume 10, Issue 3, 2022, Pages 1-26]
  • Systemic risk Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]
  • Systemic RiskContribution Analyzing of Systemic Risk Contributions of Tehran Stock Exchange Companies by Complexity Approach [Volume 10, Issue 1, 2022, Pages 91-112]
  • Systemic Stress Identifying Systemic Stress in Iran's Financial Market [Volume 10, Issue 1, 2022, Pages 53-74]

T

  • Target ratio Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Tax 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, 2022, Pages 177-196]
  • Tax avoidance 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, 2022, Pages 177-196]
  • Tehran Stock Exchange 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, 2022, Pages 1-30]
  • Testosterone of CEO The Testosterone Level of the CEO and Manager Financial Decisions [Volume 10, Issue 1, 2022, Pages 199-214]
  • Time Series 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, 2022, Pages 125-150]
  • Trade-off Theory Comparing the Cash Holdings Speed of Adjustment During Economic Prosperities and Recessions [Volume 10, Issue 3, 2022, Pages 141-160]
  • Trading Volume The Impact of Individual Investor's Trading on Firm Value of Listed Companies in Capital Market [Volume 10, Issue 3, 2022, Pages 27-42]

U

  • Under-investment 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]
  • Upside Risk Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]

V

  • Value at Risk Comparison of Optimal Portfolio Performance Based on Value at Risk and Upside Risk with Conventional Models [Volume 10, Issue 1, 2022, Pages 1-30]
  • Value stock 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, 2022, Pages 125-150]
  • VaR estimation Dynamics of Value at Risk: Copula -VAR Approach Optimized with PSO Meta-Heuristic Algorithm [Volume 10, Issue 2, 2022, Pages 1-28]

W

  • Wavelet Coherency Investigating Iran's Financial Markets Influenceability of the Global Economy Using Continuous Wavelet Transform [Volume 10, Issue 4, 2022, Pages 31-54]