Author Index

A

  • Aazami, Zeinab The Investigation Effect of Investments (including cash and non-cash) in Explaining Future Performance of the Listed Companies in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 1-20]
  • Abashi, Abdolahad Investigating the Influence of Customer-Base Concentration on the Firm Financial Performance [Volume 2, Issue 3, 2014, Pages 81-92]
  • Abbasi, Ebrahim Surveying the Relation among Volume, Stock Return and Return Volatility in the Tehran Stock Exchange: A Wavelet Analysis [Volume 4, Issue 4, 2017, Pages 99-114]
  • Abbasi, Ebrahim A Survey of Factors Affecting Financing of Small and Medium-Sized Businesses in the Tehran Stock Exchange (TSE) [Volume 11, Issue 2, 2023, Pages 95-114]
  • Abbasi, Reza Investigating the Non-Linear Relationship between Working Capital Management with Performance and Investment in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 51-68]
  • Abbasian, Ezatollah A Novel Approach to Predicting Financial Distress by Using Financial Network-Based Information and the Integrated Method of Gradient Boosting Decision Tree [Volume 11, Issue 3, 2023, Pages 113-140]
  • Abbasinejad, Hossein Dynamics of the Relation between Macroeconomic Variables and Stock Market Index [Volume 5, Issue 1, 2017, Pages 61-82]
  • Abbaszadeh, Mohammad Reza The Effect of Firm Financial Position and Industry Characteristics on Capital Structure Adjustment [Volume 6, Issue 4, 2019, Pages 19-42]
  • Abdi, Hadis Investigating the Role of Ownership Structure in the Relationship between Managers' Overconfidence and R&D ‎Expenditures in Terms of Financial Constraints [Volume 9, Issue 4, 2022, Pages 97-120]
  • Abdi Seyyedkolaee, Mohammad Influence of Investors' Sentiment on Bitcoin Returns [Volume 12, Issue 3, 2024, Pages 61-84]
  • Abdolbaghi, Abdolmajid Stochastic Dominance Based On Value Premium and investors Risk aversion Behavior at TSE [Volume 1, Issue 1, 2013, Pages 45-62]
  • Abdolbaghi, Abdolmajid Behavioral Preferences of Investors in Reaction to the Fundamental Variables Based on Sochastic Dominance [Volume 3, Issue 1, 2015, Pages 23-40]
  • Abdolbaghi, Abdolmajid A Comparison between the Pricing of Capped and Power Options on the Basis of Arbitrage Prevention: Evidence from a Stochastic Market with Double Stochastic Volatility, Double Jump, and a Stochastic Intensity Measure [Volume 8, Issue 2, 2020, Pages 89-103]
  • Abdolbaghi, Abdolmajid Option Pricing Error: Evidence from Nonlinear Markets based on Probabilistic Neural Networks and Multilayer Perceptron [Volume 11, Issue 4, 2024, Pages 47-64]
  • Abdolbaghi Ataabadi, Abdolmajid Investment Strategies Based on Technical Indicators: Evidence of Investor Behavioural Reactions [Volume 9, Issue 4, 2022, Pages 69-96]
  • Abdoli, Leila Conservatism and Stock Value Performance in Financial Crisis [Volume 5, Issue 3, 2017, Pages 133-150]
  • Abdollahi Poor, Mohammad Sadegh Solutions for Financial Restructuring in Iranian Banks [Volume 8, Issue 4, 2021, Pages 1-20]
  • Abdollahi Poor, Mohammad Sadegh Investigating the impact of macroeconomic variables on Risk-Adjusted Return on Capital (RAROC) of Registered Banks on Tehran Stock Exchange and Iran Fara Bourse [Volume 9, Issue 3, 2021, Pages 19-36]
  • Abdolmajid Ahangari, Abdolmajid Investigating the Simultaneous Effect of Corporate Governance and Audit Quality on Earnings Quality with the Mediating Role of Capital Structure and Financial Performance [Volume 7, Issue 1, 2019, Pages 83-102]
  • Abedini, Sepideh Effects of Managers' Optimistic and Myopic Behavior on the Asymmetry of Cost Behavior and Various Companies’ Strategies [Volume 10, Issue 1, 2022, Pages 93-116]
  • Aboodeh, Menal Impact of Sanction Shock on Iran's Stock Market Index [Volume 12, Issue 2, 2024, Pages 113-126]
  • Aboutalebi, Hamid The Effect of Corporate Governance on the Firms’ Financial Performance through the Mediating Variable of Transparency Using the Meta-Analysis Method [Volume 12, Issue 1, 2024, Pages 111-124]
  • Abtahi, Seyed Yahya Estimating Financial Stress in Iran's Economy: Emphasizing Its Consequences for Managing Business and Family Assets [Volume 9, Issue 1, 2021, Pages 41-62]
  • Abzari, Mahdi Determinants of Capital Structure: Meta-analysis [Volume 2, Issue 1, 2014, Pages 55-74]
  • Abzari, Mahdi Exploratory Analysis of the Heterogeneity in the Relationship between Information Asymmetry and the Cost of Equity Capital: A Meta-Analytic Approach [Volume 11, Issue 3, 2023, Pages 23-46]
  • Aflatooni, Abbas Investigating the Effect of Financial Reporting Quality on the Relation among Collateral Assets, Financing and Investment [Volume 4, Issue 3, 2016, Pages 109-124]
  • Aflatooni, Abbas The Role of Disclosure Quality and Accruals Quality in Reducing the Deviation from the Optimal Capital Structure [Volume 5, Issue 4, 2017, Pages 167-180]
  • Aflatooni, Abbas Disciplining Role of Debts, Information Asymmetry, and Firm Value: Two-Step Generalized Methods of Moments [Volume 8, Issue 1, 2019, Pages 105-122]
  • Aflatooni, Abbas Managers’ Overconfidence and Cash Holdings Speed of Adjustment [Volume 9, Issue 4, 2022, Pages 27-48]
  • Aflatooni, Abbas Impact of COVID-19 on Corporate Cash Holdings and Speed of Adjustment [Volume 12, Issue 4, 2024, Pages 39-60]
  • Afshari, Hamideh Examining of financial decisions, market timing and real investment on Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 109-122]
  • Afsharian, Amirhossein Tests of Multiple Explosive Bubbles Behavior in Tehran Stock Exchange and Real State Market in Iran [Volume 5, Issue 4, 2017, Pages 129-142]
  • Agahi Oskooee, Afshin The Relationship between Corporate Governance and Economic Value Added in The Iranian Manufacturing Enterprises (Listed in Tehran Stock Exchange) [Volume 2, Issue 4, 2015, Pages 75-96]
  • Aghababaei, Mohammad Ebrahim Financial Restatement Impacts on Investment Inefficiencies Considering the Role of Financial Constraints [Volume 10, Issue 1, 2022, Pages 73-92]
  • Agha Beik Zadeh, Mehdi Investigating the Effects of Debt Convergence of Companies on the Speed of Capital Structure Adjustment Considering the Time Horizon [Volume 12, Issue 3, 2024, Pages 23-40]
  • Aghaei, Mohamad Ali Largest Shareholder Type And its Effect on Dividend Policy in Listed companies in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 49-66]
  • Aghasi, Ehsan The Dynamic Model of Valuation for the Bank Stocks (Case Study of Banks of Mellat, Tejarat, Eghtesad-e-Novin, and Karafarin) [Volume 7, Issue 1, 2019, Pages 113-134]
  • Ahmadi, Sayed Mojtaba Investigating the Effects of Debt Convergence of Companies on the Speed of Capital Structure Adjustment Considering the Time Horizon [Volume 12, Issue 3, 2024, Pages 23-40]
  • Ahmadian, Vahid Largest Shareholder Type And its Effect on Dividend Policy in Listed companies in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 49-66]
  • Ahmadi Nezhad, Hossien Investigating the Causal Relationship Between Stocks’ Initial Public Offerings and Macroeconomic Variables [Volume 11, Issue 2, 2023, Pages 35-52]
  • Ahmadpour, Ahmad The Relation of Risk-Adjusted Excess Return with Liquidity and Liquidity Risk (Companies Listed in Tehran Stock Exchange) [Volume 4, Issue 3, 2016, Pages 77-90]
  • Ahmadvand, Maysam Identifying Islamic Alternatives to Short Selling in Iran’s Stock Market and Prioritizing Them Using TOPSIS [Volume 2, Issue 2, 2014, Pages 31-48]
  • Ahmad Vand, Shoukofeh Investigating the Causal Relationship Between Stocks’ Initial Public Offerings and Macroeconomic Variables [Volume 11, Issue 2, 2023, Pages 35-52]
  • Ahmadyan, Azam Modeling Banking Crisis with the Dynamic Stochastic General Equilibrium Model [Volume 4, Issue 3, 2016, Pages 91-108]
  • Ahmadyan, Azam Explaining the Model of Bankruptcy Prediction to Identify Healthy and Risky [Volume 5, Issue 3, 2017, Pages 1-18]
  • Ajam, Alireza Examining the Efficiency of Portfolio Optimization using Model of Minimum-Variance and N/1 in Portfolio Selection [Volume 6, Issue 4, 2019, Pages 155-166]
  • Ajam, Alireza Development of the Model of Factors Affecting Stock Returns [Volume 10, Issue 3, 2022, Pages 119-142]
  • Akbari, Mohsen Investigating the Effect of Advertisement Cost on the Financial Performance of the Firms Listed in Tehran Stock Exchange with the Mediating Role of Brand Equity [Volume 5, Issue 3, 2017, Pages 151-162]
  • Akbari, Mohsen Investigating the Effect of Product Market Competition on Financial Performance by Moderating Role of Information Disclosure Quality: The Companies Listed in Tehran Stock Exchange [Volume 7, Issue 1, 2019, Pages 29-44]
  • Akbari, Mohsen The Effects of Income Diversification on Market Power in the Iranian Banking System [Volume 9, Issue 3, 2021, Pages 89-104]
  • Akhlaghi, Hasanali The Investigation of Factors Affecting the Capital Structure using the Tobit Models: An Empirical Examination of Static Trade-Off, Pecking Order and Agency Costs Theories [Volume 2, Issue 1, 2014, Pages 37-54]
  • Alavi, Saeideh Sadat A Framework for Successful Crowdfunding Campaigns: Insights from Social Media (A Systematic Review) [(Articles in Press)]
  • Aliabadi Farahani, Ebrahim The Effects of Stale Prices on Mutual Funds [Volume 9, Issue 4, 2022, Pages 47-68]
  • Aliahmadi, Saeid The Effect of Return Dispersion on the Accrual and Investment Anomalies in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 1-16]
  • Ali Hosseini, Mehdi A Pattern for Iron Ore Mines Financing [Volume 12, Issue 2, 2024, Pages 81-112]
  • Alikhani Dehaghi, Hossein Evaluating the Role of Earnings Management in Identifying Fraudulent Financial Statements in Companies Listed in Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 21-38]
  • Ali Mohamadi, Meysam Investigate the Relationship between Working Capital Management and Agency Costs [Volume 2, Issue 2, 2014, Pages 17-30]
  • Alimohammadi Kamalabadi, Moslem Evaluation of Investment Decision Using System Dynamics and Real Options [Volume 3, Issue 1, 2015, Pages 1-22]
  • Alinejadsaroukalaee, Mahdi The Impact of Corporate Governance Mechanisms on the Earning Timeliness [Volume 7, Issue 3, 2019, Pages 59-70]
  • Alinezhad Sarokolaei, Mahdi The effect of corporate governance mechanisms on the relationship between institutional investors and inventory management [Volume 3, Issue 1, 2015, Pages 75-90]
  • Alipour, Saeed The Effect of the Operating Cash Flows on Abnormal Accruals in the Companies Listed in the Tehran Stock Exchange (with Emphasis on the Industry Type) [Volume 7, Issue 3, 2019, Pages 99-12]
  • Alizadeh, Hossein Expansion of the Markowitz Model in Portfolio Optimization Considering Realistic Constraints [Volume 11, Issue 4, 2024, Pages 65-92]
  • Alizadeh Talatpeh, Vahid The relation study of voluntary disclosure level and agency costs of listed companies of Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 41-54]
  • Amairi, Hadi Effect of asset specificity on the financing method of listed companies in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 15-32]
  • Amareh, Ruhollah Investigation of the Relationship between Working Capital Efficiency and Deviation from the Optimal Level of Capital Structure in Firms Listed in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 71-84]
  • Ameri, Hosein Exploring the Mediating Role of Information Asymmetry in the Relationship between Voluntary Information Disclosure and the Equity Cost of Capital: An Analysis Using the CAPM Model [Volume 13, Issue 1, 2025, Pages 47-62]
  • Ameri Rad Gheysari, Behnaz Portfolio Optimization with Clustering Methods [Volume 4, Issue 4, 2017, Pages 61-78]
  • Aminpour Joubeni, Abbas Credit Ranking of Firms Using Option Pricing Adjusted with Duration [Volume 4, Issue 1, 2016, Pages 51-68]
  • Amirbakhtiarvand, Amin The Role of Disclosure Quality and Accruals Quality in Reducing the Deviation from the Optimal Capital Structure [Volume 5, Issue 4, 2017, Pages 167-180]
  • Amiri, Hadi Comparative Investigation the Hazard Model and the Accounting Model Using Receive Operating Characteristic (ROC) Curve for Bankruptcy Predication [Volume 6, Issue 4, 2019, Pages 121-134]
  • Amiri, Hadi Explaining the Default Risk Premium Anomaly Using Two Beta Model [Volume 7, Issue 3, 2019, Pages 45-58]
  • Amiri, Hadi Analysis of Investors’ Reaction to Unexpected Earnings Under Market Uncertainty [Volume 8, Issue 1, 2019, Pages 41-56]
  • Amiri, Hadi The Effect of Financial Statement Comparability on Idiosyncratic Return Volatility by Emphasis on the Financial Reporting Quality [Volume 9, Issue 3, 2021, Pages 1-18]
  • Amiri, Hadi Analysis of Market Reaction to Risk Disclosure Factors [Volume 10, Issue 3, 2022, Pages 47-66]
  • Amiri, Hadi Impact of Financial Literacy on Saving Decisions: Insight from Aseman Project Operated by Barkat Foundation [Volume 12, Issue 2, 2024, Pages 17-38]
  • Amiri, Maghsoud A Robust Model with Adjustable Conservatism Level for Index Fund Construction in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 113-128]
  • Amiri, Maghsoud Complexity of Supply Chain As an Strategic Asset and Position of Financial Performance [Volume 6, Issue 4, 2019, Pages 57-78]
  • Amiri, Maysam Liquidity Risk Management Framework of Mutual Funds [Volume 11, Issue 1, 2023, Pages 53-76]
  • Amri Asrami, Mohammad The Role of Corporate Governance in the Relation between Tax Avoidance and Managerial Empire Building [Volume 11, Issue 3, 2023, Pages 95-112]
  • Amri-Asrami, Mohammad The Role of Enterprise Risk in the Relation between the CEO's Skills and the Firm's Free Cash Flow [Volume 10, Issue 4, 2022, Pages 95-114]
  • Ansari, Hojattolah Evaluating Market Timing Ability of Mutual Fund Managers Based on Conditional and Unconditional Approaches [Volume 5, Issue 1, 2017, Pages 45-60]
  • Anvari, Ebrahim The Effect of Government Deficit and Banking Sector Credit on the Stock Market Size:Panel VAR Model Approach [Volume 6, Issue 2, 2018, Pages 57-70]
  • Anvari, Ebrahim Investigating the Effect of Business Cycles and Investment-Specific Technology Shocks on Stock Returns in the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 103-122]
  • Anvari, Ebrahim Modeling the Dynamic Financial Condition Index (FCI) and Assessing Its Effectiveness in Predicting Iran’s Stock ‎Returns [Volume 10, Issue 1, 2022, Pages 47-72]
  • Anvari, Ebrahim Analyzing Company’s Internal and External Factors Influencing the Financing Model through Structural Equation Modeling (SEM) [Volume 12, Issue 4, 2024, Pages 87-120]
  • Anvarirostami, Aliasghar The Financing Decisions and Managerial Market Timing Evidence from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 21-36]
  • Anvary Rostamy, Ali Asghar Investigation of the Impact of Product Market Competition on Dividend Policies [Volume 1, Issue 2, 2013, Pages 1-18]
  • Anvary Rostamy, Ali Asghar Study of Nonlinear Relationship between Debt Financing and Cash Flow Manipulation of Listed Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 143-154]
  • Anvary Rostamy, Ali Asghar Corporate Financing Strategies in Normal and Crisis Conditions: Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 13-30]
  • Anvary Rostamy, Ali Asghar A Review of Theories, Models, and Techniques for Predicting Corporate Financial Distress and Bankruptcy [Volume 12, Issue 1, 2024, Pages 59-110]
  • Arabmazar, Mohamad Stochastic Dominance Based On Value Premium and investors Risk aversion Behavior at TSE [Volume 1, Issue 1, 2013, Pages 45-62]
  • Arabsalehi, Mahdi The Effect of Over-valuation Stock Price on Real Earnings Management in Listed Companies of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 49-66]
  • Arabsalehi, Mahdi Analysis of Investors’ Reaction to Unexpected Earnings Under Market Uncertainty [Volume 8, Issue 1, 2019, Pages 41-56]
  • Arabsalehi, Mehdi Analysis the effect of market anomalies and growth options on stock return [Volume 9, Issue 1, 2021, Pages 63-92]
  • Arabsalehi Nasrabadi, Madi Assessing the Systemic Risk in the Financial Sub-Systems of Iran, using Nonlinear Granger Method [Volume 7, Issue 2, 2019, Pages 59-80]
  • Aref Manesh, Zohreh Earnings behavior in bankrupt firms: the role of auditor [Volume 2, Issue 4, 2015, Pages 1-14]
  • Aref Manesh, Zohreh The Relationship between Corruption, Corporate Governance, and Firm Financial Return at the Provincial Level [Volume 10, Issue 2, 2022, Pages 103-120]
  • Arman, Mohammad Hossein Investment Strategies Based on Technical Indicators: Evidence of Investor Behavioural Reactions [Volume 9, Issue 4, 2022, Pages 69-96]
  • Arman, Seyed Aziz Adjusted Capital Asset Pricing Models (CAPMs) with Respect to the Magnet Effect Factor (MEF) Caused by the Range of Stock Price Fluctuations [Volume 9, Issue 3, 2021, Pages 65-88]
  • Arman, Seyed Aziz Modeling the Dynamic Financial Condition Index (FCI) and Assessing Its Effectiveness in Predicting Iran’s Stock ‎Returns [Volume 10, Issue 1, 2022, Pages 47-72]
  • Asadi, Fatemeh Investigating the Mediating Roles of Information Asymmetry and Illiquidity Related to Cluster Trading in the ‎Relationship between Noise Trading and Market Efficiency in Tehran Stock Exchange (TSE)‎ [Volume 9, Issue 3, 2021, Pages 105-126]
  • Asadi, Golamhossein Momentum Strategies Based on Reference Points; Evidence from Adjustment and Anchoring Bias [Volume 8, Issue 1, 2019, Pages 83-104]
  • Asaiesh, Hamid Testing the Effects of Exchange Rate Jumps and Global Financial Crisis Using the Overshooting Dornbusch Model for the Financial Stability of the State Banking System of Iran's Economy [Volume 10, Issue 1, 2022, Pages 117-140]
  • Asgari, Gholamreza The influencing factors on capital budgeting techniques selection in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 1-12]
  • Asgarnejad, Bagher Product Market Power, Industry Structure, and Corporate Earnings Management:Evidence from Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 1-14]
  • Asgarnezhad Nouri, Bagher Factors Affecting Stock Return of Firms Listed in Tehran Stock Exchange: Meta-analysis Approach [Volume 6, Issue 1, 2018, Pages 29-50]
  • Asgarnezhad Nouri, Bagher The Effect of Risk Management on Financial Performance of the Companies Listed in Tehran Stock Exchange: The Mediating Role of Intellectual Capital and Financial Leverage [Volume 5, Issue 2, 2017, Pages 93-112]
  • Asgarnezhad Nouri, Bagher A Comparative Study of Factors Affecting the Speed of Adjustment of Capital Structure among the Industries of the Tehran Stock Exchange [Volume 11, Issue 1, 2023, Pages 101-120]
  • Asgarnezhad Nouri, Bagher Factors Affecting the Dividend Policy of Companies: A Meta-analysis Approach [Volume 12, Issue 2, 2024, Pages 1-16]
  • Asgarpour, Rasoul The Effect of Corporate Governance on the Firms’ Financial Performance through the Mediating Variable of Transparency Using the Meta-Analysis Method [Volume 12, Issue 1, 2024, Pages 111-124]
  • Asghari, Iraj Reduction of Liquidity Proxies by Using Principal Component Analysis in Tehran Capital Markets [Volume 10, Issue 4, 2022, Pages 47-66]
  • Asghari, Zeinab The Effect of Return Dispersion on the Accrual and Investment Anomalies in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 1-16]
  • Asharion, Farzaneh Rating Tehran Stock Exchange Industries Based on Risk Criteria from the Perspective of Institutional Investors: A Data Envelopment Analysis Approach [Volume 4, Issue 2, 2016, Pages 49-64]
  • Ashtab, Ali dentifying the Factors Affecting the Financial Risks of Companies Using the Structural Equations Approach [Volume 9, Issue 2, 2021, Pages 77-98]
  • Ashtab, Ali Comparing the Efficiency of Statistical Models and Machine-Learning Models and Choosing the Optimal Model for Predicting Net Profit and Operating Cash Flows [Volume 11, Issue 2, 2023, Pages 53-74]
  • Asima, Mehdi The Dynamic Model of Valuation for the Bank Stocks (Case Study of Banks of Mellat, Tejarat, Eghtesad-e-Novin, and Karafarin) [Volume 7, Issue 1, 2019, Pages 113-134]
  • Askari Firoozjaei, Ehsan Implementation of Organizational Risk Management; Identification, Analysis, and Evaluation (Case Study: Active Financial Institution in Iranian Capital Market) [Volume 7, Issue 2, 2019, Pages 1-24]
  • Askarirad, Hossein Decomposition of Systemic Risk and Analysis of the Relationships of Its Dimensions with the Characteristics and Financial Performance of the Banks Listed in Tehran Stock Exchange (TSE) [Volume 11, Issue 1, 2023, Pages 1-28]
  • Aslani, Farshid Barriers of Public Sector Financing for Construction Projects in Isfahan Province Using a Multi-Criteria Approach [Volume 8, Issue 4, 2021, Pages 101-116]
  • Ayagh, Zahra Investigating the Effect of Product Market Competition on Financial Performance by Moderating Role of Information Disclosure Quality: The Companies Listed in Tehran Stock Exchange [Volume 7, Issue 1, 2019, Pages 29-44]
  • Azar, Adel The Incremental Effect of earnings Components’ Volatility and their Persistence on Earnings Predictability [Volume 6, Issue 2, 2018, Pages 159-182]
  • Azar, Adel Identification and Analysis of Operational Risks: A Fuzzy Cognitive Map Approach [Volume 6, Issue 4, 2019, Pages 1-18]
  • Azizi, Shahriar Mutual Fund Selection Determinants: A Mixed Method Approach [Volume 1, Issue 2, 2013, Pages 35-50]
  • Azizkhani, masoud The Financing Decisions and Managerial Market Timing Evidence from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 21-36]

B

  • Babaie, Sasan The Incremental Effect of earnings Components’ Volatility and their Persistence on Earnings Predictability [Volume 6, Issue 2, 2018, Pages 159-182]
  • Badami, Mohammad Hossein Dimensions of Risk Management Development in the Business Model and Culture of Financial Industry Organizations in Iran [Volume 10, Issue 3, 2022, Pages 67-94]
  • Badavar Nahandi, Younes The Relation between Working Capital Management and Investment Inefficiency [Volume 4, Issue 3, 2016, Pages 17-38]
  • Badavar Nahandi, Younes The Moderating Effect of Financial Constraint on the Relationship between Economic Policy Uncertainty and Corporate Financialization [Volume 13, Issue 1, 2025, Pages 63-80]
  • Badri, ABmad Stochastic Dominance Based On Value Premium and investors Risk aversion Behavior at TSE [Volume 1, Issue 1, 2013, Pages 45-62]
  • Badri, Ahmad Behavioral Preferences of Investors in Reaction to the Fundamental Variables Based on Sochastic Dominance [Volume 3, Issue 1, 2015, Pages 23-40]
  • Badri, Ahmad The Relationship of Weather and Returns and Trading Activities: Evidence from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 201-220]
  • Badrian, Elahe A Comparison between Fama-French Five Factor Model and Carhart Four-Factor Model in Explaining the Stock Return of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 17-30]
  • Bagheri, Fatemeh Impact of Financial Literacy on Saving Decisions: Insight from Aseman Project Operated by Barkat Foundation [Volume 12, Issue 2, 2024, Pages 17-38]
  • Bagheri, Mohammad Mahdi The Relationship between Credit Rating and Stock Returns with an Emphasis on the Role of Investors' Emotions [Volume 11, Issue 3, 2023, Pages 1-22]
  • Bagherzadeh Azar, Fatemeh Investigating the Factors Influencing on the Stock Market Risk with the Emphasis on Financial Globalization in Dynamic Behavior of Stock Market [Volume 4, Issue 1, 2016, Pages 87-100]
  • Baharipour, Sahar Impact of Financial Literacy on Saving Decisions: Insight from Aseman Project Operated by Barkat Foundation [Volume 12, Issue 2, 2024, Pages 17-38]
  • Baharmoghadam, Mahdi The Investigation Effect of Investments (including cash and non-cash) in Explaining Future Performance of the Listed Companies in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 1-20]
  • Bahranifard, Gholamreza The Comparative of Accruals Ability and Cash Flows Based on Original Figures Versus Revised Figures For Predicting Future Cash Flows [Volume 3, Issue 3, 2015, Pages 105-116]
  • Bahreini, Maryam The effect of corporate governance mechanisms on the relationship between institutional investors and inventory management [Volume 3, Issue 1, 2015, Pages 75-90]
  • Bahri, Sajjad The Moderating Role of Firm’s Size and Age in the Relationship of Managerial Ownership with Liquidity and ‎Investment Constraints ‎ [Volume 10, Issue 4, 2022, Pages 1-24]
  • Bahrololoum, Mohammad Mahdi A Robust Model with Adjustable Conservatism Level for Index Fund Construction in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 113-128]
  • Bajalan, Saeed Examining the Efficiency of Portfolio Optimization using Model of Minimum-Variance and N/1 in Portfolio Selection [Volume 6, Issue 4, 2019, Pages 155-166]
  • Balavar, Samira Examining the Effects of Investor Sentiment Shocks on Normal and Abnormal Returns in the Oil Products Sector of the Tehran Stock Exchange: A PVAR Analysis [Volume 12, Issue 4, 2024, Pages 121-140]
  • Baradaran Hasanzadeh, Rasoul Studying the Distinct Impact of Abnormal Real Operations and Real Earnings Management on the Subsequent Crash Risk in Stock Prices [Volume 7, Issue 2, 2019, Pages 81-98]
  • Baradaran Hassan zadeh, Rasoul The Value Content of Different Free Cash Flow Models in Tehran Stock Exchange with Emphasis on Industry Type [Volume 9, Issue 2, 2021, Pages 21-46]
  • Barakchian, Seyyed Mahdi The Effects of Stale Prices on Mutual Funds [Volume 9, Issue 4, 2022, Pages 47-68]
  • Barandak, Sajad The Effect of the Operating Cash Flows on Abnormal Accruals in the Companies Listed in the Tehran Stock Exchange (with Emphasis on the Industry Type) [Volume 7, Issue 3, 2019, Pages 99-12]
  • Bashiri Joibari, Mahdi The impact Stock market misvaluation on firm’s investment decisions [Volume 1, Issue 3, 2014, Pages 81-98]
  • Bashokouh, Mohammad Supply Chain Agility as a Strategic Asset and Its Effect on Financial Performance with the Moderating Role of Industry Type: A Meta-Analysis Study [Volume 11, Issue 3, 2023, Pages 47-68]
  • Bashokouh Ajirlou, Mohammad A systematic review of microfinance literature (approach based on ADO-TCM framework) [(Articles in Press)]
  • Basirat, Mahdi Investigating the Non-Linear Relationship between Working Capital Management with Performance and Investment in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 51-68]
  • Bastanzad, Hossein An Evaluation of Risk Transmission over Foreign Exchange, Real Estate and Stock Markets in Iran`s Economy (An Application of Parametric and Non-Parametric Value at Risk Approach) [Volume 5, Issue 4, 2017, Pages 33-50]
  • Bateni, Leila Investigation of impact of after-market liquidity on IPO price in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 63-74]
  • Bazazan, Fatemeh Evaluation of oil price shocks on stock market price [Volume 3, Issue 2, 2015, Pages 15-32]
  • Bazchi, Mozhgan Behavioral Bias, Abnormal Volume, and Abnormal Return [Volume 7, Issue 4, 2019, Pages 81-96]
  • Bazrafshan, Ameneh Earnings behavior in bankrupt firms: the role of auditor [Volume 2, Issue 4, 2015, Pages 1-14]
  • Bazrafshan Poor, Roghayeh Firm's Financial Risk and Risk Sentiment in Annual Reports: Evidence from Companies Listed in the Tehran Stock Exchange Using a Static-and-Dynamic Approach [Volume 11, Issue 1, 2023, Pages 121-142]
  • Behboodi, Omid Factors Affecting the Behavior of Investors Regarding Phenomenographical Approach [Volume 5, Issue 3, 2017, Pages 57-76]
  • Behboodi, Saeideh Using Extreme Value Theory to Estimate Value at Risk (Case Study: Foreign Exchange rate) [Volume 4, Issue 2, 2016, Pages 77-94]
  • Beigi Firoozi, Allahyar Supply Chain Agility as a Strategic Asset and Its Effect on Financial Performance with the Moderating Role of Industry Type: A Meta-Analysis Study [Volume 11, Issue 3, 2023, Pages 47-68]
  • Beigi Firoozi, Allahyar Factors Affecting the Dividend Policy of Companies: A Meta-analysis Approach [Volume 12, Issue 2, 2024, Pages 1-16]
  • Biek Khormizi, Mojtaba Modeling Value at Risk of Futures Contract of Bahar Azadi Gold Coin with Considering the Historical Memory in Observations Application of FIAPARCH-CHUNG Models [Volume 8, Issue 1, 2019, Pages 57-82]
  • Biria, Mohammadreza Limit Order Book and Short-term Stock Price Movement Predictability: Evidence from Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 63-84]
  • Bostanara, Mahdi Artificial Neural Networks versus OLS Regression Models Using Principal Components Analysis in Forecasting Unexpected Returns [Volume 4, Issue 1, 2016, Pages 1-18]
  • Botshekan, Mahmoud Introducing and Testing Firm's Life Cycle as a New Factor in Developing Multifactor Asset Pricing Models using Spanning Regression Approach [Volume 8, Issue 3, 2020, Pages 53-84]
  • Botshekan, Mohammad Hashem Rules and Regulations of Financing Infrastructure Road Transport Projects through the Capital Market of Iran [Volume 7, Issue 1, 2019, Pages 1-28]
  • Botshekan, Mohammad Hashem Solutions for Financial Restructuring in Iranian Banks [Volume 8, Issue 4, 2021, Pages 1-20]
  • Botshekan, Mohammad Hashem Investigating the impact of macroeconomic variables on Risk-Adjusted Return on Capital (RAROC) of Registered Banks on Tehran Stock Exchange and Iran Fara Bourse [Volume 9, Issue 3, 2021, Pages 19-36]
  • Botshekan, Mohammad Hashem A Pattern for Iron Ore Mines Financing [Volume 12, Issue 2, 2024, Pages 81-112]

C

  • Chaharmahali, AliAkbar The Role of Market Capitalization in the Relationship Between ROA, ROE and Stock Prices in Tehran Stock Exchange [Volume 7, Issue 4, 2019, Pages 17-30]
  • Chavoshi, Seyed Kazem Investigating the Impact of Implementing XBRL on the Financial Analysts` Behavior in Iran Using Structural Equations Modeling [Volume 6, Issue 2, 2018, Pages 99-120]
  • Chehrenegar, Ashkan Comparing Accuracy of State Space Model and Ordinary Least Squares (OLS) in Predicting Stock Return by Fama and French Three-Factor Model in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 69-78]
  • Chenari Bouket, Hassan Relationship between Earnings Management & Earnings Forecast Error: an Emphasis on the End & Interim Financial Statements [Volume 4, Issue 2, 2016, Pages 29-48]
  • Colani, Tahereh The Effect of Real Earnings Management and Managerial Incentives on Sticky Costs [Volume 5, Issue 1, 2017, Pages 1-16]

D

  • Daei Karimzadeh, Saeed The Optimal Portfolio of Shared Contracts of Iranian Commercial Banks in Economic Sectors (based on Post-modern Portfolio Theory) [Volume 4, Issue 4, 2017, Pages 17-28]
  • Daghani, Reza The Financing Decisions and Managerial Market Timing Evidence from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 21-36]
  • Damoori, Dariush The Study of the Impact of Relative Performance of Trading halts on Market Quality (The Study of Tehran Stock Exchange) [Volume 2, Issue 3, 2014, Pages 49-62]
  • Damoori, Darush The Effect of External Corporate Governance Mechanisms of Agency Costs on Listed Companies of the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 59-76]
  • Danesh, Seyed Rasoul The Predictive Power of Future Cash Flow by Earning and Cash Flow [Volume 9, Issue 4, 2022, Pages 1-26]
  • Darvish, Hasan Designing a Future Study Model: Examining Bank Employees’ Attitudes Towards Job Security in the Era of Blockchain Technology (Horizon 2031) [Volume 12, Issue 3, 2024, Pages 1-22]
  • Dastgir, Mohsen The Relationship Between Unrecognized Inflation Gain or Loss, Future Cash Flows and Abnormal Returns of Companies Listed in Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 75-100]
  • Dastgir, Mohsen The Impact of Corporate Governance System on the Unit Index of Working Capital Management Efficiency for the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 69-86]
  • Dastgir, Mohsen Investigating the Integration beetween Asymmetric Decrease in Liquidity Trading before Earnings Announcements, The Announcement Return Premium and Profitability News Announcements Using a Simultaneous Equations System [Volume 6, Issue 4, 2019, Pages 43-56]
  • Dastgir, Mohsen The Effect of Stock Returns Volatilities on Working Capital Accruals: Considering the Moderating Effect of Financial Distress [Volume 8, Issue 3, 2020, Pages 85-102]
  • Dastranj, Elham A Comparison between the Pricing of Capped and Power Options on the Basis of Arbitrage Prevention: Evidence from a Stochastic Market with Double Stochastic Volatility, Double Jump, and a Stochastic Intensity Measure [Volume 8, Issue 2, 2020, Pages 89-103]
  • Dastranj, Elham Option Pricing Error: Evidence from Nonlinear Markets based on Probabilistic Neural Networks and Multilayer Perceptron [Volume 11, Issue 4, 2024, Pages 47-64]
  • Davallou, Maryam Anatomy of Asset Growth Anomaly Evidence from Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 1-14]
  • Davallou, Maryam Portfolio Optimization with Clustering Methods [Volume 4, Issue 4, 2017, Pages 1-16]
  • Davallou, Maryam Micro and Macro Herding by Investors and Their Effects on Market Volatility [Volume 5, Issue 2, 2017, Pages 149-166]
  • Davallou, Maryam Persistent exchange-rate changes; state variable and distress risk? [Volume 6, Issue 4, 2019, Pages 103-120]
  • Davallou, Maryam Momentum Strategies Based on Reference Points; Evidence from Adjustment and Anchoring Bias [Volume 8, Issue 1, 2019, Pages 83-104]
  • Davallou, Maryam Dynamic Correlation Structure; Securities Risk and Return [Volume 7, Issue 3, 2019, Pages 1-26]
  • Davallou, Maryam Predicted Systematic and Idiosyncratic Skewness: New Evidence from Pricing the Third Moment of Stock Return ‎Distribution [Volume 9, Issue 4, 2022, Pages 121-148]
  • Davallou, Maryam Investigation of the Effects of Price Limit Changes on the Intraday Volatility of Iran’s Stock Market Using Realized Variance (RV) and District Fourier Transform (DFT) [Volume 11, Issue 2, 2023, Pages 19-34]
  • Davaloo, Maryam An Anatomic Study of the Relationship between Stock Return and Idiosyncratic Volatility Evidences from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 37-48]
  • Davari, Mahdi Persistent exchange-rate changes; state variable and distress risk? [Volume 6, Issue 4, 2019, Pages 103-120]
  • Davoody, Seyedeh Sahar The Investigation Effect of Investments (including cash and non-cash) in Explaining Future Performance of the Listed Companies in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 1-20]
  • Davoudi, Pedram An Evaluation of Risk Transmission over Foreign Exchange, Real Estate and Stock Markets in Iran`s Economy (An Application of Parametric and Non-Parametric Value at Risk Approach) [Volume 5, Issue 4, 2017, Pages 33-50]
  • Dehdashti Shahrokh, Zohreh Explaining the Dimensions of Sentiment Management for Asset Management Services Customers Using Meta-Synthesis [Volume 11, Issue 4, 2024, Pages 1-28]
  • Dehgani, Jalal The Effect of Inflation Rate on Financing of Company listed in Tehran Security Exchange (Debt Financing and Equity Financing) [Volume 1, Issue 2, 2013, Pages 51-68]
  • Dehghan Dehnavi, Mohammad Ali Banking Sector Development, Capital Structure and Performance of Non- Financial FirmsListed in Stock Exchange [Volume 5, Issue 2, 2017, Pages 1-20]
  • Dehghani, Abolfazl Predicting Financial Distress through Ranking Working Capital Management Components Using Random Forest Algorithm [Volume 13, Issue 1, 2025, Pages 27-46]
  • Dehghani, Fatemeh Examining the relationship between corporate transparency and financial constraints of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 217-232]
  • Dehghan nayeri, Leyla Surveying the Relation among Volume, Stock Return and Return Volatility in the Tehran Stock Exchange: A Wavelet Analysis [Volume 4, Issue 4, 2017, Pages 99-114]
  • Didar, Hamze Comparison of the behavior of International optimized portfolios based on Constant and Dynamic Conditional Correlation approaches [Volume 1, Issue 1, 2013, Pages 75-92]
  • Didar, Hamze Business diversification effects on performance and value of listed companies in Tehran Stock Exchange [Volume 2, Issue 2, 2014, Pages 65-86]
  • Didar, Hamze Business diversification effects on performance and value of listed companies in Tehran Stock Exchange [Volume 2, Issue 2, 2014, Pages 65-86]
  • Didar, Hamzeh The Mediating Role of Cash Flow Statement Indicators in the Relationship between Stock Mispricing and Corporate Cash Holding [Volume 12, Issue 3, 2024, Pages 85-102]
  • Dostar, Mohammad Investigation the impact of herding behavior of fund managers on their risk taking in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 129-148]

E

  • Ebrahimi, Mehrdad Investigating the Impact of Corporate Governance Mechanisms on Financial Statements Fraud of the Listed Companies in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 71-84]
  • Ebrahimi, Mohammad A Comparison between basic Fama and French three Factor model and basic Carhart four factors Model in Explaining the Stock return on Tehran Stock Exchange [Volume 2, Issue 3, 2014, Pages 17-28]
  • Ebrahimi, Mohammad A Comparison between Fama-French Five Factor Model and Carhart Four-Factor Model in Explaining the Stock Return of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 17-30]
  • Ebrahimi, Mohammad The Effect of Average of the Stock return, Expected Growth, Profitability and Asset Structure of Peer Firms on Investment Management Strategy Using Markov chain Monte Carlo Simulation and Hierarchical Bayes [Volume 7, Issue 2, 2019, Pages 41-58]
  • Ebrahimi, Sajad Dynamics of the Relation between Macroeconomic Variables and Stock Market Index [Volume 5, Issue 1, 2017, Pages 61-82]
  • Ebrahimi, S. Babak Determining the Optimal Hedge Ratio of Gold Coin Futures; A Comparative Approach [Volume 5, Issue 3, 2017, Pages 177-196]
  • Ebrahimi, S. Kazem Investigating the Effect of Managerial Overconfidence and Accrual-based Earnings Management [Volume 5, Issue 3, 2017, Pages 105-116]
  • Ebrahimi Sarv Oliya, Mohammad Hassan Liquidity Risk Management Framework of Mutual Funds [Volume 11, Issue 1, 2023, Pages 53-76]
  • Ebrahimnejad, Ali Limit Order Book and Short-term Stock Price Movement Predictability: Evidence from Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 63-84]
  • Ebrahimnejad, Ali Individual Investors’ Intensive Trading and Stock Returns: Evidence from Tehran Stock Exchange TSE [Volume 9, Issue 1, 2021, Pages 113-138]
  • Ebrahimnejad, Ali The Effects of Stale Prices on Mutual Funds [Volume 9, Issue 4, 2022, Pages 47-68]
  • Eivani, Farzad Investigating the Role of Ownership Structure in the Relationship between Managers' Overconfidence and R&D ‎Expenditures in Terms of Financial Constraints [Volume 9, Issue 4, 2022, Pages 97-120]
  • Eivani, Farzad Impact of COVID-19 on Corporate Cash Holdings and Speed of Adjustment [Volume 12, Issue 4, 2024, Pages 39-60]
  • Eivazloo, Reza Measuring systemic risk in the financial institution via dynamic conditional correlation and delta conditional value at risk mode and bank rating [Volume 7, Issue 4, 2019, Pages 1-16]
  • Elahi, Nasser Loan Interest Rate Uncertainty and Financing SMEs Listed in Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 1-20]
  • Emadifar, Farzam Estimating Financial Stress in Iran's Economy: Emphasizing Its Consequences for Managing Business and Family Assets [Volume 9, Issue 1, 2021, Pages 41-62]
  • Emamgholi Pour, Milad The Effect of Corporate Governance and Audit Quality on the Weighted Average Cost of Capital: Comparative Analysis Based on Auditor Size, Firm Size and Income Smoother and non-Smoother Companies [Volume 2, Issue 3, 2014, Pages 29-48]
  • Emami, Mohammad Reza Development of the Ohlson (1995) Prediction An Valuation Models with the Consideration of Bankruptcy Risk [Volume 5, Issue 1, 2017, Pages 99-116]
  • Emkani, Parisa The Effect of Risk Management on Financial Performance of the Companies Listed in Tehran Stock Exchange: The Mediating Role of Intellectual Capital and Financial Leverage [Volume 5, Issue 2, 2017, Pages 93-112]
  • Esami, Maryam The Effect of Investments in Intangible Assets in the Explanatory Impact of Financial Health and Agency Problems on the Market Value Company's [Volume 6, Issue 1, 2018, Pages 11-28]
  • Esfahani Pour, Akbar Credit Ranking of Firms Using Option Pricing Adjusted with Duration [Volume 4, Issue 1, 2016, Pages 51-68]
  • Esfandyari, Somayeh Exploring and Comparing ARMS and BSI Indices for Measuring Investor Sentiments to Predict Stock Price Trend [Volume 12, Issue 1, 2024, Pages 125-144]
  • Eshaghi, Golnaz The Effect of Investor Attention on the Relationship between Idiosyncratic Volatility and Future Stock Returns [Volume 12, Issue 1, 2024, Pages 1-16]
  • Eskandari, Rasool Capital Structure Stability in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 35-56]
  • Eskandari, Rasool Design and Examination of a Model for Stabilization of Banks Based on Financial Reporting Quality [Volume 8, Issue 3, 2020, Pages 25-52]
  • Eskandariata, Mohammad Reza Assessing the Impact of Financial Performance and Privatization on the Technical Efficiency of Transferred Firms in the Stock Exchange [Volume 2, Issue 3, 2014, Pages 93-108]
  • Eskini, Sobhan Momentum Strategies Based on Reference Points; Evidence from Adjustment and Anchoring Bias [Volume 8, Issue 1, 2019, Pages 83-104]
  • Esmaeilain, Majid Feasibility Analysis of Investment Projects with Fuzzy Data [Volume 6, Issue 2, 2018, Pages 139-158]
  • Esmaeili, Amir Mohamad The Relationship between Corruption, Corporate Governance, and Firm Financial Return at the Provincial Level [Volume 10, Issue 2, 2022, Pages 103-120]
  • Esmaeilian, Majid Evaluation of Investment Decision Using System Dynamics and Real Options [Volume 3, Issue 1, 2015, Pages 1-22]
  • Esmaeilpour, Parisa A Comparative Study of Factors Affecting the Speed of Adjustment of Capital Structure among the Industries of the Tehran Stock Exchange [Volume 11, Issue 1, 2023, Pages 101-120]
  • Esna Ashari, Maryam Dimensions of Risk Management Development in the Business Model and Culture of Financial Industry Organizations in Iran [Volume 10, Issue 3, 2022, Pages 67-94]
  • Etemadi, Hossein Investigation of the Impact of Product Market Competition on Dividend Policies [Volume 1, Issue 2, 2013, Pages 1-18]
  • Etemadi, Hossein Conservatism and Stock Value Performance in Financial Crisis [Volume 5, Issue 3, 2017, Pages 133-150]
  • Etemadi, Hossein The Incremental Effect of earnings Components’ Volatility and their Persistence on Earnings Predictability [Volume 6, Issue 2, 2018, Pages 159-182]
  • Etemadi, Hossien The Financing Decisions and Managerial Market Timing Evidence from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 21-36]
  • Ezadpour, Mostafa The relationship between working capital management and criterions for value-based performance of the companies listed in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 97-114]

F

  • Fadaei Nejad, Mohammad Esmaeel Market Reaction to Tangible and Intangible Information in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 19-36]
  • Fadaei Nejad, Mohammad Esmaeil A relation of the distress risk and equity returns puzzle- Empirical evidence from the Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 33-54]
  • Fadaie Nejad, Mohammad Esmaiel Investigating the Performance of Active and Passive Individual Investors in Tehran Stock Exchange by Using Portfolio Study and Own Benchmark Abnormal Return Approaches [Volume 7, Issue 2, 2019, Pages 25-40]
  • Fadaie Nejad, Mohammad Esmaiel Evaluation of the Profitability of Momentum and Reversal Strategies of Industry in the Capital Market of Iran [Volume 9, Issue 1, 2021, Pages 93-112]
  • Fadaie Nejad, Mohammad Esmaiel Management Forecast, Idiosyncratic Risk, and Information Environment: Evidence of Listed Companies in ‎Tehran Stock Exchange (TSE)‎ [Volume 10, Issue 1, 2022, Pages 25-46]
  • Fahid Azer, Yaghoub Investigating the Impact of Covid-19 on the Relationship between Cryptocurrencies and Oil Price Shocks Using the Non-Linear Autoregressive Distributed Lag (NARDL) Approach [Volume 10, Issue 2, 2022, Pages 121-148]
  • Falahi, Akram Testing the Effects of Exchange Rate Jumps and Global Financial Crisis Using the Overshooting Dornbusch Model for the Financial Stability of the State Banking System of Iran's Economy [Volume 10, Issue 1, 2022, Pages 117-140]
  • Falatoon nejhad, Farshid Investigating the Impact of Implementing XBRL on the Financial Analysts` Behavior in Iran Using Structural Equations Modeling [Volume 6, Issue 2, 2018, Pages 99-120]
  • Fallahpour, Saeed Dynamic Simultaneous Modeling for Corporate Financial Decisions Behavior Under Uncertainty in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 99-120]
  • Fallahpour, Saeed A Novel Approach to Predicting Financial Distress by Using Financial Network-Based Information and the Integrated Method of Gradient Boosting Decision Tree [Volume 11, Issue 3, 2023, Pages 113-140]
  • Fallahshams, Mirfeiz A Robust Model with Adjustable Conservatism Level for Index Fund Construction in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 113-128]
  • Fallahshams, Mirfeyz Application of Deep Learning Architectures in Stock Price Forecasting: A Convolutional Neural Network ‎Approach [Volume 10, Issue 3, 2022, Pages 1-20]
  • Fallahshams, Mir Feyz Margin Setting to Short and Long Futures Contract Positions by Coherent Risk Measures [Volume 6, Issue 3, 2018, Pages 1-14]
  • Fallashamss, Mir Feyz Asset Risk Behavior in Value and Growth Firms Under Stable and Adverse Market Conditions: Evidence from the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 1-24]
  • Farahani, Reza Evaluation of the Profitability of Momentum and Reversal Strategies of Industry in the Capital Market of Iran [Volume 9, Issue 1, 2021, Pages 93-112]
  • Farahzadeh Dehkordi, Hassan The Effect of Audit Quality on the Relationship of Collateral Assets with Financing and Investment [Volume 6, Issue 1, 2018, Pages 121-136]
  • Faraji malaei, Samaneh Investigating the Market Reaction to Inclusion or Exclusion of Top 50 Index List in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 33-48]
  • Farazmand, Sajad Predicting Tehran’s Stock Market Index With Adaptive Nework-Based Fuzzy Inference System (ANFIS) [Volume 1, Issue 1, 2013, Pages 27-44]
  • Farhadi, saeed The use of hybrid model Kansei-SOM in risk management and stock assessment [Volume 3, Issue 4, 2016, Pages 1-14]
  • Farhadi, Zahra Farhadi The Effect of Financial Status on Earnings Persistence, Predictability and Smoothing [Volume 5, Issue 4, 2017, Pages 89-98]
  • Farhadi Sharif Abad, Mohsen The Beta Reversal Behavior through Different Levels of Portfolio Risk in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 37-50]
  • Farid, Daryush A Study on Stock Price Informativeness Model based on the Role of Managers’ Reputation Motivation (Evidence from the Companies Listedin Tehran Stock Exchange) [Volume 8, Issue 1, 2019, Pages 123-136]
  • Farid, Daryush Predicting Financial Distress through Ranking Working Capital Management Components Using Random Forest Algorithm [Volume 13, Issue 1, 2025, Pages 27-46]
  • Farjami, Malihe The Impact of Stock Price Synchronicity and Stock Return Volatilities on the Stock Liquidity for Companies Listed in Tehran Stock Exchange [Volume 3, Issue 4, 2016, Pages 85-98]
  • Farkhonde, Mahsa Investigating the Effect of Advertisement Cost on the Financial Performance of the Firms Listed in Tehran Stock Exchange with the Mediating Role of Brand Equity [Volume 5, Issue 3, 2017, Pages 151-162]
  • Farkhondeh, Mahsa Investigating the Effect of Product Market Competition on Financial Performance by Moderating Role of Information Disclosure Quality: The Companies Listed in Tehran Stock Exchange [Volume 7, Issue 1, 2019, Pages 29-44]
  • Farkhondeh, Mahsa The Effects of Income Diversification on Market Power in the Iranian Banking System [Volume 9, Issue 3, 2021, Pages 89-104]
  • Farzadi, Saeed Investigating the Relationship between Global Development and the Level of Cash Holdings in Companies Listed in Tehran Stock Exchange Using Panel Threshold Regression [Volume 5, Issue 3, 2017, Pages 163-176]
  • Farzadi, Saeid The effect of changes in cash flows on cash Holdings regarding Financing constraint facing the companies listed in Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 21-36]
  • Farzanegan, Elham Time-varying long-term Memory in the Tehran Stock Exchange: the Generalized Hurst Exponents and the Rolling Window Approach [Volume 8, Issue 4, 2021, Pages 39-62]
  • Fathi, Saeed Determinants of Capital Structure: Meta-analysis [Volume 2, Issue 1, 2014, Pages 55-74]
  • Fathi, Saeed Identification of the Causes of Timely Availability of Working Capital Problem for Small and Medium Size Enterprises in Iran [Volume 4, Issue 3, 2016, Pages 1-16]
  • Fathi, Saied Ranking Of Selected Industries Of Tehran Stock Exchange Based On Fundamental Factors In Industry Using Data Envelopment Analysis [Volume 3, Issue 2, 2015, Pages 55-68]
  • Fattahi Nafchi, Hasan The Effect of Investor Attention on the Relationship between Idiosyncratic Volatility and Future Stock Returns [Volume 12, Issue 1, 2024, Pages 1-16]
  • Fazel Yazdi, ali Modeling and predicting the efficiency of public and private banks in Iran using an artificial neural network models, fuzzy neural networks and genetic algorithms [Volume 1, Issue 2, 2013, Pages 103-126]
  • Fendereski, Hanzaleh Forecasting Stock Index with Neural Network and Wavelet Transform [Volume 3, Issue 1, 2015, Pages 55-74]
  • Filsaraei, Mahdi The Endogenous and Exogenous Relationship between Ownership and Dividend Policy: Evidence from Tehran Stock Exchange Using OLS, PSM, GMM Estimators [Volume 7, Issue 1, 2019, Pages 63-82]
  • Foroghi, Darush The effect of changes in cash flows on cash Holdings regarding Financing constraint facing the companies listed in Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 21-36]
  • Foroghi, Darush Analysis of the Persistence of the Negative Relationship between Downside Risk and Expected Excess Returns in Future [Volume 10, Issue 1, 2022, Pages 1-24]
  • Forooghi, Daryoosh Explaining the Default Risk Premium Anomaly Using Two Beta Model [Volume 7, Issue 3, 2019, Pages 45-58]
  • Forooghi, Daryoosh Individual Investors’ Attention to Left Tail Risk [Volume 8, Issue 2, 2020, Pages 69-88]
  • Forooghi, Daryoosh Analyzing the Influence of Company's Business Strategy and Its Components as a Factor of Information Risk on Excess Stock Returns [Volume 12, Issue 4, 2024, Pages 19-38]
  • Foroughnejad, Heidar The Impact of Information Asymmetry on the Future Stock Price Crash Risk of Listed Companies in the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 39-58]
  • Foroutan, Reza Estimation of Value-at-Risk (VaR) through Filtered Historical Simulation (FHS) and Analysis of Risk Spillover in Tehran Stock Exchange (TSE): Evidence from the Groups of Chemical Products and Banks & Credit Institutions [Volume 10, Issue 2, 2022, Pages 53-80]

G

  • Gandali Alikhani, Nadiya Evaluation of Long Memory in the Volatility of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 67-82]
  • Ganji, Hamid Reza Analyzing the Sensitivity of the Bankruptcy Index to Financial Indicators in Different Stages of the Firm Life Cycle [Volume 11, Issue 1, 2023, Pages 77-100]
  • Ganji Arjenaki, Mohammad Javad Healthcare Supply Chain Financing through Public-Private Partnership: A Strategic Analysis of Drivers [Volume 11, Issue 4, 2024, Pages 29-46]
  • Ghadamyari, Mohammad A Framework for Successful Crowdfunding Campaigns: Insights from Social Media (A Systematic Review) [(Articles in Press)]
  • Ghaderi, Kaveh The Effect of Managerial Short-Termism on Cost Stickiness of Firms Listed on Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 27-44]
  • Ghaderi, Salah E Din The Effect of Managerial Short-Termism on Cost Stickiness of Firms Listed on Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 27-44]
  • Ghaemi, Mohammad Hossein Investigating the Market Reaction to Inclusion or Exclusion of Top 50 Index List in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 33-48]
  • Ghalambor, Mohammad Hosein The Relationship between Ownership Concentration and Board Structure with Working Capital Management Efficiency [Volume 2, Issue 1, 2014, Pages 113-128]
  • Ghanavati, Nasrin The Relationship between Ownership Concentration and Board Structure with Working Capital Management Efficiency [Volume 2, Issue 1, 2014, Pages 113-128]
  • Ghandehary, Najmeh Feasibility Analysis of Investment Projects with Fuzzy Data [Volume 6, Issue 2, 2018, Pages 139-158]
  • Gharahkhani, Mohsen Capital Structure Stability in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 35-56]
  • Gharkaz, Mansor The effect of changes working capital on investment opportunities [Volume 1, Issue 3, 2014, Pages 99-118]
  • GHasemian, Parisa Impact of Financial Literacy on Saving Decisions: Insight from Aseman Project Operated by Barkat Foundation [Volume 12, Issue 2, 2024, Pages 17-38]
  • Ghasemi Shams, Masoomeh Investigating the Effect of Advertisement Cost on the Financial Performance of the Firms Listed in Tehran Stock Exchange with the Mediating Role of Brand Equity [Volume 5, Issue 3, 2017, Pages 151-162]
  • Ghayour Baghbani, S. Morteza Factors Affecting the Behavior of Investors Regarding Phenomenographical Approach [Volume 5, Issue 3, 2017, Pages 57-76]
  • Ghayouri Moghaddam, Ali The Effect of Capital Structure on Profit Efficiency of Companies Listed in Automotive and Parts Manufacturing Industry of Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 91-106]
  • Ghazi Nezhad, Saeid Designing a Future Study Model: Examining Bank Employees’ Attitudes Towards Job Security in the Era of Blockchain Technology (Horizon 2031) [Volume 12, Issue 3, 2024, Pages 1-22]
  • Gheitasi, Shadi Management Forecast, Idiosyncratic Risk, and Information Environment: Evidence of Listed Companies in ‎Tehran Stock Exchange (TSE)‎ [Volume 10, Issue 1, 2022, Pages 25-46]
  • Ghobadi, Sara The Role of Financial Market Stability on Monetary Policy Transmission Mechanism in Iran: A Multivariate GARCH Approach [Volume 9, Issue 3, 2021, Pages 37-64]
  • Ghojavand, Sahar Effect of Different Levels of Liquidity Measures on the Premium Stock Returns Using the Four-Factor Model of Fama and French [Volume 1, Issue 2, 2013, Pages 69-86]
  • Ghojavand, Ziba Effect of Different Levels of Liquidity Measures on the Premium Stock Returns Using the Four-Factor Model of Fama and French [Volume 1, Issue 2, 2013, Pages 69-86]
  • Ghojavand, Ziba The Effect of Over-valuation Stock Price on Real Earnings Management in Listed Companies of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 49-66]
  • Gholami Siahbomi, Davood Impacts of Productive and Non-Productive Assets on Risk Indicators and Performance of Banks Listed on Tehran ‎Stock Exchange [Volume 10, Issue 2, 2022, Pages 1-22]
  • Gholamrezapoor, Mohammad Employee Quality and Quality Forecast Management Earnings [Volume 7, Issue 3, 2019, Pages 85-98]
  • Gholizadeh, Mohammad Hassan Employee Quality and Quality Forecast Management Earnings [Volume 7, Issue 3, 2019, Pages 85-98]
  • Gholizadeh, Mohammad Hassan The Effects of Income Diversification on Market Power in the Iranian Banking System [Volume 9, Issue 3, 2021, Pages 89-104]
  • Ghoohestani, Samaneh Investigating the Relationship between Dividend, Investment Opportunities and External Financing During Companies’ Life Cycle [Volume 4, Issue 1, 2016, Pages 37-50]
  • Ghorbani, Ramin The effect of ownership structure on the relationship between free cash flow and efficient use of assets [Volume 1, Issue 1, 2013, Pages 93-108]
  • Godazgar, Zahereh Asset Allocation Based on Cyclical Behavior of Commodities: Regime-Switching Approach [Volume 10, Issue 4, 2022, Pages 25-46]
  • Golarzi, Gholamhossein Comparing Accuracy of State Space Model and Ordinary Least Squares (OLS) in Predicting Stock Return by Fama and French Three-Factor Model in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 69-78]
  • Golbabaei Pasandi, Ali Exploring and Comparing ARMS and BSI Indices for Measuring Investor Sentiments to Predict Stock Price Trend [Volume 12, Issue 1, 2024, Pages 125-144]
  • Golkani, Mohammad Reza Calculating Real Option Value under Different Approaches in the Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 1-12]
  • Golmohammadi Shuraki, Mojtaba Investigating the Relationship between Corporate Risk-Taking and stock Liquidity with Firm Value [Volume 9, Issue 1, 2021, Pages 23-40]
  • Goodarzizadeh, Nesa Investigating the Effect of Business Cycles and Investment-Specific Technology Shocks on Stock Returns in the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 103-122]
  • Googedchian, Ahmad Effect of asset specificity on the financing method of listed companies in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 15-32]
  • Googerdchian, Ahmad The Impact of Corporate Governance System on the Unit Index of Working Capital Management Efficiency for the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 69-86]
  • Googerdchian, Ahmad Theoretical and Empirical Analysis of the Effect of Comparative Influence of Market Production on Stock Returns of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 31-44]
  • Gorgani Firozjah, Abolfazl financial consequences of the qualified audit report for the companies listed in Tehran Stock Exchange [Volume 2, Issue 4, 2015, Pages 15-34]
  • Gorji, Mahsa Explaining the Model of Bankruptcy Prediction to Identify Healthy and Risky [Volume 5, Issue 3, 2017, Pages 1-18]

H

  • Habibi, Mohammad The Effects of Income Diversification on Market Power in the Iranian Banking System [Volume 9, Issue 3, 2021, Pages 89-104]
  • Habibi, Samar Comparing Profitability of the Pair Trading Strategy in Different Asset Classes [Volume 5, Issue 4, 2017, Pages 69-88]
  • Habibi, Solmaz Determinants of Capital Structure: Meta-analysis [Volume 2, Issue 1, 2014, Pages 55-74]
  • Hadian, Reyhane Evaluation of the Effect of Investment on Future Performance Considering the Level of Firm Financial Constraint [Volume 5, Issue 3, 2017, Pages 117-132]
  • Haghighi Talab, Bahareh The Effect of Firm Financial Position and Industry Characteristics on Capital Structure Adjustment [Volume 6, Issue 4, 2019, Pages 19-42]
  • Hajeb, Hamid Reza The Effect of Capital Structure on Profit Efficiency of Companies Listed in Automotive and Parts Manufacturing Industry of Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 91-106]
  • Hajeb, Hamid Reza Investigating the Simultaneous Effect of Corporate Governance and Audit Quality on Earnings Quality with the Mediating Role of Capital Structure and Financial Performance [Volume 7, Issue 1, 2019, Pages 83-102]
  • Hajiannejad, Amin A Comparison between basic Fama and French three Factor model and basic Carhart four factors Model in Explaining the Stock return on Tehran Stock Exchange [Volume 2, Issue 3, 2014, Pages 17-28]
  • Hajiannejad, Amin The Predictive Power of Future Cash Flow by Earning and Cash Flow [Volume 9, Issue 4, 2022, Pages 1-26]
  • Hajian Nezhad, Amin Analyzing the Sensitivity of the Bankruptcy Index to Financial Indicators in Different Stages of the Firm Life Cycle [Volume 11, Issue 1, 2023, Pages 77-100]
  • Hajiha, Zohreh Relationship between Earnings Management & Earnings Forecast Error: an Emphasis on the End & Interim Financial Statements [Volume 4, Issue 2, 2016, Pages 29-48]
  • Hajiha, Zohreh The Examination of Relationship between Stock Systematic Risk and Skewness of Returns [Volume 6, Issue 1, 2018, Pages 1-10]
  • Hajiha, Zohreh The Effect of Managerial Short-Termism on Cost Stickiness of Firms Listed on Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 27-44]
  • Hajiha, Zohreh The Comparative Investigation of the Relationship between Internal and External Financial Constraints in Liquidity-Intensive Companies in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 37-50]
  • Haji Moradkhani, Hadise ProductMarket Power and Stock Market Liquidity [Volume 5, Issue 2, 2017, Pages 21-36]
  • Hamedi, Meisam Identification and Prioritization of Solutions for Restoring Investors' Confidence in the Capital Market of the Islamic Republic of Iran [Volume 12, Issue 3, 2024, Pages 41-60]
  • Hamidi, Elham Effects of Managers' Optimistic and Myopic Behavior on the Asymmetry of Cost Behavior and Various Companies’ Strategies [Volume 10, Issue 1, 2022, Pages 93-116]
  • Hamidia, Babak Designing a model of the key success factors: a case study in venture capital firms in the Islamic Republic of Iran [(Articles in Press)]
  • Hamidian, Narges The Effect of Over-valuation Stock Price on Real Earnings Management in Listed Companies of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 49-66]
  • Hamidian, Narges Analysis of Investors’ Reaction to Unexpected Earnings Under Market Uncertainty [Volume 8, Issue 1, 2019, Pages 41-56]
  • Hamidian, Narges The Effect of Investor Attention on the Relationship between Idiosyncratic Volatility and Future Stock Returns [Volume 12, Issue 1, 2024, Pages 1-16]
  • Hamidizadeh, Mohamadreza Stochastic Dominance Based On Value Premium and investors Risk aversion Behavior at TSE [Volume 1, Issue 1, 2013, Pages 45-62]
  • Hasani Alghar, Masoud The Effect of Managerial Overconfidence on Debt Maturity Structure in Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 89-106]
  • Hasan Mhejir, Jaber Examining the Influence of the Shadow Economy on the Performance of Financial Markets and the Banking Sector in BRICS Countries: A Panel SUR Approach [Volume 13, Issue 2, 2025, Pages 1-27]
  • Hasannezhad, Mohammad Investigation of the Effects of Price Limit Changes on the Intraday Volatility of Iran’s Stock Market Using Realized Variance (RV) and District Fourier Transform (DFT) [Volume 11, Issue 2, 2023, Pages 19-34]
  • Hasanzadeh, Hossein Designing a model of the key success factors: a case study in venture capital firms in the Islamic Republic of Iran [(Articles in Press)]
  • Hashemi, Abbas Effect of Different Levels of Liquidity Measures on the Premium Stock Returns Using the Four-Factor Model of Fama and French [Volume 1, Issue 2, 2013, Pages 69-86]
  • Hashemi, S. Abbas Evaluation of the Effect of Investment on Future Performance Considering the Level of Firm Financial Constraint [Volume 5, Issue 3, 2017, Pages 117-132]
  • Hashemi, Seyed Abbas Sophisticated Investors and Accruals Trading Strategy [Volume 7, Issue 4, 2019, Pages 31-48]
  • Hashemi, Seyed Abbas Analysis of Market Reaction to Risk Disclosure Factors [Volume 10, Issue 3, 2022, Pages 47-66]
  • Hashemi Dehchi, Majid The Effect of Financial Statement Comparability on Idiosyncratic Return Volatility by Emphasis on the Financial Reporting Quality [Volume 9, Issue 3, 2021, Pages 1-18]
  • Hassani, Hassan Working Capital Management, Corporate Performance and Financial Constraints: Evidence from Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 99-116]
  • Hassani, Mohammad Identifying the Effective Factors of Corporate Governance and Disclosure and Transparency in Assessing the ‎Quality of Financial Statements in Selective Iranian Banks through Fuzzy Delphi Method [Volume 10, Issue 2, 2022, Pages 23-52]
  • Hassani, Yalda Factors Affecting the Dividend Policy of Companies: A Meta-analysis Approach [Volume 12, Issue 2, 2024, Pages 1-16]
  • Hassanzadeh Baradaran, Rassoul The impact of working capital management on Listed companies profitability in business cycles based on the output gap [Volume 8, Issue 2, 2020, Pages 31-48]
  • Heidari, Hasan Extending Capital Asset Pricing Model for Industrial Portfolio in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 89-104]
  • Heidari, Hasan An Investigation of the Effect of Exchange Rate on the Pharmaceutical Industry Stock Return in Tehran Stock Exchange: An Application of the Markov Switching Approach [Volume 6, Issue 2, 2018, Pages 35-56]
  • Heidari, Hassan Effects of fiscal policies on asset prices and its uncertainty in Iran [Volume 3, Issue 1, 2015, Pages 107-130]
  • Heidari, Mahdi The Effect of Real Earnings Management and Managerial Incentives on Sticky Costs [Volume 5, Issue 1, 2017, Pages 1-16]
  • Heidari, Mehdi The Beta Reversal Behavior through Different Levels of Portfolio Risk in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 37-50]
  • Heidari, Mehdi The Impact of Conservative Accounting on the Speed of Leverage Adjustment in Response to Stock Price Crash Risk [Volume 13, Issue 1, 2025, Pages 101-120]
  • Heidarpoor, Farzaneh The Effect of Agency Cost on the Relationship between Corporate Governance and Cost of Equity Capital [Volume 6, Issue 2, 2018, Pages 85-98]
  • Heidary Soltanabadi, Hassan Theoretical and Empirical Analysis of the Effect of Comparative Influence of Market Production on Stock Returns of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 31-44]
  • Heidarzadeh, Shahin The Effect of CEO Reputation on Relationship between Agency Costs and Cumulative Abnormal Returns in Firms over (under)Investment [Volume 2, Issue 2, 2014, Pages 99-122]
  • Heidarzadeh hanzaee, Alireza The Effect of Trade Volume, Time-to-Maturity and Open Interest on the Return of Gold Coid Future Trades [Volume 7, Issue 4, 2019, Pages 49-62]
  • Hejazi, Rezvan The Effect of Disclosure Quality on the Value Relevance of Financial Statements Items [Volume 1, Issue 1, 2013, Pages 13-26]
  • Hekmati Farid, Samad Examining the Influence of the Shadow Economy on the Performance of Financial Markets and the Banking Sector in BRICS Countries: A Panel SUR Approach [Volume 13, Issue 2, 2025, Pages 1-27]
  • Hemat far, Mahmod The Effect of Investments in Intangible Assets in the Explanatory Impact of Financial Health and Agency Problems on the Market Value Company's [Volume 6, Issue 1, 2018, Pages 11-28]
  • Heshmat, Nesa Studying the Distinct Impact of Abnormal Real Operations and Real Earnings Management on the Subsequent Crash Risk in Stock Prices [Volume 7, Issue 2, 2019, Pages 81-98]
  • Heydari, Hassan Banking Sector Development, Capital Structure and Performance of Non- Financial FirmsListed in Stock Exchange [Volume 5, Issue 2, 2017, Pages 1-20]
  • Hidarpour, Ali Extending Capital Asset Pricing Model for Industrial Portfolio in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 89-104]
  • Hosayni, Seyed Rasoul The Predictive Power of Future Cash Flow by Earning and Cash Flow [Volume 9, Issue 4, 2022, Pages 1-26]
  • Hoseni, Mir Hadi Examining of financial decisions, market timing and real investment on Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 109-122]
  • Hossaini, Seyed Rasoul Analyzing the Sensitivity of the Bankruptcy Index to Financial Indicators in Different Stages of the Firm Life Cycle [Volume 11, Issue 1, 2023, Pages 77-100]
  • Hosseini, Javad The Value Content of Different Free Cash Flow Models in Tehran Stock Exchange with Emphasis on Industry Type [Volume 9, Issue 2, 2021, Pages 21-46]
  • Hosseini, Seyed Ehsan Sophisticated Investors and Accruals Trading Strategy [Volume 7, Issue 4, 2019, Pages 31-48]
  • Hosseini, Seyed Hossein Liquidity Risk Management Framework of Mutual Funds [Volume 11, Issue 1, 2023, Pages 53-76]
  • Hosseini, Seyyed Ali The Effects of Mutual Fund Attributes on Mutual Fund Performance [Volume 4, Issue 2, 2016, Pages 15-28]
  • Hosseini Rad, S. Davood The Impact of Product Market Competition on Earnings Management of the Companies Listed in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 119-134]
  • Hosseini Shakib, Mehrdad A Model for Analyzing Barriers to Production Financing in Small and Medium Enterprises (SMEs) [Volume 12, Issue 1, 2024, Pages 37-58]
  • Hossein Pour, Amir Hosein Effect of Some factors and Specifications in Mutual Funds on the Return of Them [Volume 3, Issue 2, 2015, Pages 79-96]

I

  • Imani Barandagh, Mohammad Business diversification effects on performance and value of listed companies in Tehran Stock Exchange [Volume 2, Issue 2, 2014, Pages 65-86]
  • Imany, Hamidreza Investigating the Integration beetween Asymmetric Decrease in Liquidity Trading before Earnings Announcements, The Announcement Return Premium and Profitability News Announcements Using a Simultaneous Equations System [Volume 6, Issue 4, 2019, Pages 43-56]
  • Iraji Rad, Arsalan Measuring intellectual capital and its relationship with the q Tobin ratio and systematic risk beta (study of Financial intermediation companies listed in Tehran Stock Exchange) [Volume 2, Issue 4, 2015, Pages 97-110]
  • Iskandarnejad, Somayeh The impact of working capital management on Listed companies profitability in business cycles based on the output gap [Volume 8, Issue 2, 2020, Pages 31-48]
  • Izadi, Fatemeh The Examination of Relationship between Stock Systematic Risk and Skewness of Returns Studying the Effect of Capital Structure on the Return on Assets and Economic Value Added by Attention to Intensity of Product Market Competition in the Industry (Case Study of Companies Listed in Tehran Stock Exchange) [Volume 6, Issue 1, 2018, Pages 73-88]
  • Izadi, Minoo The Effect of External Corporate Governance Mechanisms of Agency Costs on Listed Companies of the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 59-76]
  • Izadi, Minoo The Examination of Relationship between Stock Systematic Risk and Skewness of Returns Studying the Effect of Capital Structure on the Return on Assets and Economic Value Added by Attention to Intensity of Product Market Competition in the Industry (Case Study of Companies Listed in Tehran Stock Exchange) [Volume 6, Issue 1, 2018, Pages 73-88]
  • Izadinia, Naser A Comparison between basic Fama and French three Factor model and basic Carhart four factors Model in Explaining the Stock return on Tehran Stock Exchange [Volume 2, Issue 3, 2014, Pages 17-28]
  • Izadinia, Naser Asset-Liability Management of Banks Using Goal Programming Model and Fuzzy ANP (Case Study: Tejarat Bank) [Volume 5, Issue 4, 2017, Pages 155-166]
  • Izadinia, Naser Evaluating the Role of Earnings Management in Identifying Fraudulent Financial Statements in Companies Listed in Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 21-38]
  • Izadinia, Naser The Effect of Financial Statement Comparability on Idiosyncratic Return Volatility by Emphasis on the Financial Reporting Quality [Volume 9, Issue 3, 2021, Pages 1-18]
  • Izadinia, Naser Impacts of Productive and Non-Productive Assets on Risk Indicators and Performance of Banks Listed on Tehran ‎Stock Exchange [Volume 10, Issue 2, 2022, Pages 1-22]

J

  • Jafari, Alireza Analysis the effect of market anomalies and growth options on stock return [Volume 9, Issue 1, 2021, Pages 63-92]
  • Jafari, Seyed Mohammadbagher Factors Affecting the Interest of Individuals to Participate and Invest in Social Crowdfunding Projects [Volume 10, Issue 3, 2022, Pages 95-118]
  • Jafari Eskandari, Meisam Credit Risk Management of Banking Customers Using Support Vector Machine Optimized by Genetic Algorithm with Data Mining Approach [Volume 5, Issue 4, 2017, Pages 17-32]
  • Jafarimanesh, Ibrahim Design and Examination of a Model for Stabilization of Banks Based on Financial Reporting Quality [Volume 8, Issue 3, 2020, Pages 25-52]
  • Jafaripour, Meisam Adjusted Capital Asset Pricing Models (CAPMs) with Respect to the Magnet Effect Factor (MEF) Caused by the Range of Stock Price Fluctuations [Volume 9, Issue 3, 2021, Pages 65-88]
  • Jafarzadeh Afshari, Ahmad Managing Information Technology Investments with Real Options Analysis [Volume 5, Issue 2, 2017, Pages 185-200]
  • Jahandari, Fatemeh Effect of Information Genotype on Investors' Inertia [Volume 12, Issue 4, 2024, Pages 61-86]
  • Jahangiri, Shahab Investigating the Impact of Covid-19 on the Relationship between Cryptocurrencies and Oil Price Shocks Using the Non-Linear Autoregressive Distributed Lag (NARDL) Approach [Volume 10, Issue 2, 2022, Pages 121-148]
  • Jalali, Fatemeh The Role of Enterprise Risk in the Relation between the CEO's Skills and the Firm's Free Cash Flow [Volume 10, Issue 4, 2022, Pages 95-114]
  • Jalali Jalal Abadi, Mozhgan The Impact of Corporate Governance System on the Unit Index of Working Capital Management Efficiency for the Companies Listed in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 69-86]
  • Jalilvand, Abolhassan Asset Risk Behavior in Value and Growth Firms Under Stable and Adverse Market Conditions: Evidence from the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 1-24]
  • Jalilvand, Abolhassan Implementation of Organizational Risk Management; Identification, Analysis, and Evaluation (Case Study: Active Financial Institution in Iranian Capital Market) [Volume 7, Issue 2, 2019, Pages 1-24]
  • Jamshidi, Hamid Analyzing the Role of Block Trade in Generating Abnormal Returns and Impact in Idiosyncratic Volatility in Tehran Stock Exchange [Volume 8, Issue 1, 2019, Pages 1-22]
  • Jamshidi, Naser Investigating the Performance of Active and Passive Individual Investors in Tehran Stock Exchange by Using Portfolio Study and Own Benchmark Abnormal Return Approaches [Volume 7, Issue 2, 2019, Pages 25-40]
  • Jamshidi, Sajad Performance Evaluation of Iranian OTC's Companies by Using Stochastic Dominance Criteria and Optimizing with PSO and ANN Hybrid Model [Volume 6, Issue 3, 2018, Pages 15-36]
  • Javadian Langeroodi, Maryam Investigation the impact of herding behavior of fund managers on their risk taking in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 129-148]
  • Javady nia, Amir The Impacts of Non-Financial Information and Integrated Reporting Information on Decision-Making: Investment Behavior with an Empirical Approach [Volume 9, Issue 2, 2021, Pages 99-124]

K

  • Kamali, Ehsan Exploratory Analysis of the Heterogeneity in the Relationship between Information Asymmetry and the Cost of Equity Capital: A Meta-Analytic Approach [Volume 11, Issue 3, 2023, Pages 23-46]
  • Kamareh Gereh, Mojtaba The Effect of Inventory Management Efficiency and Trade Credit on the Capital Structure Stability [Volume 8, Issue 4, 2021, Pages 85-100]
  • Kamelniya, Mojtaba Market Reaction to Tangible and Intangible Information in Tehran Stock Exchange [Volume 4, Issue 1, 2016, Pages 19-36]
  • Kamyabi, Yahya The Study of the Relationship between Products Diversity Strategy and the Capital Structure Components with the Performance of the Listed Companies on Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-76]
  • Kamyabi, Yahya Investigating the Impact of Investor's Sentiment and Trading Behavior on Excess Return: Revised Fama and French Five Factor Model [Volume 7, Issue 4, 2019, Pages 97-116]
  • Kamyabi, Yahya The Impacts of Non-Financial Information and Integrated Reporting Information on Decision-Making: Investment Behavior with an Empirical Approach [Volume 9, Issue 2, 2021, Pages 99-124]
  • Karami Fakhr Abadi, Mehran Compare the short and long term return of Asle 44 initial public offering with other IPOs and market return [Volume 1, Issue 2, 2013, Pages 87-102]
  • Karimi, Asef A Framework of Crowdfunding for Startups: A Case Study of P2P Lending by Using the Meta-Synthesis Method [Volume 10, Issue 2, 2022, Pages 81-102]
  • Karimi, Farzad Estimating the return on investment opportunities in financial markets due to their interaction relation and establishing optimized portfolio by Artificial Intelligence [Volume 2, Issue 4, 2015, Pages 35-50]
  • Karnameh haghighi, Hassan Application Extreme Value Theory and long-Memory to Stock Market in Iran (In Framework Model-GARCH)‎ [Volume 6, Issue 4, 2019, Pages 135-154]
  • Kashef, Masoumeh The Effects of Mutual Fund Attributes on Mutual Fund Performance [Volume 4, Issue 2, 2016, Pages 15-28]
  • Kaspour, Saeideh Investigating the Role of Ownership Structure in the Relationship between Managers' Overconfidence and R&D ‎Expenditures in Terms of Financial Constraints [Volume 9, Issue 4, 2022, Pages 97-120]
  • Kaviani, Maryam The effect of ownership structure on the relationship between free cash flow and efficient use of assets [Volume 1, Issue 1, 2013, Pages 93-108]
  • Kazemi, Arash The Effects of COVID-19 on Financial Distress and Tax Avoidance [Volume 13, Issue 1, 2025, Pages 81-100]
  • Kazemihaji, Fahimeh The Role of Enterprise Risk in the Relation between the CEO's Skills and the Firm's Free Cash Flow [Volume 10, Issue 4, 2022, Pages 95-114]
  • Kazempour, Morteza The Study of the Relationship between Products Diversity Strategy and the Capital Structure Components with the Performance of the Listed Companies on Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-76]
  • Keshavarz, Sirous Investment Strategies Based on Technical Indicators: Evidence of Investor Behavioural Reactions [Volume 9, Issue 4, 2022, Pages 69-96]
  • Ketabi, Saeedeh Ranking Of Selected Industries Of Tehran Stock Exchange Based On Fundamental Factors In Industry Using Data Envelopment Analysis [Volume 3, Issue 2, 2015, Pages 55-68]
  • Khademi, Mahdi Investigation of the Impact of Disclosure Quality on the Relationship between free Cash Flow and Firm Value [Volume 2, Issue 2, 2014, Pages 87-98]
  • Khajavi, Shokrollah The Impact of Product Market Competition on Earnings Management of the Companies Listed in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 119-134]
  • Khajavi, Shokrollah The relation study of voluntary disclosure level and agency costs of listed companies of Tehran Stock Exchange [Volume 3, Issue 1, 2015, Pages 41-54]
  • Khajavi, Shokrollah Investigating the Impact of Corporate Governance Mechanisms on Financial Statements Fraud of the Listed Companies in Tehran Stock Exchange [Volume 6, Issue 2, 2018, Pages 71-84]
  • KHalatbari, Hassan Investigation of the Effect of Information Quality on Stock Liquidity Risk and Market Risk [Volume 6, Issue 2, 2018, Pages 15-34]
  • Khaled Azeez, Abdullah The Impact of Conservative Accounting on the Speed of Leverage Adjustment in Response to Stock Price Crash Risk [Volume 13, Issue 1, 2025, Pages 101-120]
  • Khaledi, Navid Product Market Power, Industry Structure, and Corporate Earnings Management:Evidence from Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 1-14]
  • Khalifeh, Mojtaba Simulating the effect of financial leverage model on company value via system dynamics approach (Case study: National Iranian copper industries company) [Volume 3, Issue 3, 2015, Pages 83-104]
  • Khalifeh, Mojtaba Simulation of Stock Price through Effective Internal and External Factors via System Dynamics Approach [Volume 4, Issue 4, 2017, Pages 79-98]
  • Khalifeh, Mojtaba Simulating and policy making of internal and external SMEs' financing problems via system dynamics approach [Volume 5, Issue 2, 2017, Pages 69-92]
  • Khalifeh, Mojtaba Modeling Performance of Financial System Using System Dynamics Approach: A Case Study on a Sand and Gravel Firm [Volume 6, Issue 1, 2018, Pages 51-72]
  • Khalifeh Soltani, Seyed Ahmad The Investigation of Factors Affecting the Capital Structure using the Tobit Models: An Empirical Examination of Static Trade-Off, Pecking Order and Agency Costs Theories [Volume 2, Issue 1, 2014, Pages 37-54]
  • Khalili, Karam Corporate Financing Strategies in Normal and Crisis Conditions: Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 13-30]
  • Khalili, Yassaman The Effect of Economic Policy Uncertainty on Credit Transactions and Firm Value with an Emphasis on the Role of Credit Transactions [Volume 12, Issue 1, 2024, Pages 17-36]
  • Khaliliaraghi, Maryam Application of Deep Learning Architectures in Stock Price Forecasting: A Convolutional Neural Network ‎Approach [Volume 10, Issue 3, 2022, Pages 1-20]
  • Khamseh, Abbas Designing a Forecasting Model and Evaluating the Strategic Cooperation between the Banking System and Fintech Startups using the Adaptive Neural Fuzzy Inference System (ANFIS) [Volume 12, Issue 2, 2024, Pages 59-80]
  • Khamseh, Abbas A Model for Analyzing Barriers to Production Financing in Small and Medium Enterprises (SMEs) [Volume 12, Issue 1, 2024, Pages 37-58]
  • Khani, Abdollah Examining of financial decisions, market timing and real investment on Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 109-122]
  • Khani, Abdullah Introducing and Testing Firm's Life Cycle as a New Factor in Developing Multifactor Asset Pricing Models using Spanning Regression Approach [Volume 8, Issue 3, 2020, Pages 53-84]
  • Khatami Firoozabadi, Seyed Mohammad Ali Complexity of Supply Chain As an Strategic Asset and Position of Financial Performance [Volume 6, Issue 4, 2019, Pages 57-78]
  • Khatib, Mahmud Identifying Islamic Alternatives to Short Selling in Iran’s Stock Market and Prioritizing Them Using TOPSIS [Volume 2, Issue 2, 2014, Pages 31-48]
  • Khatiri, Mohammad Impact of COVID-19 on Corporate Cash Holdings and Speed of Adjustment [Volume 12, Issue 4, 2024, Pages 39-60]
  • Khedri, Nader The Effect of Stock Returns Volatilities on Working Capital Accruals: Considering the Moderating Effect of Financial Distress [Volume 8, Issue 3, 2020, Pages 85-102]
  • Kheyrollahi, Farshid Investigating the Role of Ownership Structure in the Relationship between Managers' Overconfidence and R&D ‎Expenditures in Terms of Financial Constraints [Volume 9, Issue 4, 2022, Pages 97-120]
  • Khodadad, Vali Development of the Ohlson (1995) Prediction An Valuation Models with the Consideration of Bankruptcy Risk [Volume 5, Issue 1, 2017, Pages 99-116]
  • Khodadadi, Vali Modeling the Factors Affecting Cost of Equity Capital: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 167-184]
  • Khodadadi, Vali The Interactive Effect of Financing Constraints and Management`s Over-Confidence on Audit Fees [Volume 7, Issue 4, 2019, Pages 63-80]
  • Khodamipour, Ahmad The effect of conservatism on firms' financing methods and propensity to save cash [Volume 2, Issue 1, 2014, Pages 101-112]
  • Khodamipour, Ahmad The effect of Consumer Price Index and Operational Cycle on the Level of Cash Holding in the Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 117-128]
  • Khodapanah, Bahman A systematic review of microfinance literature (approach based on ADO-TCM framework) [(Articles in Press)]
  • Khodapanah, Masud The Effect of Government Deficit and Banking Sector Credit on the Stock Market Size:Panel VAR Model Approach [Volume 6, Issue 2, 2018, Pages 57-70]
  • Khodapanah, Masud Investigating the Effect of Business Cycles and Investment-Specific Technology Shocks on Stock Returns in the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 103-122]
  • Khodarahmi, Behrooz The Impact of Information Asymmetry on the Future Stock Price Crash Risk of Listed Companies in the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 39-58]
  • Khodaverdisamani, Maryam Effect of asset specificity on the financing method of listed companies in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 15-32]
  • Khoshnood, Mahdi Evaluation Investor's Behavior in Tehran Stock Exchange with Analytic Network process (ANP) [Volume 1, Issue 2, 2013, Pages 19-34]
  • Khosravi, Marzieh Dynamic Correlation Structure; Securities Risk and Return [Volume 7, Issue 3, 2019, Pages 1-26]
  • Kianfar, Kamran Expansion of the Markowitz Model in Portfolio Optimization Considering Realistic Constraints [Volume 11, Issue 4, 2024, Pages 65-92]
  • Kiani, Aidin Investigating the Market Reaction to Inclusion or Exclusion of Top 50 Index List in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 33-48]
  • Kiani, Gholam Hosein Evaluating the Role of Earnings Management in Identifying Fraudulent Financial Statements in Companies Listed in Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 21-38]
  • Kimiagari, Ali Mohammad Designing a New Model for Valuation of Financial Contracts based on the Investment Risk Assessment [Volume 4, Issue 4, 2017, Pages 29-44]
  • Kimiagari, Ali Mohammad An Integrated Decision Support Model For Firms' Capital Structure (Case Study: Chemical Companies In Tehran Stock Exchange) [Volume 6, Issue 1, 2018, Pages 137-158]
  • Komijani, Akbar Evaluation of Long Memory in the Volatility of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 67-82]
  • Kordestani, Gholamreza Competition between Informed Investors over Information and the Pricing of Information Asymmetry [Volume 1, Issue 2, 2013, Pages 127-144]
  • Kordestani, Gholamreza Investigating the Influence of Customer-Base Concentration on the Firm Financial Performance [Volume 2, Issue 3, 2014, Pages 81-92]
  • Kordnaeij, Asadollah Predicting Tehran’s Stock Market Index With Adaptive Nework-Based Fuzzy Inference System (ANFIS) [Volume 1, Issue 1, 2013, Pages 27-44]

L

  • Lalejini, Mohsen Explaining the Dimensions of Sentiment Management for Asset Management Services Customers Using Meta-Synthesis [Volume 11, Issue 4, 2024, Pages 1-28]
  • Lamei, Sanaz Option Pricing Error: Evidence from Nonlinear Markets based on Probabilistic Neural Networks and Multilayer Perceptron [Volume 11, Issue 4, 2024, Pages 47-64]
  • Lari Dashtbayaz, Mahmoud The Relationship between Financial Constraints, the Structure of Assets and Financing in Companies Listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 181-196]
  • Larisemnani, Behrouz Assessing the impact of investors mental status on risk taking behavior of Tehran Stock Exchange Investors [Volume 6, Issue 1, 2018, Pages 107-120]
  • Latifi, Roghaye A Comparison between the Pricing of Capped and Power Options on the Basis of Arbitrage Prevention: Evidence from a Stochastic Market with Double Stochastic Volatility, Double Jump, and a Stochastic Intensity Measure [Volume 8, Issue 2, 2020, Pages 89-103]
  • Lotfi Ghahroud, Majid The effect of Contractual Rewards on Non-Maturing Deposits and Bank Funding Stability (Case Study: Bank Mellat) [Volume 7, Issue 1, 2019, Pages 45-62]

M

  • Maddadian Moez, Reza The Effect of Inventory Management Efficiency and Trade Credit on the Capital Structure Stability [Volume 8, Issue 4, 2021, Pages 85-100]
  • Mafakheri Bashmagh, Sarina The Relationship between Corporate Social Responsibility (CSR) Reporting and Financing (Bank Loans and Debt Securities) [Volume 12, Issue 3, 2024, Pages 103-118]
  • Mahdavi, Gholamhosein Audit Quality and Financial Constraints [Volume 6, Issue 3, 2018, Pages 117-132]
  • Mahfoozi, Gholamreza Investigating the Relationship between Stock Price Synchronicity and Return Distribution [Volume 6, Issue 3, 2018, Pages 51-66]
  • Mahmoudiazar, Keivan Designing a New Model for Valuation of Financial Contracts based on the Investment Risk Assessment [Volume 4, Issue 4, 2017, Pages 29-44]
  • Mahmoudiazar, Meysam Prediction of Stock Market Returns with out of Sample Data: Evaluating out of Sample Methods (Regression Method and Wavelet Neural Network) [Volume 2, Issue 2, 2014, Pages 1-16]
  • Mahmoudi Meymand, Mohammad Designing a Future Study Model: Examining Bank Employees’ Attitudes Towards Job Security in the Era of Blockchain Technology (Horizon 2031) [Volume 12, Issue 3, 2024, Pages 1-22]
  • Majid Akaleh, Ali The Mediating Role of Cash Flow Statement Indicators in the Relationship between Stock Mispricing and Corporate Cash Holding [Volume 12, Issue 3, 2024, Pages 85-102]
  • Maleki, Bahareh Modeling Performance of Financial System Using System Dynamics Approach: A Case Study on a Sand and Gravel Firm [Volume 6, Issue 1, 2018, Pages 51-72]
  • Maleki, Mohammad Hasan The Relationship between Corporate Governance and Economic Value Added in The Iranian Manufacturing Enterprises (Listed in Tehran Stock Exchange) [Volume 2, Issue 4, 2015, Pages 75-96]
  • Mansoulakoraj, Roya The Study of the Relationship between Products Diversity Strategy and the Capital Structure Components with the Performance of the Listed Companies on Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 65-76]
  • Mansourfar, Gholamreza Comparison of the behavior of International optimized portfolios based on Constant and Dynamic Conditional Correlation approaches [Volume 1, Issue 1, 2013, Pages 75-92]
  • Mansourfar, Gholamreza The Effect of Real Earnings Management and Managerial Incentives on Sticky Costs [Volume 5, Issue 1, 2017, Pages 1-16]
  • Mansourfar, Gholamreza The Beta Reversal Behavior through Different Levels of Portfolio Risk in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 37-50]
  • Mansourfar, Gholamreza The Mediating Role of Cash Flow Statement Indicators in the Relationship between Stock Mispricing and Corporate Cash Holding [Volume 12, Issue 3, 2024, Pages 85-102]
  • Mansouri, Kefsan Managers’ Overconfidence and Cash Holdings Speed of Adjustment [Volume 9, Issue 4, 2022, Pages 27-48]
  • Marfu, Mohammad Reduction of Liquidity Proxies by Using Principal Component Analysis in Tehran Capital Markets [Volume 10, Issue 4, 2022, Pages 47-66]
  • Marvi, Fereshte The Relation of Risk-Adjusted Excess Return with Liquidity and Liquidity Risk (Companies Listed in Tehran Stock Exchange) [Volume 4, Issue 3, 2016, Pages 77-90]
  • Mashayekh, Shahnaz The Effect of Financial Status on Earnings Persistence, Predictability and Smoothing [Volume 5, Issue 4, 2017, Pages 89-98]
  • Mashayekh, Shahnaz Investigating the Factors Affecting the Value of Cash held in the Companies Listed in Tehran Stock Exchange under Conditions of Uncertainty [Volume 9, Issue 2, 2021, Pages 125-148]
  • Matinfard, Mehran Identifying the Effective Factors of Corporate Governance and Disclosure and Transparency in Assessing the ‎Quality of Financial Statements in Selective Iranian Banks through Fuzzy Delphi Method [Volume 10, Issue 2, 2022, Pages 23-52]
  • Mazaheri, Esmaeel Adjusted Capital Asset Pricing Models (CAPMs) with Respect to the Magnet Effect Factor (MEF) Caused by the Range of Stock Price Fluctuations [Volume 9, Issue 3, 2021, Pages 65-88]
  • Mazaheri, Esmaeel Analyzing Company’s Internal and External Factors Influencing the Financing Model through Structural Equation Modeling (SEM) [Volume 12, Issue 4, 2024, Pages 87-120]
  • Mazroui Nasrabadi, Esmaeil Healthcare Supply Chain Financing through Public-Private Partnership: A Strategic Analysis of Drivers [Volume 11, Issue 4, 2024, Pages 29-46]
  • Mehrabanpour, Mohammadreza Analyzing the Role of Block Trade in Generating Abnormal Returns and Impact in Idiosyncratic Volatility in Tehran Stock Exchange [Volume 8, Issue 1, 2019, Pages 1-22]
  • Mehrara, Mohsen The effect of Contractual Rewards on Non-Maturing Deposits and Bank Funding Stability (Case Study: Bank Mellat) [Volume 7, Issue 1, 2019, Pages 45-62]
  • Mehregan, Nader The Dynamic Model of Valuation for the Bank Stocks (Case Study of Banks of Mellat, Tejarat, Eghtesad-e-Novin, and Karafarin) [Volume 7, Issue 1, 2019, Pages 113-134]
  • Meshki Miavaghi, Mehdi Increasing Dividend Policy Outcomes in Terms of Financial Constraints and Competition [Volume 5, Issue 3, 2017, Pages 19-34]
  • Mhoseynabadi, Mohammad Evaluation of the Profitability of Momentum and Reversal Strategies of Industry in the Capital Market of Iran [Volume 9, Issue 1, 2021, Pages 93-112]
  • Miisavian Khalil Abad, Hamid Reza Competition between Informed Investors over Information and the Pricing of Information Asymmetry [Volume 1, Issue 2, 2013, Pages 127-144]
  • MirAskari, Seyed Reza Investigating the Relationship between Stock Price Synchronicity and Return Distribution [Volume 6, Issue 3, 2018, Pages 51-66]
  • Mirlohi, Seyed Mojtaba The effect of Contractual Rewards on Non-Maturing Deposits and Bank Funding Stability (Case Study: Bank Mellat) [Volume 7, Issue 1, 2019, Pages 45-62]
  • Mirlohi, Seyed Mojtaba Calculating Real Option Value under Different Approaches in the Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 1-12]
  • Mirzad, Negar The Study of long-Term Memory in Dynamic Volatility Relationship between Stock Returns and Exchange Rates [Volume 6, Issue 3, 2018, Pages 147-164]
  • Mirzadeh, Fatemeh The Effect of Trade Volume, Time-to-Maturity and Open Interest on the Return of Gold Coid Future Trades [Volume 7, Issue 4, 2019, Pages 49-62]
  • Mirzaee, Majid Estimation of Value-at-Risk (VaR) through Filtered Historical Simulation (FHS) and Analysis of Risk Spillover in Tehran Stock Exchange (TSE): Evidence from the Groups of Chemical Products and Banks & Credit Institutions [Volume 10, Issue 2, 2022, Pages 53-80]
  • Mirzaei, Hamid Reza Predicting Financial Distress through Ranking Working Capital Management Components Using Random Forest Algorithm [Volume 13, Issue 1, 2025, Pages 27-46]
  • Mirzaei, Leila A Survey of Factors Affecting Financing of Small and Medium-Sized Businesses in the Tehran Stock Exchange (TSE) [Volume 11, Issue 2, 2023, Pages 95-114]
  • Mirzaei, Sajjad Comparing the Efficiency of Statistical Models and Machine-Learning Models and Choosing the Optimal Model for Predicting Net Profit and Operating Cash Flows [Volume 11, Issue 2, 2023, Pages 53-74]
  • Mirzaie, Fatemeh The Relation between Market Competition and Dividend Policies [Volume 4, Issue 4, 2017, Pages 45-60]
  • Mirzaie, Mahdi Introducing and Testing Firm's Life Cycle as a New Factor in Developing Multifactor Asset Pricing Models using Spanning Regression Approach [Volume 8, Issue 3, 2020, Pages 53-84]
  • Mirzamohammadi, Saeed Assessing the Impact of Financial Performance and Privatization on the Technical Efficiency of Transferred Firms in the Stock Exchange [Volume 2, Issue 3, 2014, Pages 93-108]
  • Moayedfar, Rosita Impacts of Productive and Non-Productive Assets on Risk Indicators and Performance of Banks Listed on Tehran ‎Stock Exchange [Volume 10, Issue 2, 2022, Pages 1-22]
  • Moghadam, VAhid Impact of Financial Literacy on Saving Decisions: Insight from Aseman Project Operated by Barkat Foundation [Volume 12, Issue 2, 2024, Pages 17-38]
  • Moghbel, Abbas Identification and Analysis of Operational Risks: A Fuzzy Cognitive Map Approach [Volume 6, Issue 4, 2019, Pages 1-18]
  • Mohaghegh Nia, Mohammad Javad Identifying Islamic Alternatives to Short Selling in Iran’s Stock Market and Prioritizing Them Using TOPSIS [Volume 2, Issue 2, 2014, Pages 31-48]
  • Mohamadi Chamkhani, Zohreh The Comparative Investigation of the Relationship between Internal and External Financial Constraints in Liquidity-Intensive Companies in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 37-50]
  • Mohamadzadeh, Amir The Moderating Role of Firm’s Size and Age in the Relationship of Managerial Ownership with Liquidity and ‎Investment Constraints ‎ [Volume 10, Issue 4, 2022, Pages 1-24]
  • Mohammad Ali, Marzieh Evaluating Market Timing Ability of Mutual Fund Managers Based on Conditional and Unconditional Approaches [Volume 5, Issue 1, 2017, Pages 45-60]
  • Mohammadi, Esfandyar Examining the relationship between corporate transparency and financial constraints of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 217-232]
  • Mohammadi, Esfandyar Corporate Financing Strategies in Normal and Crisis Conditions: Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 13-30]
  • Mohammadi, Mahdi Barriers of Public Sector Financing for Construction Projects in Isfahan Province Using a Multi-Criteria Approach [Volume 8, Issue 4, 2021, Pages 101-116]
  • Mohammadi, Mahdi The Effect of Economic Policy Uncertainty on Credit Transactions and Firm Value with an Emphasis on the Role of Credit Transactions [Volume 12, Issue 1, 2024, Pages 17-36]
  • Mohammadi, Mirsaeed Comparison of the behavior of International optimized portfolios based on Constant and Dynamic Conditional Correlation approaches [Volume 1, Issue 1, 2013, Pages 75-92]
  • Mohammadi, Mohammad On the Effect of Sector Funds Investing Level in Industries on Customers Risk [Volume 1, Issue 3, 2014, Pages 67-80]
  • Mohammadi, Reza The Role of Market Capitalization in the Relationship Between ROA, ROE and Stock Prices in Tehran Stock Exchange [Volume 7, Issue 4, 2019, Pages 17-30]
  • Mohammadi, Shapoor Development of the Model of Factors Affecting Stock Returns [Volume 10, Issue 3, 2022, Pages 119-142]
  • Mohammadi, Shapour Forecasting Stock Index with Neural Network and Wavelet Transform [Volume 3, Issue 1, 2015, Pages 55-74]
  • Mohammadi, Shapour Dynamics of the Relation between Macroeconomic Variables and Stock Market Index [Volume 5, Issue 1, 2017, Pages 61-82]
  • Mohammadi-nodooshan, Alireza A Firms' Bankruptcy Prediction Model Based on Selected Industries by Using Decision Trees Model [Volume 6, Issue 2, 2018, Pages 121-138]
  • Mohammadi Zanjbarani, Daryoosh An investigation of the intellectual capital effects on relative efficiency [Volume 2, Issue 4, 2015, Pages 51-74]
  • Mohammadnejad, Alireza Investigation the impact of herding behavior of fund managers on their risk taking in Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 129-148]
  • Mohammady, Ahmad The Value Content of Different Free Cash Flow Models in Tehran Stock Exchange with Emphasis on Industry Type [Volume 9, Issue 2, 2021, Pages 21-46]
  • Mohammadzadeh, Yousef An Investigation of the Effect of Exchange Rate on the Pharmaceutical Industry Stock Return in Tehran Stock Exchange: An Application of the Markov Switching Approach [Volume 6, Issue 2, 2018, Pages 35-56]
  • Mohammad Zadeh, Yousef Examining the Influence of the Shadow Economy on the Performance of Financial Markets and the Banking Sector in BRICS Countries: A Panel SUR Approach [Volume 13, Issue 2, 2025, Pages 1-27]
  • Moheby, Reza Modeling and predicting the efficiency of public and private banks in Iran using an artificial neural network models, fuzzy neural networks and genetic algorithms [Volume 1, Issue 2, 2013, Pages 103-126]
  • Mohsenifard, Golamali The Impact of Product Market Competition on Earnings Management of the Companies Listed in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 119-134]
  • Mohseni Kolagar, Zahra Influence of Investors' Sentiment on Bitcoin Returns [Volume 12, Issue 3, 2024, Pages 61-84]
  • Mohseni Maleki, Bahram The Impacts of Non-Financial Information and Integrated Reporting Information on Decision-Making: Investment Behavior with an Empirical Approach [Volume 9, Issue 2, 2021, Pages 99-124]
  • Mojtahedzadeh, Vida The Effect of Disclosure Quality on the Value Relevance of Financial Statements Items [Volume 1, Issue 1, 2013, Pages 13-26]
  • Mokhtarband, Mahmood Impact of Sanction Shock on Iran's Stock Market Index [Volume 12, Issue 2, 2024, Pages 113-126]
  • Molaei, Saber Investigating the Relationship between Global Development and the Level of Cash Holdings in Companies Listed in Tehran Stock Exchange Using Panel Threshold Regression [Volume 5, Issue 3, 2017, Pages 163-176]
  • Molaeinejad, Mahdi Effect of Some factors and Specifications in Mutual Funds on the Return of Them [Volume 3, Issue 2, 2015, Pages 79-96]
  • Momenzadeh, Mohammad Mehdi Measuring the Volatility Persistence of the Tehran Stock Exchange using Stochastic Volatility Models with Jump in Return [Volume 11, Issue 4, 2024, Pages 121-140]
  • Montasheri, Majid Establishment of a Non-Linear Financial Network Based on its Typological Characteristics Based on Graph Theory (A Study in Tehran Stock Exchange) [Volume 9, Issue 1, 2021, Pages 1-22]
  • Montashery, Majid A Study on Stock Price Informativeness Model based on the Role of Managers’ Reputation Motivation (Evidence from the Companies Listedin Tehran Stock Exchange) [Volume 8, Issue 1, 2019, Pages 123-136]
  • Moosavi, Soha Investigating the Factors Influencing on the Stock Market Risk with the Emphasis on Financial Globalization in Dynamic Behavior of Stock Market [Volume 4, Issue 1, 2016, Pages 87-100]
  • Moradi, Javad Investigation of the Impact of Disclosure Quality on the Relationship between free Cash Flow and Firm Value [Volume 2, Issue 2, 2014, Pages 87-98]
  • Moradi, Mohammad Ail The relationship between working capital management and criterions for value-based performance of the companies listed in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 97-114]
  • Moradi, Zahra Analyzing the Influence of Company's Business Strategy and Its Components as a Factor of Information Risk on Excess Stock Returns [Volume 12, Issue 4, 2024, Pages 19-38]
  • Moradi joz, Mohsen Product Market Power, Industry Structure, and Corporate Earnings Management:Evidence from Tehran Stock Exchange [Volume 4, Issue 2, 2016, Pages 1-14]
  • Moradzadehfard, Mahdi Effect of Some factors and Specifications in Mutual Funds on the Return of Them [Volume 3, Issue 2, 2015, Pages 79-96]
  • Mosavian, Abbas Investigating the Relationship between Liquidity Risk, Asset Quality, and Financing in Islamic and Conventional Banking Systems, Using PCSE and FGLS Models [Volume 7, Issue 2, 2019, Pages 99-118]
  • Moshabaki, Asghar Predicting Tehran’s Stock Market Index With Adaptive Nework-Based Fuzzy Inference System (ANFIS) [Volume 1, Issue 1, 2013, Pages 27-44]
  • Moshtaghi, Yousef A Hybrid Approach for Economic Value Added and Dividends in Portfolio Optimization Using Goal Programming [Volume 6, Issue 2, 2018, Pages 1-14]
  • Mosleh Shirazi, Alinaghi Simulating and policy making of internal and external SMEs' financing problems via system dynamics approach [Volume 5, Issue 2, 2017, Pages 69-92]
  • Mosleh Shirazi, Alinaghi Modeling Performance of Financial System Using System Dynamics Approach: A Case Study on a Sand and Gravel Firm [Volume 6, Issue 1, 2018, Pages 51-72]
  • Mostafaee, Khadije Identification and Analysis of Operational Risks: A Fuzzy Cognitive Map Approach [Volume 6, Issue 4, 2019, Pages 1-18]
  • Mostafaei, Mohammad The Role of Corporate Governance in the Relation between Tax Avoidance and Managerial Empire Building [Volume 11, Issue 3, 2023, Pages 95-112]
  • Motiei, Mohsen Legal-Jurisdictional Barriers to Financing Technological Entrepreneurship with an Institutional Approach: A Mixed Method Study [Volume 10, Issue 4, 2022, Pages 67-94]
  • Mousavi Haghighi, Mohammad Hashem Simulating the effect of financial leverage model on company value via system dynamics approach (Case study: National Iranian copper industries company) [Volume 3, Issue 3, 2015, Pages 83-104]
  • Mousavi Haghighi, Mohammad Hashem Simulation of Stock Price through Effective Internal and External Factors via System Dynamics Approach [Volume 4, Issue 4, 2017, Pages 79-98]
  • Mousavi SHiri, Mahmoud Investigation of the Effect of Information Quality on Stock Liquidity Risk and Market Risk [Volume 6, Issue 2, 2018, Pages 15-34]
  • Movahed, Marziyeh Investigation of the Impact of Product Market Competition on Dividend Policies [Volume 1, Issue 2, 2013, Pages 1-18]
  • Mozayani, Amir Hossein A Pattern for Iron Ore Mines Financing [Volume 12, Issue 2, 2024, Pages 81-112]
  • Mtofares, Zeinab Theoretical and Empirical Analysis of the Effect of Comparative Influence of Market Production on Stock Returns of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 31-44]
  • M. Zonouzi, S. Jamaledin Effects of fiscal policies on asset prices and its uncertainty in Iran [Volume 3, Issue 1, 2015, Pages 107-130]

N

  • Nabavi, Mojtaba An Integrated Decision Support Model For Firms' Capital Structure (Case Study: Chemical Companies In Tehran Stock Exchange) [Volume 6, Issue 1, 2018, Pages 137-158]
  • Nabizade, Ahmad Factors Affecting Credit Risk of Commercial Banks of Iran with Emphasis on Banking and Macroeconomic Specific Factors [Volume 6, Issue 4, 2019, Pages 79-92]
  • Naderi, Ali The Effects of COVID-19 on Financial Distress and Tax Avoidance [Volume 13, Issue 1, 2025, Pages 81-100]
  • Naderi, Esmaeil Evaluation of Long Memory in the Volatility of Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 67-82]
  • Naderi, Hamed Applying the Meta-Synthesis Method in Banking Operational Risk Management Methodology [Volume 10, Issue 4, 2022, Pages 115-132]
  • Naderi, Maryam Investigating the Relationship between Managerial Optimism and Earnings Smoothing in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 77-88]
  • Naderi Nooreini, Mohammad Mehdi The Best Methodology of Estimation of Value-at-Risk in Iranian Mutual Funds [Volume 6, Issue 1, 2018, Pages 159-180]
  • Nadiri, Mohammad Investigating the Relationship between Liquidity Risk, Asset Quality, and Financing in Islamic and Conventional Banking Systems, Using PCSE and FGLS Models [Volume 7, Issue 2, 2019, Pages 99-118]
  • Najjar, Mostafa The relationship between working capital management and criterions for value-based performance of the companies listed in Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 97-114]
  • Namaki, Ali Decomposition of Systemic Risk and Analysis of the Relationships of Its Dimensions with the Characteristics and Financial Performance of the Banks Listed in Tehran Stock Exchange (TSE) [Volume 11, Issue 1, 2023, Pages 1-28]
  • Namaki, Ali A Novel Approach to Predicting Financial Distress by Using Financial Network-Based Information and the Integrated Method of Gradient Boosting Decision Tree [Volume 11, Issue 3, 2023, Pages 113-140]
  • Namazi, Mohammad The effect of Intangible Assets on the Firm’s Financial Performance and Mediating Role of the Cost Stickiness in Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 47-76]
  • Nasehifar, Vahid Explaining the Dimensions of Sentiment Management for Asset Management Services Customers Using Meta-Synthesis [Volume 11, Issue 4, 2024, Pages 1-28]
  • Nasehpoor, Farzad Exploratory Analysis of the Heterogeneity in the Relationship between Information Asymmetry and the Cost of Equity Capital: A Meta-Analytic Approach [Volume 11, Issue 3, 2023, Pages 23-46]
  • Naserpoor, Alireza Margin Setting to Short and Long Futures Contract Positions by Coherent Risk Measures [Volume 6, Issue 3, 2018, Pages 1-14]
  • Nasiri, Seyedeh Zahra Investigating the Impact of Investor's Sentiment and Trading Behavior on Excess Return: Revised Fama and French Five Factor Model [Volume 7, Issue 4, 2019, Pages 97-116]
  • Nasrollahi, Zahra The Relationship between Corruption, Corporate Governance, and Firm Financial Return at the Provincial Level [Volume 10, Issue 2, 2022, Pages 103-120]
  • Nazari, Seed Morteza Identifying Production Financing with Emphasis on the Debt Market in Iran [Volume 11, Issue 4, 2024, Pages 93-120]
  • Nazari Tajar, Mahmoud The Effect of Agency Cost on the Relationship between Corporate Governance and Cost of Equity Capital [Volume 6, Issue 2, 2018, Pages 85-98]
  • Nazemi Ardakani, Mahdi A Firms' Bankruptcy Prediction Model Based on Selected Industries by Using Decision Trees Model [Volume 6, Issue 2, 2018, Pages 121-138]
  • Neamatolahi, Zaeimeh An investigation of the intellectual capital effects on relative efficiency [Volume 2, Issue 4, 2015, Pages 51-74]
  • Nikbakht, Zahra Managers’ Overconfidence and Cash Holdings Speed of Adjustment [Volume 9, Issue 4, 2022, Pages 27-48]
  • Nikkar, Javad Nikkar The Effect of Investments in Intangible Assets in the Explanatory Impact of Financial Health and Agency Problems on the Market Value Company's [Volume 6, Issue 1, 2018, Pages 11-28]
  • Nik Kar, Javad Effects of Managers' Optimistic and Myopic Behavior on the Asymmetry of Cost Behavior and Various Companies’ Strategies [Volume 10, Issue 1, 2022, Pages 93-116]
  • NikooMaram, Hashem The Effect of Average of the Stock return, Expected Growth, Profitability and Asset Structure of Peer Firms on Investment Management Strategy Using Markov chain Monte Carlo Simulation and Hierarchical Bayes [Volume 7, Issue 2, 2019, Pages 41-58]
  • Nikpey Pesyan, Vahid Investigating the Impact of Covid-19 on the Relationship between Cryptocurrencies and Oil Price Shocks Using the Non-Linear Autoregressive Distributed Lag (NARDL) Approach [Volume 10, Issue 2, 2022, Pages 121-148]
  • Nikpey Pesyan, Vahid Investigating the Causal Relationship Between Stocks’ Initial Public Offerings and Macroeconomic Variables [Volume 11, Issue 2, 2023, Pages 35-52]
  • Nilchi, Moslem Measuring the Volatility Persistence of the Tehran Stock Exchange using Stochastic Volatility Models with Jump in Return [Volume 11, Issue 4, 2024, Pages 121-140]
  • Noorbakhsh, Asgar The influencing factors on capital budgeting techniques selection in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 1-12]
  • Noorbakhsh, Asgar Decision Making Model under Uncertain and Risky Situations Based on Dynamic Reference Point: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 51-68]
  • Noori, Roohallah Identification of the Causes of Timely Availability of Working Capital Problem for Small and Medium Size Enterprises in Iran [Volume 4, Issue 3, 2016, Pages 1-16]
  • Noori, Roohallah Investigating the Impact of Implementing XBRL on the Financial Analysts` Behavior in Iran Using Structural Equations Modeling [Volume 6, Issue 2, 2018, Pages 99-120]
  • Norozi, Mohammad Investigate the Relationship between Working Capital Management and Agency Costs [Volume 2, Issue 2, 2014, Pages 17-30]
  • Nourahmadi, Marziyeh Stress Testing as a Key Tool for Financial Assets Risk Management with Emphasis on Extreme Value Theory and Copula Functions [Volume 6, Issue 3, 2018, Pages 67-86]
  • Nouri, Mansour A Model for Analyzing Barriers to Production Financing in Small and Medium Enterprises (SMEs) [Volume 12, Issue 1, 2024, Pages 37-58]

O

  • Olfat, Laya Complexity of Supply Chain As an Strategic Asset and Position of Financial Performance [Volume 6, Issue 4, 2019, Pages 57-78]
  • Onsori, Arash Designing a Forecasting Model and Evaluating the Strategic Cooperation between the Banking System and Fintech Startups using the Adaptive Neural Fuzzy Inference System (ANFIS) [Volume 12, Issue 2, 2024, Pages 59-80]
  • Oryaie, Zahra The Effects of COVID-19 on Financial Distress and Tax Avoidance [Volume 13, Issue 1, 2025, Pages 81-100]
  • Osoolian, Mohammad Tests of Multiple Explosive Bubbles Behavior in Tehran Stock Exchange and Real State Market in Iran [Volume 5, Issue 4, 2017, Pages 129-142]
  • Osoolian, Mohammad Behavioral Bias, Abnormal Volume, and Abnormal Return [Volume 7, Issue 4, 2019, Pages 81-96]
  • Osoolian, Mohammad Management Forecast, Idiosyncratic Risk, and Information Environment: Evidence of Listed Companies in ‎Tehran Stock Exchange (TSE)‎ [Volume 10, Issue 1, 2022, Pages 25-46]

P

  • Pakizeh, Kamran The impact Stock market misvaluation on firm’s investment decisions [Volume 1, Issue 3, 2014, Pages 81-98]
  • Pakizeh, Kamran Comparing Profitability of the Pair Trading Strategy in Different Asset Classes [Volume 5, Issue 4, 2017, Pages 69-88]
  • Pakmaram, Asgar The Effect of the Operating Cash Flows on Abnormal Accruals in the Companies Listed in the Tehran Stock Exchange (with Emphasis on the Industry Type) [Volume 7, Issue 3, 2019, Pages 99-12]
  • Pakzat, Seyed Mahdi Oil futures contracts, obligation to selling or to daily settlement? [Volume 6, Issue 1, 2018, Pages 197-216]
  • Papaei, S. Sajad Micro and Macro Herding by Investors and Their Effects on Market Volatility [Volume 5, Issue 2, 2017, Pages 149-166]
  • Peymanifurushani, Moslem Liquidity Risk Management Framework of Mutual Funds [Volume 11, Issue 1, 2023, Pages 53-76]
  • Peymanifurushani, Moslem A Pattern for Iron Ore Mines Financing [Volume 12, Issue 2, 2024, Pages 81-112]
  • Poordadash Mehrabani, Nazila Surveying the Relation among Volume, Stock Return and Return Volatility in the Tehran Stock Exchange: A Wavelet Analysis [Volume 4, Issue 4, 2017, Pages 99-114]
  • Poorhossein, Somayeh Checking conformity of Tehran Stock Exchange Data with Benford’s Law [Volume 7, Issue 1, 2019, Pages 103-112]
  • Poorzamani, Zahra Investigation of impact of after-market liquidity on IPO price in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 63-74]
  • Poor Zanjani, Pegah Factors Affecting the Interest of Individuals to Participate and Invest in Social Crowdfunding Projects [Volume 10, Issue 3, 2022, Pages 95-118]
  • Pourmohammadi, Parisa The Relationship of Weather and Returns and Trading Activities: Evidence from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 201-220]

R

  • Raeesi Vanani, Iman Application of Deep Learning Architectures in Stock Price Forecasting: A Convolutional Neural Network ‎Approach [Volume 10, Issue 3, 2022, Pages 1-20]
  • Raei, Reza The influencing factors on capital budgeting techniques selection in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 1-12]
  • Raei, Reza Prediction of Stock Market Returns with out of Sample Data: Evaluating out of Sample Methods (Regression Method and Wavelet Neural Network) [Volume 2, Issue 2, 2014, Pages 1-16]
  • Raei, Reza Forecasting Stock Index with Neural Network and Wavelet Transform [Volume 3, Issue 1, 2015, Pages 55-74]
  • Raei, Reza Artificial Neural Networks versus OLS Regression Models Using Principal Components Analysis in Forecasting Unexpected Returns [Volume 4, Issue 1, 2016, Pages 1-18]
  • Raei, Reza Examining the Efficiency of Portfolio Optimization using Model of Minimum-Variance and N/1 in Portfolio Selection [Volume 6, Issue 4, 2019, Pages 155-166]
  • Raei, Reza Decomposition of Systemic Risk and Analysis of the Relationships of Its Dimensions with the Characteristics and Financial Performance of the Banks Listed in Tehran Stock Exchange (TSE) [Volume 11, Issue 1, 2023, Pages 1-28]
  • Raei, Reza Development of the Model of Factors Affecting Stock Returns [Volume 10, Issue 3, 2022, Pages 119-142]
  • Raei Ezabadi, Mohammad Ebrahim The Effect of Inflation Rate on Financing of Company listed in Tehran Security Exchange (Debt Financing and Equity Financing) [Volume 1, Issue 2, 2013, Pages 51-68]
  • Rafei, Meysam Modeling Value at Risk of Futures Contract of Bahar Azadi Gold Coin with Considering the Historical Memory in Observations Application of FIAPARCH-CHUNG Models [Volume 8, Issue 1, 2019, Pages 57-82]
  • Rahimi Almasi, Fereshteh Rules and Regulations of Financing Infrastructure Road Transport Projects through the Capital Market of Iran [Volume 7, Issue 1, 2019, Pages 1-28]
  • Rahimian, Farinaz The Role of Financial Market Stability on Monetary Policy Transmission Mechanism in Iran: A Multivariate GARCH Approach [Volume 9, Issue 3, 2021, Pages 37-64]
  • Rahimian, Nezamoddin The Effect of Managerial Overconfidence on Debt Maturity Structure in Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 89-106]
  • Rahimi Baghi, Ali Assessing the Systemic Risk in the Financial Sub-Systems of Iran, using Nonlinear Granger Method [Volume 7, Issue 2, 2019, Pages 59-80]
  • Rahmani, Ali Anatomy of Asset Growth Anomaly Evidence from Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 1-14]
  • Rahmani, Ali The Effects of Mutual Fund Attributes on Mutual Fund Performance [Volume 4, Issue 2, 2016, Pages 15-28]
  • Rahmani, Ali ProductMarket Power and Stock Market Liquidity [Volume 5, Issue 2, 2017, Pages 21-36]
  • Rahmani, Fatemeh The Relationship between Ownership Concentration and Board Structure with Working Capital Management Efficiency [Volume 2, Issue 1, 2014, Pages 113-128]
  • Rahmaniani, Milad Implementation of Organizational Risk Management; Identification, Analysis, and Evaluation (Case Study: Active Financial Institution in Iranian Capital Market) [Volume 7, Issue 2, 2019, Pages 1-24]
  • Rahmani Noroozabad, Saman Corporate Financing Strategies in Normal and Crisis Conditions: Evidence from Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 13-30]
  • Rahnama Falavarjani, Roohollah Prediction of TSE Companies Investment Behaviour Using Neural Networks [Volume 2, Issue 3, 2014, Pages 63-80]
  • Rahnama rood poshti, Fraydoon Investigation of impact of after-market liquidity on IPO price in Tehran Stock Exchange [Volume 1, Issue 1, 2013, Pages 63-74]
  • Rahnamaye Roodposhti, Fereidoun Rating Tehran Stock Exchange Industries Based on Risk Criteria from the Perspective of Institutional Investors: A Data Envelopment Analysis Approach [Volume 4, Issue 2, 2016, Pages 49-64]
  • Rahrovi Dastjerdi, Alireza Analyzing the Influence of Company's Business Strategy and Its Components as a Factor of Information Risk on Excess Stock Returns [Volume 12, Issue 4, 2024, Pages 19-38]
  • Rajabi, Azim An Anatomic Study of the Relationship between Stock Return and Idiosyncratic Volatility Evidences from Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 37-48]
  • RakiKianpour, Samere Modeling the Dynamic Financial Condition Index (FCI) and Assessing Its Effectiveness in Predicting Iran’s Stock ‎Returns [Volume 10, Issue 1, 2022, Pages 47-72]
  • Ramazan Ahmadi, Mohammad Investigating the Simultaneous Effect of Corporate Governance and Audit Quality on Earnings Quality with the Mediating Role of Capital Structure and Financial Performance [Volume 7, Issue 1, 2019, Pages 83-102]
  • Rameshg, Mahdi Measuring systemic risk in the financial institution via dynamic conditional correlation and delta conditional value at risk mode and bank rating [Volume 7, Issue 4, 2019, Pages 1-16]
  • Ramezan Ahmadi, Mohammad Adjusted Capital Asset Pricing Models (CAPMs) with Respect to the Magnet Effect Factor (MEF) Caused by the Range of Stock Price Fluctuations [Volume 9, Issue 3, 2021, Pages 65-88]
  • Ramezanian, Reza Estimation of Value-at-Risk (VaR) through Filtered Historical Simulation (FHS) and Analysis of Risk Spillover in Tehran Stock Exchange (TSE): Evidence from the Groups of Chemical Products and Banks & Credit Institutions [Volume 10, Issue 2, 2022, Pages 53-80]
  • Ramezani Moghadam, Amir Modeling Performance of Financial System Using System Dynamics Approach: A Case Study on a Sand and Gravel Firm [Volume 6, Issue 1, 2018, Pages 51-72]
  • Ramsheh, Manijeh Capital Structure Stability in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 35-56]
  • Ramsheh, Manijeh A Comparative Analysis of Proxies for an Optimal Leverage Ratio [Volume 7, Issue 2, 2019, Pages 119-138]
  • Ramshini, Mahmood Investigating the Mediating Roles of Information Asymmetry and Illiquidity Related to Cluster Trading in the ‎Relationship between Noise Trading and Market Efficiency in Tehran Stock Exchange (TSE)‎ [Volume 9, Issue 3, 2021, Pages 105-126]
  • Ranaei, Fateme Investigating the Relation between Financial Reporting Quality and Investment Efficiency and the Role of Debt Maturity in Such Relation among the Companies Listed in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 83-98]
  • Rasekh, Abdoarahman Modeling the Factors Affecting Cost of Equity Capital: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 167-184]
  • Rashidi, Mohammad Amin Designing an Interpretive Structural Model for Identifying and Prioritizing Financial Strategic Risks in the Petrochemical Industry of the Islamic Republic of Iran [Volume 11, Issue 1, 2023, Pages 29-52]
  • Rashidi, Mohammad Amin Designing a model of the key success factors: a case study in venture capital firms in the Islamic Republic of Iran [(Articles in Press)]
  • Rashidi, Mohsen The Role of Managers' Ability to Modify Credit Conditions and Reduce Share Returns spread [Volume 8, Issue 3, 2020, Pages 123-139]
  • Rashidi Baghi, Mohsen The Interactive Effect of Financing Constraints and Management`s Over-Confidence on Audit Fees [Volume 7, Issue 4, 2019, Pages 63-80]
  • Rashidi Bagi, Mohsen The effect of ownership structure on the relationship between free cash flow and efficient use of assets [Volume 1, Issue 1, 2013, Pages 93-108]
  • Rasouli, S. Somayyeh Managing Information Technology Investments with Real Options Analysis [Volume 5, Issue 2, 2017, Pages 185-200]
  • Rastegar, Mohammad Ali Applying the Meta-Synthesis Method in Banking Operational Risk Management Methodology [Volume 10, Issue 4, 2022, Pages 115-132]
  • Rastegari, Najmeh Audit Quality and Financial Constraints [Volume 6, Issue 3, 2018, Pages 117-132]
  • Rastgoo, Nemat Evaluating the Effectiveness of GARCH Models in the Estimation of Systematic Risk in listed companies of the Tehran Stock Exchange [Volume 8, Issue 1, 2019, Pages 23-40]
  • Razaee, Golamreza The Impact of Product Market Competition on Earnings Management of the Companies Listed in Tehran Stock Exchange [Volume 1, Issue 3, 2014, Pages 119-134]
  • Razani, Sara Investigating the Factors Affecting the Value of Cash held in the Companies Listed in Tehran Stock Exchange under Conditions of Uncertainty [Volume 9, Issue 2, 2021, Pages 125-148]
  • Razzaghi, Roya A Framework of Crowdfunding for Startups: A Case Study of P2P Lending by Using the Meta-Synthesis Method [Volume 10, Issue 2, 2022, Pages 81-102]
  • Refah-Kahriz, Arash An Investigation of the Effect of Exchange Rate on the Pharmaceutical Industry Stock Return in Tehran Stock Exchange: An Application of the Markov Switching Approach [Volume 6, Issue 2, 2018, Pages 35-56]
  • Rezaei, Farzin The Effect of CEO Reputation on Relationship between Agency Costs and Cumulative Abnormal Returns in Firms over (under)Investment [Volume 2, Issue 2, 2014, Pages 99-122]
  • Rezaei, Farzin The Effect of Financial Information Risk on Agency Relationship with Firms Capital Structure [Volume 6, Issue 4, 2019, Pages 93-102]
  • Rezaei, Gholamreza An Analysis of the Effects of Board Relations Network Structure in Determining Labor Investment Efficiency: The Monitoring Role of Institutional Owners [Volume 10, Issue 3, 2022, Pages 21-46]
  • Rezaei, Navvab The effect of changes working capital on investment opportunities [Volume 1, Issue 3, 2014, Pages 99-118]
  • Rezaeian Ramsheh, Atefeh Financial Restatement Impacts on Investment Inefficiencies Considering the Role of Financial Constraints [Volume 10, Issue 1, 2022, Pages 73-92]
  • Rezaei Pitenoei (Ph.D), Yasser Employee Quality and Quality Forecast Management Earnings [Volume 7, Issue 3, 2019, Pages 85-98]
  • Rezaeyan, Shiva Development of a comprehensive model to predict stock prices in the stock market with an interpretive structural modeling approach [Volume 12, Issue 2, 2024, Pages 39-58]
  • Rezagholizadeh, Mahdieh Influence of Investors' Sentiment on Bitcoin Returns [Volume 12, Issue 3, 2024, Pages 61-84]
  • Rezaie Dolatabadi, Hoseyn Analysis of big Shareholders’ Perspective on Block Divestiture of Shares in Business Financing Through Matching Method (Tehran Stock Exchange as A Case Study) [Volume 2, Issue 2, 2014, Pages 39-64]
  • Rezaie Dolatabadi, Hossein A comparative Analysis of Performance of Three-Factor and Five - Factor Fama and French Model to Estimate the Expected Rate of Return in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 105-116]
  • Rezazadeh, Javad The Role of Corporate Governance in the Relation between Tax Avoidance and Managerial Empire Building [Volume 11, Issue 3, 2023, Pages 95-112]
  • Rezazadeh, Mohsen The Effect of Audit Quality on the Relationship of Collateral Assets with Financing and Investment [Volume 6, Issue 1, 2018, Pages 121-136]
  • Reza Zadeh, Ali Investigating the Impact of Covid-19 on the Relationship between Cryptocurrencies and Oil Price Shocks Using the Non-Linear Autoregressive Distributed Lag (NARDL) Approach [Volume 10, Issue 2, 2022, Pages 121-148]
  • Reza Zadeh, Ali Investigating the Causal Relationship Between Stocks’ Initial Public Offerings and Macroeconomic Variables [Volume 11, Issue 2, 2023, Pages 35-52]
  • Reza Zadeh, Ali Examining the Influence of the Shadow Economy on the Performance of Financial Markets and the Banking Sector in BRICS Countries: A Panel SUR Approach [Volume 13, Issue 2, 2025, Pages 1-27]
  • Rohii, Milad Credit Risk Management of Banking Customers Using Support Vector Machine Optimized by Genetic Algorithm with Data Mining Approach [Volume 5, Issue 4, 2017, Pages 17-32]
  • Roshandel, Masoumeh Investigation of the Effect of Information Quality on Stock Liquidity Risk and Market Risk [Volume 6, Issue 2, 2018, Pages 15-34]
  • Rostami, Ali Application Extreme Value Theory and long-Memory to Stock Market in Iran (In Framework Model-GARCH)‎ [Volume 6, Issue 4, 2019, Pages 135-154]
  • Rostami, Amin The Effect of Investor Attention on the Relationship between Idiosyncratic Volatility and Future Stock Returns [Volume 12, Issue 1, 2024, Pages 1-16]
  • Rostami, Amin Examining the Long-Run and Short-Run Effects of Technical and Financial Factors on Bitcoin Blockchain Network Transaction Fees [Volume 12, Issue 4, 2024, Pages 1-18]
  • Rostami, Mohammad Reza Evaluating Market Timing Ability of Mutual Fund Managers Based on Conditional and Unconditional Approaches [Volume 5, Issue 1, 2017, Pages 45-60]
  • Rostami, Mohammad Reza Factors Affecting Credit Risk of Commercial Banks of Iran with Emphasis on Banking and Macroeconomic Specific Factors [Volume 6, Issue 4, 2019, Pages 79-92]
  • Rostami, Mohammad Reza Asset Allocation Based on Cyclical Behavior of Commodities: Regime-Switching Approach [Volume 10, Issue 4, 2022, Pages 25-46]
  • Rostami, Mojtaba Measuring the Volatility Persistence of the Tehran Stock Exchange using Stochastic Volatility Models with Jump in Return [Volume 11, Issue 4, 2024, Pages 121-140]
  • Rostami Noroozabad, Mojtaba Asset Risk Behavior in Value and Growth Firms Under Stable and Adverse Market Conditions: Evidence from the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 1-24]
  • Rostami Noroozabad, Mojtaba Implementation of Organizational Risk Management; Identification, Analysis, and Evaluation (Case Study: Active Financial Institution in Iranian Capital Market) [Volume 7, Issue 2, 2019, Pages 1-24]
  • Rostami Noroozabad, Mojtaba Dimensions of Risk Management Development in the Business Model and Culture of Financial Industry Organizations in Iran [Volume 10, Issue 3, 2022, Pages 67-94]
  • Rostami Noroozabad, Mojtaba Exploring and Comparing ARMS and BSI Indices for Measuring Investor Sentiments to Predict Stock Price Trend [Volume 12, Issue 1, 2024, Pages 125-144]
  • Rostamy, Mohammad Reza Investigate the Relationship between Working Capital Management and Agency Costs [Volume 2, Issue 2, 2014, Pages 17-30]
  • Rouhollah, Masoud Identifying the Factors and Requisites for the Development of Real Estate Investment Trusts (REITs) Using Meta-Synthesis [Volume 13, Issue 1, 2025, Pages 1-26]

S

  • Sa'adatfar, Nasrolah Estimating the return on investment opportunities in financial markets due to their interaction relation and establishing optimized portfolio by Artificial Intelligence [Volume 2, Issue 4, 2015, Pages 35-50]
  • Saberi, Hamed Simulation of Stock Price through Effective Internal and External Factors via System Dynamics Approach [Volume 4, Issue 4, 2017, Pages 79-98]
  • Sabery, Maryam Investigate the Relationship between Working Capital Management and Agency Costs [Volume 2, Issue 2, 2014, Pages 17-30]
  • Sabzalipour, Farshad Examining the relationship between corporate transparency and financial constraints of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 217-232]
  • Sabz Alipour, Farshad The Effects of COVID-19 on Financial Distress and Tax Avoidance [Volume 13, Issue 1, 2025, Pages 81-100]
  • Sadeghfalah, Razieh Analysis of big Shareholders’ Perspective on Block Divestiture of Shares in Business Financing Through Matching Method (Tehran Stock Exchange as A Case Study) [Volume 2, Issue 2, 2014, Pages 39-64]
  • Sadeghi, Hojatolah A [Volume 2, Issue 1, 2014, Pages 1-20]
  • Sadeghi, Hojjatollah Using Extreme Value Theory to Estimate Value at Risk (Case Study: Foreign Exchange rate) [Volume 4, Issue 2, 2016, Pages 77-94]
  • Sadeghi, Pouya Predicting Financial Distress through Ranking Working Capital Management Components Using Random Forest Algorithm [Volume 13, Issue 1, 2025, Pages 27-46]
  • Sadeghi, Seyed kamal Investigating the Factors Influencing on the Stock Market Risk with the Emphasis on Financial Globalization in Dynamic Behavior of Stock Market [Volume 4, Issue 1, 2016, Pages 87-100]
  • Sadeghi Shahdani, Mahdi Oil futures contracts, obligation to selling or to daily settlement? [Volume 6, Issue 1, 2018, Pages 197-216]
  • Sadeghi Sharif, Seed Jalal Tests of Multiple Explosive Bubbles Behavior in Tehran Stock Exchange and Real State Market in Iran [Volume 5, Issue 4, 2017, Pages 129-142]
  • Sadeghzadeh Maharlui, Mohammad An Analysis of the Effects of Board Relations Network Structure in Determining Labor Investment Efficiency: The Monitoring Role of Institutional Owners [Volume 10, Issue 3, 2022, Pages 21-46]
  • Sadeqi, Hojjatollah Establishment of a Non-Linear Financial Network Based on its Typological Characteristics Based on Graph Theory (A Study in Tehran Stock Exchange) [Volume 9, Issue 1, 2021, Pages 1-22]
  • Sadeqi, Hojjatollah Application of recommendation systems in the development of Robo Advisors: A Bibliometrics Method [Volume 11, Issue 3, 2023, Pages 69-94]
  • Sadreddin, Ebrahim Explaining the Default Risk Premium Anomaly Using Two Beta Model [Volume 7, Issue 3, 2019, Pages 45-58]
  • Saedi, Rahman The Investigation of Factors Affecting the Capital Structure using the Tobit Models: An Empirical Examination of Static Trade-Off, Pecking Order and Agency Costs Theories [Volume 2, Issue 1, 2014, Pages 37-54]
  • Saeedi, Ali The Effect of Trade Volume, Time-to-Maturity and Open Interest on the Return of Gold Coid Future Trades [Volume 7, Issue 4, 2019, Pages 49-62]
  • Saeedi, Ali Asset Risk Behavior in Value and Growth Firms Under Stable and Adverse Market Conditions: Evidence from the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 1-24]
  • Saeedi, Ali Identifying the Effective Factors of Corporate Governance and Disclosure and Transparency in Assessing the ‎Quality of Financial Statements in Selective Iranian Banks through Fuzzy Delphi Method [Volume 10, Issue 2, 2022, Pages 23-52]
  • Saeida Ardakani, Saeid The Examination of Relationship between Stock Systematic Risk and Skewness of Returns Studying the Effect of Capital Structure on the Return on Assets and Economic Value Added by Attention to Intensity of Product Market Competition in the Industry (Case Study of Companies Listed in Tehran Stock Exchange) [Volume 6, Issue 1, 2018, Pages 73-88]
  • Safaei, Behzad Simulation of Stock Price through Effective Internal and External Factors via System Dynamics Approach [Volume 4, Issue 4, 2017, Pages 79-98]
  • Safaei, Mahdi Examining the Long-Run and Short-Run Effects of Technical and Financial Factors on Bitcoin Blockchain Network Transaction Fees [Volume 12, Issue 4, 2024, Pages 1-18]
  • Safar Graily, Mahdi Investigating the Relation between Financial Reporting Quality and Investment Efficiency and the Role of Debt Maturity in Such Relation among the Companies Listed in Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 83-98]
  • Safari, Fatemeh The Examination of Relationship between Stock Systematic Risk and Skewness of Returns [Volume 6, Issue 1, 2018, Pages 1-10]
  • Safari, Saeed A Hybrid Approach for Economic Value Added and Dividends in Portfolio Optimization Using Goal Programming [Volume 6, Issue 2, 2018, Pages 1-14]
  • Safarzadeh, Mohammad Hosein Design and Examination of a Model for Stabilization of Banks Based on Financial Reporting Quality [Volume 8, Issue 3, 2020, Pages 25-52]
  • Safi Dastjerdi, Davoud Loan Interest Rate Uncertainty and Financing SMEs Listed in Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 1-20]
  • Saghafi, Ali Margin Setting to Short and Long Futures Contract Positions by Coherent Risk Measures [Volume 6, Issue 3, 2018, Pages 1-14]
  • Sahebi Fard, Hosein A Comparison between the Pricing of Capped and Power Options on the Basis of Arbitrage Prevention: Evidence from a Stochastic Market with Double Stochastic Volatility, Double Jump, and a Stochastic Intensity Measure [Volume 8, Issue 2, 2020, Pages 89-103]
  • Sahrakaran, Mina The Effect of Financial Information Risk on Agency Relationship with Firms Capital Structure [Volume 6, Issue 4, 2019, Pages 93-102]
  • Sajadi, S. Hossein Modeling the Factors Affecting Cost of Equity Capital: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 167-184]
  • Salarisardoie, Safieh The Impact of Corporate Governance Mechanisms on the Earning Timeliness [Volume 7, Issue 3, 2019, Pages 59-70]
  • Salehi, Hamid Modeling the Factors Affecting Cost of Equity Capital: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 167-184]
  • Salehi, Mahdi The Relationship between Financial Constraints, the Structure of Assets and Financing in Companies Listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 181-196]
  • Salehi, Mahdi The Effect of Firm Financial Position and Industry Characteristics on Capital Structure Adjustment [Volume 6, Issue 4, 2019, Pages 19-42]
  • Salehi, Nazanin Comparative Investigation the Hazard Model and the Accounting Model Using Receive Operating Characteristic (ROC) Curve for Bankruptcy Predication [Volume 6, Issue 4, 2019, Pages 121-134]
  • Salemi Najafabadi, Mahdi Estimating the return on investment opportunities in financial markets due to their interaction relation and establishing optimized portfolio by Artificial Intelligence [Volume 2, Issue 4, 2015, Pages 35-50]
  • Salim, Farshad Examination of the Mispricing of Abnormal Accruals on the Tehran Stock Exchange from 1381 to 1389 [Volume 2, Issue 3, 2014, Pages 1-16]
  • Salim, Farshad A relation of the distress risk and equity returns puzzle- Empirical evidence from the Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 33-54]
  • Salimi, Mohammad Javad Reduction of Liquidity Proxies by Using Principal Component Analysis in Tehran Capital Markets [Volume 10, Issue 4, 2022, Pages 47-66]
  • Salmanian, Lida Working Capital Management, Corporate Performance and Financial Constraints: Evidence from Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 99-116]
  • Salmani Seraji, Maryam Managing Information Technology Investments with Real Options Analysis [Volume 5, Issue 2, 2017, Pages 185-200]
  • Samadi, Saeed Evaluation of the Effect of Investment on Future Performance Considering the Level of Firm Financial Constraint [Volume 5, Issue 3, 2017, Pages 117-132]
  • Samadi, Saeed Analysis the effect of market anomalies and growth options on stock return [Volume 9, Issue 1, 2021, Pages 63-92]
  • Saranj, Alireza Stress Testing as a Key Tool for Financial Assets Risk Management with Emphasis on Extreme Value Theory and Copula Functions [Volume 6, Issue 3, 2018, Pages 67-86]
  • Sarbazi Azad, Sadegh Investigating the Effect of Managerial Overconfidence and Accrual-based Earnings Management [Volume 5, Issue 3, 2017, Pages 105-116]
  • Sarfehjoo, Fatemeh Increasing Dividend Policy Outcomes in Terms of Financial Constraints and Competition [Volume 5, Issue 3, 2017, Pages 19-34]
  • Sargolzaei, Mostafa Investigating the impact of macroeconomic variables on Risk-Adjusted Return on Capital (RAROC) of Registered Banks on Tehran Stock Exchange and Iran Fara Bourse [Volume 9, Issue 3, 2021, Pages 19-36]
  • Sarlak, Narges The Relation between Market Competition and Dividend Policies [Volume 4, Issue 4, 2017, Pages 45-60]
  • Sayedi Ghahfarrokhi, Fatemeh Sadat Barriers of Public Sector Financing for Construction Projects in Isfahan Province Using a Multi-Criteria Approach [Volume 8, Issue 4, 2021, Pages 101-116]
  • Seddighi, Roohollah The Relationship between Credit Rating and Stock Returns with an Emphasis on the Role of Investors' Emotions [Volume 11, Issue 3, 2023, Pages 1-22]
  • Seifi, Mohammad Hossein Option Pricing Error: Evidence from Nonlinear Markets based on Probabilistic Neural Networks and Multilayer Perceptron [Volume 11, Issue 4, 2024, Pages 47-64]
  • Seifollahi, Naser Supply Chain Agility as a Strategic Asset and Its Effect on Financial Performance with the Moderating Role of Industry Type: A Meta-Analysis Study [Volume 11, Issue 3, 2023, Pages 47-68]
  • Sekhavatpoor, Maryam The Relationship between Financial Constraints, the Structure of Assets and Financing in Companies Listed in Tehran Stock Exchange [Volume 6, Issue 1, 2018, Pages 181-196]
  • Sepasi, Sahar Working Capital Management, Corporate Performance and Financial Constraints: Evidence from Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 99-116]
  • Sepasi, Sahar The Incremental Effect of earnings Components’ Volatility and their Persistence on Earnings Predictability [Volume 6, Issue 2, 2018, Pages 159-182]
  • Sepasi, Sahar The Role of Corporate Governance in the Relation between Tax Avoidance and Managerial Empire Building [Volume 11, Issue 3, 2023, Pages 95-112]
  • Setayesh, Mohammad Hosein financial consequences of the qualified audit report for the companies listed in Tehran Stock Exchange [Volume 2, Issue 4, 2015, Pages 15-34]
  • Setayesh, Mohammad Hosein Investigating the Relationship between Dividend, Investment Opportunities and External Financing During Companies’ Life Cycle [Volume 4, Issue 1, 2016, Pages 37-50]
  • Shabani, Farid Investigation of the Effects of Price Limit Changes on the Intraday Volatility of Iran’s Stock Market Using Realized Variance (RV) and District Fourier Transform (DFT) [Volume 11, Issue 2, 2023, Pages 19-34]
  • Shabani nejad mousoleh, Matin Investigating the Relationship between Stock Price Synchronicity and Return Distribution [Volume 6, Issue 3, 2018, Pages 51-66]
  • Shafie Nategh, Mohammad Mobin Designing an Interpretive Structural Model for Identifying and Prioritizing Financial Strategic Risks in the Petrochemical Industry of the Islamic Republic of Iran [Volume 11, Issue 1, 2023, Pages 29-52]
  • Shahbazi, Meisam A Framework of Crowdfunding for Startups: A Case Study of P2P Lending by Using the Meta-Synthesis Method [Volume 10, Issue 2, 2022, Pages 81-102]
  • Shahi, Zahra Factors Affecting Credit Risk of Commercial Banks of Iran with Emphasis on Banking and Macroeconomic Specific Factors [Volume 6, Issue 4, 2019, Pages 79-92]
  • Shahidi, Amene Banking Sector Development, Capital Structure and Performance of Non- Financial FirmsListed in Stock Exchange [Volume 5, Issue 2, 2017, Pages 1-20]
  • Shahiki Tash, Mohammad Nabi Performance Evaluation of Mutual Funds by Stochastic Dominance Criteria and comparing with Sharp Ratio and Sortino Ratio [Volume 3, Issue 4, 2016, Pages 67-84]
  • Shahlaei, Shahabeddin On the Effect of Sector Funds Investing Level in Industries on Customers Risk [Volume 1, Issue 3, 2014, Pages 67-80]
  • Shahlaei, Shahabodin Optimizing Diversification of Equities in Sector Funds Portfollio [Volume 3, Issue 2, 2015, Pages 1-14]
  • Shahraki, Kaveh A Novel Approach to Predicting Financial Distress by Using Financial Network-Based Information and the Integrated Method of Gradient Boosting Decision Tree [Volume 11, Issue 3, 2023, Pages 113-140]
  • Shahrazi, Milad Exploring and Comparing ARMS and BSI Indices for Measuring Investor Sentiments to Predict Stock Price Trend [Volume 12, Issue 1, 2024, Pages 125-144]
  • Shahrezaei, Samane Business diversification effects on performance and value of listed companies in Tehran Stock Exchange [Volume 2, Issue 2, 2014, Pages 65-86]
  • Shahryari, Sara Examination of the Mispricing of Abnormal Accruals on the Tehran Stock Exchange from 1381 to 1389 [Volume 2, Issue 3, 2014, Pages 1-16]
  • Shahryari, Sara A relation of the distress risk and equity returns puzzle- Empirical evidence from the Tehran Stock Exchange [Volume 3, Issue 2, 2015, Pages 33-54]
  • Shahrzadi, Mahshid Individual Investors’ Attention to Left Tail Risk [Volume 8, Issue 2, 2020, Pages 69-88]
  • Shahrzadi, Mahshid Analysis of the Persistence of the Negative Relationship between Downside Risk and Expected Excess Returns in Future [Volume 10, Issue 1, 2022, Pages 1-24]
  • Shakeri, Yasser The effect of Intangible Assets on the Firm’s Financial Performance and Mediating Role of the Cost Stickiness in Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 47-76]
  • Shams, Marziyeh A [Volume 2, Issue 1, 2014, Pages 1-20]
  • Shams, Shahaboldin Investigating the Relationship between Managerial Optimism and Earnings Smoothing in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 77-88]
  • Shams Gharneh, Naser On the Effect of Sector Funds Investing Level in Industries on Customers Risk [Volume 1, Issue 3, 2014, Pages 67-80]
  • Shams Gharneh, Naser Optimizing Diversification of Equities in Sector Funds Portfollio [Volume 3, Issue 2, 2015, Pages 1-14]
  • Shams Gharneh, Naser Credit Ranking of Firms Using Option Pricing Adjusted with Duration [Volume 4, Issue 1, 2016, Pages 51-68]
  • Shamshiri, Amir Hossein Predicted Systematic and Idiosyncratic Skewness: New Evidence from Pricing the Third Moment of Stock Return ‎Distribution [Volume 9, Issue 4, 2022, Pages 121-148]
  • Shamsodin, Sahar The effect of Consumer Price Index and Operational Cycle on the Level of Cash Holding in the Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 117-128]
  • Shariffar, Amir Mutual Fund Selection Determinants: A Mixed Method Approach [Volume 1, Issue 2, 2013, Pages 35-50]
  • Sharif far, Amir Application of Deep Learning Architectures in Stock Price Forecasting: A Convolutional Neural Network ‎Approach [Volume 10, Issue 3, 2022, Pages 1-20]
  • Sharifi, Hamid Complexity of Supply Chain As an Strategic Asset and Position of Financial Performance [Volume 6, Issue 4, 2019, Pages 57-78]
  • Sharifi, Mohammad Javad The Impact of Information Asymmetry on the Future Stock Price Crash Risk of Listed Companies in the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 39-58]
  • Sharifi, Yaser Identification and Prioritization of Solutions for Restoring Investors' Confidence in the Capital Market of the Islamic Republic of Iran [Volume 12, Issue 3, 2024, Pages 41-60]
  • Sharifi Renani, Hossain The Role of Financial Market Stability on Monetary Policy Transmission Mechanism in Iran: A Multivariate GARCH Approach [Volume 9, Issue 3, 2021, Pages 37-64]
  • Sheikh, Mohamad Javad A Hybrid Approach for Economic Value Added and Dividends in Portfolio Optimization Using Goal Programming [Volume 6, Issue 2, 2018, Pages 1-14]
  • Sheikh, Reza Portfolio Optimization with Clustering Methods [Volume 4, Issue 4, 2017, Pages 61-78]
  • Sheikhi, Khaled Identifying the Effective Factors of Corporate Governance and Disclosure and Transparency in Assessing the ‎Quality of Financial Statements in Selective Iranian Banks through Fuzzy Delphi Method [Volume 10, Issue 2, 2022, Pages 23-52]
  • Shekarkhah, Javad Reduction of Liquidity Proxies by Using Principal Component Analysis in Tehran Capital Markets [Volume 10, Issue 4, 2022, Pages 47-66]
  • Sherej Sharifi, Azita Development of a comprehensive model to predict stock prices in the stock market with an interpretive structural modeling approach [Volume 12, Issue 2, 2024, Pages 39-58]
  • Sheykh, Mohammad Javad The Effect of Inflation Rate on Financing of Company listed in Tehran Security Exchange (Debt Financing and Equity Financing) [Volume 1, Issue 2, 2013, Pages 51-68]
  • Shirinbakhsh, Shamsolah Evaluation of oil price shocks on stock market price [Volume 3, Issue 2, 2015, Pages 15-32]
  • Sigari, Attiyeh The Role of Financial Reporting Quality in Mitigating the Constraining Effect of Dividend Policy on Investment [Volume 4, Issue 2, 2016, Pages 95-110]
  • Slamdost Kelidbari, Masomeh Measuring intellectual capital and its relationship with the q Tobin ratio and systematic risk beta (study of Financial intermediation companies listed in Tehran Stock Exchange) [Volume 2, Issue 4, 2015, Pages 97-110]
  • Sohrabi, Tahmoores A Framework for Successful Crowdfunding Campaigns: Insights from Social Media (A Systematic Review) [(Articles in Press)]
  • Sohrabi, Zahra The Effect of Corporate Governance and Audit Quality on Bank Loan Financing in Private Companies [Volume 6, Issue 3, 2018, Pages 133-146]
  • Sohrabi Araqi, Mehran Compare the short and long term return of Asle 44 initial public offering with other IPOs and market return [Volume 1, Issue 2, 2013, Pages 87-102]
  • Soleimani Amiri, Gholamreza Capital Structure Stability in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 35-56]
  • Solgi, Mohammad Identifying Production Financing with Emphasis on the Debt Market in Iran [Volume 11, Issue 4, 2024, Pages 93-120]
  • Soltani-Nejad, Mohammad Portfolio Optimization with Clustering Methods [Volume 4, Issue 4, 2017, Pages 1-16]
  • Soroushyar, Afsaneh The Effect of Return Dispersion on the Accrual and Investment Anomalies in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 1-16]
  • Soroushyar, Afsaneh The Effect of Stock Returns Volatilities on Working Capital Accruals: Considering the Moderating Effect of Financial Distress [Volume 8, Issue 3, 2020, Pages 85-102]
  • Soroushyar, Afsaneh Investigating the Effects of Debt Convergence of Companies on the Speed of Capital Structure Adjustment Considering the Time Horizon [Volume 12, Issue 3, 2024, Pages 23-40]
  • Sotoodeh Kia, Hossein Investigating the Non-Linear Relationship between Working Capital Management with Performance and Investment in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 51-68]

T

  • Tabatabaei, Seyyedeh Elham Individual Investors’ Intensive Trading and Stock Returns: Evidence from Tehran Stock Exchange TSE [Volume 9, Issue 1, 2021, Pages 113-138]
  • Tabatabaienasab, Zohreh Estimating Financial Stress in Iran's Economy: Emphasizing Its Consequences for Managing Business and Family Assets [Volume 9, Issue 1, 2021, Pages 41-62]
  • Taebi Noghondari, Amirhossein Effect of Information Genotype on Investors' Inertia [Volume 12, Issue 4, 2024, Pages 61-86]
  • Taftiyan, Akram Firm's Financial Risk and Risk Sentiment in Annual Reports: Evidence from Companies Listed in the Tehran Stock Exchange Using a Static-and-Dynamic Approach [Volume 11, Issue 1, 2023, Pages 121-142]
  • Taghavifard, Mohammad Taghi Explaining the Dimensions of Sentiment Management for Asset Management Services Customers Using Meta-Synthesis [Volume 11, Issue 4, 2024, Pages 1-28]
  • Taghizadeh, Reza An Analysis of the Effects of Board Relations Network Structure in Determining Labor Investment Efficiency: The Monitoring Role of Institutional Owners [Volume 10, Issue 3, 2022, Pages 21-46]
  • Taghizadeh Khanqah, Vahid The Relation between Working Capital Management and Investment Inefficiency [Volume 4, Issue 3, 2016, Pages 17-38]
  • Taghizadeh Khanqah, Vahid The Impact of Debt Maturity on Stock Price Crash Risk with an Emphasis on Information Asymmetry [Volume 6, Issue 3, 2018, Pages 87-104]
  • Taghizadeh Khanqah, Vahid The Moderating Effect of Financial Constraint on the Relationship between Economic Policy Uncertainty and Corporate Financialization [Volume 13, Issue 1, 2025, Pages 63-80]
  • Taghizadeh Mehrjardi, Roholla Modeling and predicting the efficiency of public and private banks in Iran using an artificial neural network models, fuzzy neural networks and genetic algorithms [Volume 1, Issue 2, 2013, Pages 103-126]
  • Taheri, Arezoo The effect of corporate governance mechanisms on the relationship between institutional investors and inventory management [Volume 3, Issue 1, 2015, Pages 75-90]
  • Taheri, Hasan The impact of working capital management on Listed companies profitability in business cycles based on the output gap [Volume 8, Issue 2, 2020, Pages 31-48]
  • Taheri, Mandana The Relationship Between Financing Restrictions and Financing Strategies: An Emphasis on the Mediating Role of Corporate Governance [Volume 11, Issue 2, 2023, Pages 1-18]
  • Taherinia, Masood The Interactive Effect of Financing Constraints and Management`s Over-Confidence on Audit Fees [Volume 7, Issue 4, 2019, Pages 63-80]
  • Tajaddini, Dina The effect of conservatism on firms' financing methods and propensity to save cash [Volume 2, Issue 1, 2014, Pages 101-112]
  • Tajik, Amir Providing a Framework for Crowdfunding in the Film Industry of the Islamic Republic of Iran [Volume 11, Issue 2, 2023, Pages 75-94]
  • Tajmir Riahi, Hamed Rating Tehran Stock Exchange Industries Based on Risk Criteria from the Perspective of Institutional Investors: A Data Envelopment Analysis Approach [Volume 4, Issue 2, 2016, Pages 49-64]
  • Takband, Elham The Effect of Government Deficit and Banking Sector Credit on the Stock Market Size:Panel VAR Model Approach [Volume 6, Issue 2, 2018, Pages 57-70]
  • Talebi, Alireza The Impact of Information Asymmetry on the Future Stock Price Crash Risk of Listed Companies in the Tehran Stock Exchange [Volume 4, Issue 3, 2016, Pages 39-58]
  • Talebi, Farzaneh Effects of fiscal policies on asset prices and its uncertainty in Iran [Volume 3, Issue 1, 2015, Pages 107-130]
  • Talebian, Masoud Individual Investors’ Intensive Trading and Stock Returns: Evidence from Tehran Stock Exchange TSE [Volume 9, Issue 1, 2021, Pages 113-138]
  • Talebi Najaf Abadi, Abdolhosein Investigating the Mediating Roles of Information Asymmetry and Illiquidity Related to Cluster Trading in the ‎Relationship between Noise Trading and Market Efficiency in Tehran Stock Exchange (TSE)‎ [Volume 9, Issue 3, 2021, Pages 105-126]
  • Talebnia, Ghodratallah The Impact of Debt Maturity on Stock Price Crash Risk with an Emphasis on Information Asymmetry [Volume 6, Issue 3, 2018, Pages 87-104]
  • Talebnia, Ghodrat Allah The Effect of Average of the Stock return, Expected Growth, Profitability and Asset Structure of Peer Firms on Investment Management Strategy Using Markov chain Monte Carlo Simulation and Hierarchical Bayes [Volume 7, Issue 2, 2019, Pages 41-58]
  • Taleghani, Mohammad Development of a comprehensive model to predict stock prices in the stock market with an interpretive structural modeling approach [Volume 12, Issue 2, 2024, Pages 39-58]
  • Tarahomi, Farhad A Survey of Factors Affecting Financing of Small and Medium-Sized Businesses in the Tehran Stock Exchange (TSE) [Volume 11, Issue 2, 2023, Pages 95-114]
  • Tasbihi, Ali Determining the Optimal Hedge Ratio of Gold Coin Futures; A Comparative Approach [Volume 5, Issue 3, 2017, Pages 177-196]
  • Tataei, Peyman Compare the short and long term return of Asle 44 initial public offering with other IPOs and market return [Volume 1, Issue 2, 2013, Pages 87-102]
  • Tavakoli, Saman dentifying the Factors Affecting the Financial Risks of Companies Using the Structural Equations Approach [Volume 9, Issue 2, 2021, Pages 77-98]
  • Tayebi, Komail Loan Interest Rate Uncertainty and Financing SMEs Listed in Tehran Stock Exchange [Volume 9, Issue 2, 2021, Pages 1-20]
  • Tehrani, Reza Prediction of TSE Companies Investment Behaviour Using Neural Networks [Volume 2, Issue 3, 2014, Pages 63-80]
  • Tehrani, Reza Decision Making Model under Uncertain and Risky Situations Based on Dynamic Reference Point: Evidences from Tehran Stock Exchange [Volume 5, Issue 2, 2017, Pages 51-68]
  • Tehrani, Reza The effect of Contractual Rewards on Non-Maturing Deposits and Bank Funding Stability (Case Study: Bank Mellat) [Volume 7, Issue 1, 2019, Pages 45-62]
  • Tehrani, Reza Calculating Real Option Value under Different Approaches in the Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 1-12]
  • Tehrani, Reza Analyzing the Role of Block Trade in Generating Abnormal Returns and Impact in Idiosyncratic Volatility in Tehran Stock Exchange [Volume 8, Issue 1, 2019, Pages 1-22]
  • Tehrani, Reza Impact of Sanction Shock on Iran's Stock Market Index [Volume 12, Issue 2, 2024, Pages 113-126]
  • Toghyani, Mahdi Testing the Effects of Exchange Rate Jumps and Global Financial Crisis Using the Overshooting Dornbusch Model for the Financial Stability of the State Banking System of Iran's Economy [Volume 10, Issue 1, 2022, Pages 117-140]
  • Tohidi, Mohammad Extracting Composite sentiment Index for Tehran Stock Exchange [Volume 8, Issue 2, 2020, Pages 49-68]
  • Tohidi, Mohammad Designing an Interpretive Structural Model for Identifying and Prioritizing Financial Strategic Risks in the Petrochemical Industry of the Islamic Republic of Iran [Volume 11, Issue 1, 2023, Pages 29-52]
  • Tohidi, Mohammad Identification and Prioritization of Solutions for Restoring Investors' Confidence in the Capital Market of the Islamic Republic of Iran [Volume 12, Issue 3, 2024, Pages 41-60]
  • Tohidi, Mohammad Identifying the Factors and Requisites for the Development of Real Estate Investment Trusts (REITs) Using Meta-Synthesis [Volume 13, Issue 1, 2025, Pages 1-26]
  • Torabi, Taghi Designing a Forecasting Model and Evaluating the Strategic Cooperation between the Banking System and Fintech Startups using the Adaptive Neural Fuzzy Inference System (ANFIS) [Volume 12, Issue 2, 2024, Pages 59-80]
  • Totonchi, Jalil Estimating Financial Stress in Iran's Economy: Emphasizing Its Consequences for Managing Business and Family Assets [Volume 9, Issue 1, 2021, Pages 41-62]

V

  • Vaez, S. Ali Development of the Ohlson (1995) Prediction An Valuation Models with the Consideration of Bankruptcy Risk [Volume 5, Issue 1, 2017, Pages 99-116]
  • Vaez, Seyed Ali The Relationship between Ownership Concentration and Board Structure with Working Capital Management Efficiency [Volume 2, Issue 1, 2014, Pages 113-128]
  • Vaez, Seyed Ali The Relationship between Ownership Concentration and Board Structure with Working Capital Management Efficiency [Volume 2, Issue 1, 2014, Pages 113-128]
  • Vaez, Seyed Ali Analyzing Company’s Internal and External Factors Influencing the Financing Model through Structural Equation Modeling (SEM) [Volume 12, Issue 4, 2024, Pages 87-120]
  • Vaez Barzani, Mohammad Assessing the Systemic Risk in the Financial Sub-Systems of Iran, using Nonlinear Granger Method [Volume 7, Issue 2, 2019, Pages 59-80]
  • Vakilifard, Hamidreza The Effect of Average of the Stock return, Expected Growth, Profitability and Asset Structure of Peer Firms on Investment Management Strategy Using Markov chain Monte Carlo Simulation and Hierarchical Bayes [Volume 7, Issue 2, 2019, Pages 41-58]
  • Vakilifard, Hamid Reza A Comparison between Fama-French Five Factor Model and Carhart Four-Factor Model in Explaining the Stock Return of Companies Listed in the Tehran Stock Exchange [Volume 5, Issue 1, 2017, Pages 17-30]
  • Valipour, Hashem Investigation of the Impact of Disclosure Quality on the Relationship between free Cash Flow and Firm Value [Volume 2, Issue 2, 2014, Pages 87-98]
  • Valipour, Hashem The Comparative of Accruals Ability and Cash Flows Based on Original Figures Versus Revised Figures For Predicting Future Cash Flows [Volume 3, Issue 3, 2015, Pages 105-116]
  • Valizadeh Larijani, Azam The Relationship between Corporate Social Responsibility (CSR) Reporting and Financing (Bank Loans and Debt Securities) [Volume 12, Issue 3, 2024, Pages 103-118]
  • Valizade Larijani, Azam The Effect of Disclosure Quality on the Value Relevance of Financial Statements Items [Volume 1, Issue 1, 2013, Pages 13-26]
  • Vaziri Sarashk, Majid Investment Strategies Based on Technical Indicators: Evidence of Investor Behavioural Reactions [Volume 9, Issue 4, 2022, Pages 69-96]
  • Veisi, Sajad Analyzing Company’s Internal and External Factors Influencing the Financing Model through Structural Equation Modeling (SEM) [Volume 12, Issue 4, 2024, Pages 87-120]

Y

  • Yadollahzadeh Tabari, Naser Ali The Effect of Corporate Governance and Audit Quality on the Weighted Average Cost of Capital: Comparative Analysis Based on Auditor Size, Firm Size and Income Smoother and non-Smoother Companies [Volume 2, Issue 3, 2014, Pages 29-48]
  • Yahyazadeh Far, Mahmood Investigating the Relationship between Managerial Optimism and Earnings Smoothing in Companies Listed in Tehran Stock Exchange [Volume 5, Issue 3, 2017, Pages 77-88]
  • Yavari, Kazem Banking Sector Development, Capital Structure and Performance of Non- Financial FirmsListed in Stock Exchange [Volume 5, Issue 2, 2017, Pages 1-20]
  • Yazdani, Azadeh The Effect of Economic Policy Uncertainty on Credit Transactions and Firm Value with an Emphasis on the Role of Credit Transactions [Volume 12, Issue 1, 2024, Pages 17-36]
  • Yazdani, Hamid Reza Designing a Forecasting Model and Evaluating the Strategic Cooperation between the Banking System and Fintech Startups using the Adaptive Neural Fuzzy Inference System (ANFIS) [Volume 12, Issue 2, 2024, Pages 59-80]
  • Yeganeh, Leila Identification of the Causes of Timely Availability of Working Capital Problem for Small and Medium Size Enterprises in Iran [Volume 4, Issue 3, 2016, Pages 1-16]
  • Yousefi Gavarti, Vajiheh The Relationship Between Unrecognized Inflation Gain or Loss, Future Cash Flows and Abnormal Returns of Companies Listed in Tehran Stock Exchange [Volume 2, Issue 1, 2014, Pages 75-100]
  • Yousef Zadeh, Nasrin The Investigation Effect of Investments (including cash and non-cash) in Explaining Future Performance of the Listed Companies in Tehran Stock Exchange [Volume 3, Issue 3, 2015, Pages 1-20]
  • Yousofan, Nahid Ranking Of Selected Industries Of Tehran Stock Exchange Based On Fundamental Factors In Industry Using Data Envelopment Analysis [Volume 3, Issue 2, 2015, Pages 55-68]
  • Yousofan, Nahid A comparative Analysis of Performance of Three-Factor and Five - Factor Fama and French Model to Estimate the Expected Rate of Return in Tehran Stock Exchange [Volume 6, Issue 3, 2018, Pages 105-116]

Z

  • Zahed Gharavi, Mahdi Testing the Effects of Exchange Rate Jumps and Global Financial Crisis Using the Overshooting Dornbusch Model for the Financial Stability of the State Banking System of Iran's Economy [Volume 10, Issue 1, 2022, Pages 117-140]
  • Zahedi, Javad The Role of Market Capitalization in the Relationship Between ROA, ROE and Stock Prices in Tehran Stock Exchange [Volume 7, Issue 4, 2019, Pages 17-30]
  • Zahmatkesh, Ehsan The Comparative of Accruals Ability and Cash Flows Based on Original Figures Versus Revised Figures For Predicting Future Cash Flows [Volume 3, Issue 3, 2015, Pages 105-116]
  • Zalaghi, Hassan Investigation of the Relationship between Working Capital Efficiency and Deviation from the Optimal Level of Capital Structure in Firms Listed in Tehran Stock Exchange [Volume 7, Issue 3, 2019, Pages 71-84]
  • Zalaghi, Hassan The Effect of Inventory Management Efficiency and Trade Credit on the Capital Structure Stability [Volume 8, Issue 4, 2021, Pages 85-100]
  • Zamani, Ali Asghar Study of Nonlinear Relationship between Debt Financing and Cash Flow Manipulation of Listed Companies in Tehran Stock Exchange [Volume 5, Issue 4, 2017, Pages 143-154]
  • Zamani, Shiva Limit Order Book and Short-term Stock Price Movement Predictability: Evidence from Tehran Stock Exchange [Volume 8, Issue 4, 2021, Pages 63-84]
  • Zamani, Zahra The Effect of Corporate Governance and Audit Quality on Bank Loan Financing in Private Companies [Volume 6, Issue 3, 2018, Pages 133-146]
  • Zamanian, Gholam Reza Performance Evaluation of Mutual Funds by Stochastic Dominance Criteria and comparing with Sharp Ratio and Sortino Ratio [Volume 3, Issue 4, 2016, Pages 67-84]
  • Zamanian, Gholam Reza Performance Evaluation of Iranian OTC's Companies by Using Stochastic Dominance Criteria and Optimizing with PSO and ANN Hybrid Model [Volume 6, Issue 3, 2018, Pages 15-36]
  • Zare Bahnamiri, Mohammad Javad Examining the Effects of Investor Sentiment Shocks on Normal and Abnormal Returns in the Oil Products Sector of the Tehran Stock Exchange: A PVAR Analysis [Volume 12, Issue 4, 2024, Pages 121-140]
  • Zareei, Mobina Evaluation of oil price shocks on stock market price [Volume 3, Issue 2, 2015, Pages 15-32]
  • Zarei, Alireza The Endogenous and Exogenous Relationship between Ownership and Dividend Policy: Evidence from Tehran Stock Exchange Using OLS, PSM, GMM Estimators [Volume 7, Issue 1, 2019, Pages 63-82]
  • Zarei, Fatemeh Investigating the Relationship between Liquidity Risk, Asset Quality, and Financing in Islamic and Conventional Banking Systems, Using PCSE and FGLS Models [Volume 7, Issue 2, 2019, Pages 99-118]
  • Zarei, Fatemeh Investigating the Mediating Roles of Information Asymmetry and Illiquidity Related to Cluster Trading in the ‎Relationship between Noise Trading and Market Efficiency in Tehran Stock Exchange (TSE)‎ [Volume 9, Issue 3, 2021, Pages 105-126]
  • Zarei, Fatemeh Application of recommendation systems in the development of Robo Advisors: A Bibliometrics Method [Volume 11, Issue 3, 2023, Pages 69-94]
  • Zarei, Ghasem A Comparative Study of Factors Affecting the Speed of Adjustment of Capital Structure among the Industries of the Tehran Stock Exchange [Volume 11, Issue 1, 2023, Pages 101-120]
  • Zarei, Ghasem Supply Chain Agility as a Strategic Asset and Its Effect on Financial Performance with the Moderating Role of Industry Type: A Meta-Analysis Study [Volume 11, Issue 3, 2023, Pages 47-68]
  • Zarei, Mahboobe The Study of the Impact of Relative Performance of Trading halts on Market Quality (The Study of Tehran Stock Exchange) [Volume 2, Issue 3, 2014, Pages 49-62]
  • Zare mehrJardi, Vahid A Firms' Bankruptcy Prediction Model Based on Selected Industries by Using Decision Trees Model [Volume 6, Issue 2, 2018, Pages 121-138]
  • Zarra Nezhad, Mansour Investigating the Effect of Business Cycles and Investment-Specific Technology Shocks on Stock Returns in the Tehran Stock Exchange [Volume 8, Issue 3, 2020, Pages 103-122]
  • Zavari Rezaei, Akbar Comparing the Efficiency of Statistical Models and Machine-Learning Models and Choosing the Optimal Model for Predicting Net Profit and Operating Cash Flows [Volume 11, Issue 2, 2023, Pages 53-74]
  • Zavari Rezaei, Akbar The Impact of Conservative Accounting on the Speed of Leverage Adjustment in Response to Stock Price Crash Risk [Volume 13, Issue 1, 2025, Pages 101-120]
  • Zeinali, Hadis Effect of Information Genotype on Investors' Inertia [Volume 12, Issue 4, 2024, Pages 61-86]
  • Zeraatgari, Ramin An Analysis of the Effects of Board Relations Network Structure in Determining Labor Investment Efficiency: The Monitoring Role of Institutional Owners [Volume 10, Issue 3, 2022, Pages 21-46]
  • Zeynali, Mahdi The Value Content of Different Free Cash Flow Models in Tehran Stock Exchange with Emphasis on Industry Type [Volume 9, Issue 2, 2021, Pages 21-46]