A
  • Ability to Attract talented Managers Investors Reaction to the Disclosure of CEO Compensation [Volume 9, Issue 33, 2020, Pages 209-226]
  • Abnormal Earnings Valuation The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [Volume 5, Issue 20, 2016, Pages 123-144]
  • Abnormal Investment The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Abnormal returns Exchange rate fluctuations and reaction Tehran Stock Exchange [Volume 9, Issue 35, 2020, Pages 223-238]
  • Abnormal Stock Returns Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Abnormal Stock Returns Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
  • Abnormal Stock Returns The role of the competitive strength of the surplus product market on the persistence of abnormal stock returns after the first and last quarterly earnings announcement based on information asymmetry theory. [Volume 16, Issue 61, 2027, Pages 229-245]
  • Absolute abnormal accruals The Relationship of Earnings Management and Investment Opportunities with Emphasizing on Ownership Concentration [Volume 1, پاییز 1391, 2012, Pages 161-178]
  • Acapm The evalution of DCAPM,ACAPM model standard capital cost [Volume 12, Issue 48, 2023, Pages 671-696]
  • Accounting Data Changes The Relationship of Management Optimism and Earnings Smoothing between Banks Listed in Tehran Stock Exchange and OTC [Volume 6, Issue 22, 2017, Pages 179-196]
  • Accounting Earnings The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [Volume 5, Issue 20, 2016, Pages 123-144]
  • Accounting Information Quality Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 97-118]
  • Accounting Quality Information Develop a Model of Factors Affecting Investment Performance and Analyze and Compare with Structural Equation Methods and Data Panel [Volume 12, Issue 48, 2023, Pages 287-310]
  • Accounting Standards Management Presenting and explaining a model to create the value of the company according to the role of accounting standards management, financial reporting quality and audit quality using meta-innovative models [Volume 13, Issue 50, 2024, Pages 239-262]
  • Account Payable period Studying the Effect of the components of the cash conversion cycle and return on assets in abkame company. [Volume 2, زمستان 1392, 2013, Pages 89-104]
  • Account Receipt Period Studying the Effect of the components of the cash conversion cycle and return on assets in abkame company. [Volume 2, زمستان 1392, 2013, Pages 89-104]
  • Accreditation Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
  • Accrual and Real Earnings Management Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 151-170]
  • Accrual anomaly Analysing Investors’ overreaction to the Accruals (Accrulas Anomoly) in Tehran Stock Exchange [Volume 4, تابستان 1394, 2015, Pages 161-174]
  • Accrual earnings management Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [Volume 13, Issue 52, 2024, Pages 219-243]
  • Accruals Quality Accrual Quality Assessment Model in Banking Industry [Volume 7, Issue 28, 2018, Pages 247-264]
  • Acquisition Providing a model of integration and acquisition in the Iranian automotive industry based on Fuzzy MCDM [Volume 10, Issue 37, 2021, Pages 437-457]
  • Acquisition Factors Influencing the Performance of Acquisition Companies [Volume 12, Issue 45, 2023, Pages 115-131]
  • Acquisition Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [Volume 13, Issue 49, 2024, Pages 201-216]
  • Acquisition The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • Acquisition and Merger Pattern Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
  • Acquisitions Comedown or emergence of legal personality of commercial companies in the process of merger and acquisition with comparative approach in English law [Volume 11, Issue 42, 2022, Pages 371-390]
  • Acquisitions Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [Volume 13, Issue 51, 2024, Pages 213-238]
  • Active Knowledge-Based Businesses Presenting a Model of Technological Entrepreneurship Ecosystem in the Field of Knowledge-Based Businesses Active in the Field of Financial Technology [Volume 11, Issue 44, 2022, Pages 175-202]
  • Active portfolio management A novel approach to fulfill active portfolio management and automatic stock trading based on feature selection algorithm [Volume 4, بهار 1394, 2015, Pages 107-126]
  • Active stock portfolio optimization Presentation of a model for the active optimization of stock portfolios using value at risk exposure; Application of Convergence Variance Difference Models Approach Based on Algorithm DE Approach [Volume 8, Issue 30, 2019, Pages 37-50]
  • Actual purchase risk Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA) [Volume 10, Issue 39, 2021, Pages 585-608]
  • Actuarial Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [Volume 3, تابستان 1393, 2014, Pages 1-24]
  • Adapted risk aversion "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Adaptive fuzzy inference systems Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [Volume 4, پاییز 1394, 2015, Pages 111-134]
  • Adaptive group LASSO Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [Volume 11, Issue 44, 2022, Pages 315-334]
  • Adaptive Improved Genetic Algorithm An Optimization of Moving Average Stock Price in Tehran Stock Exchange: Meta-heuristic approach Adaptive Improved Genetic Algorithm [Volume 7, Issue 25, 2018, Pages 127-148]
  • Adaptive market hypothesis Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Adaptive Risk Aversion A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • Adjusted Markowitz Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [Volume 8, Issue 31, 2019, Pages 339-354]
  • Aerospace industries Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [Volume 10, Issue 40, 2021, Pages 171-203]
  • Agency conflict The effect of transparency of information on the relationship between family ownership and cost of debt [Volume 7, Issue 26, 2018, Pages 83-98]
  • Agency cost The Impact of Agency Costs on Predicting Profitability [Volume 7, Issue 25, 2018, Pages 285-295]
  • Agency cost The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 373-392]
  • Agency cost Explaining the pattern of financial helplessness in companies admitted to the Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 465-482]
  • Agency Motivation Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [Volume 13, Issue 49, 2024, Pages 153-170]
  • Agency problem The Study of the Relationship between Institutional Investors and Stock Price Synchronicity in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 17, 2016, Pages 165-186]
  • Agency theory Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [Volume 2, پاییز 1392, 2013, Pages 167-192]
  • Agency theory The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [Volume 5, Issue 20, 2016, Pages 145-164]
  • Agency theory Investigating the Nonlinear Relationship between CEO Power and Capital Structure [Volume 9, Issue 35, 2020, Pages 65-83]
  • Agency theory Validation of Investment Efficiency Models Based on Agency Theory, Information Asymmetry, Managerial Entrenchment and Firm value maximization [Volume 10, Issue 38, 2021, Pages 287-318]
  • Agency theory The moderating effect of social responsibility on the relationship between investment and performance with emphasis on factors based on agency theory [Volume 10, Issue 38, 2021, Pages 389-410]
  • Agency theory Analyzing resource-based agency theories in explaining the role of digital transformation on the gender diversity of the board of directors and financial distress: Evidence from companies listed on the Tehran Stock Exchange. [Volume 16, Issue 62, 2027, Pages 217-231]
  • Agent - based approach Agent-based modeling in financial markets [Volume 3, زمستان 1393, 2014, Pages 139-158]
  • Agent-based modeling Agent-oriented modeling for credit risk analysis [Volume 4, پاییز 1394, 2015, Pages 71-88]
  • Agility The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [Volume 13, Issue 52, 2024, Pages 421-445]
  • Agricultural Conversion Industries Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [Volume 12, Issue 48, 2023, Pages 489-510]
  • Agricultural sector Identification and prioritization of effective components on capital distribution in the agricultural sector of Khuzestan province with a fuzzy approach [Volume 11, Issue 43, 2022, Pages 265-284]
  • Agriculture Dynamic analysis of factors affecting capital management in Iran's agricultural sector [Volume 13, Issue 52, 2024, Pages 727-757]
  • Agriculture and related services group companies Investigating the effect of internal actions of the green supply chain on financial performance with the mediating role of environmental cooperation of the supply chain and green human resources management in the companies of the agriculture and rela [Volume 15, Issue 59, 2026, Pages 295-318]
  • Agriculture supply chain Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • AHP Application of AHP and fuzzy logic in analysis of impact Physical and human investment in promoting of industrial productivity [Volume 9, Issue 36, 2020, Pages 17-35]
  • AHP Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Airport City Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Alamout region Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [Volume 6, Issue 24, 2017, Pages 231-250]
  • Algorithmic trading Presenting of High-frequency Trading System [Volume 4, پاییز 1394, 2015, Pages 89-110]
  • Algorithmic trading Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Algorithmic trading Algorithmic Trading System for future contract of gold coin based on intra-day data [Volume 7, Issue 28, 2018, Pages 49-68]
  • Algorithmic trading The effect of algorithmic trading on the liquidity of investors' shares Iranian stock exchange market [Volume 12, Issue 48, 2023, Pages 447-464]
  • Algorithmic trading Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
  • AlM Liquidity Trap in Iranian Banks (Based on Indexing of Key Ratios) [Volume 9, Issue 34, 2020, Pages 1-13]
  • Almost Ideal Demand System Investigation of Economic Effects of Energy Carriers Price Increases on the Composition of Consumption Expenditures of Urban Households [Volume 3, زمستان 1393, 2014, Pages 233-252]
  • Altman The Evaluate ability of Altman adjusted Model to Prediction Stages of Financial Distress Newton and Bankruptcy [Volume 3, بهار 1393, 2014, Pages 83-100]
  • Altman Adjusted Model The Evaluate ability of Altman adjusted Model to Prediction Stages of Financial Distress Newton and Bankruptcy [Volume 3, بهار 1393, 2014, Pages 83-100]
  • Amartya Sen Human Development, State and Investment Policies [Volume 7, Issue 25, 2018, Pages 179-188]
  • Amihud’s measure impact of corporate governance strength on stock market liquidity: Emphasizing criteria Amihud, transaction volume and bid-ask spread [Volume 10, Issue 37, 2021, Pages 37-55]
  • Analysis Content analysis of financial risk management research in Iranian banks [Volume 13, Issue 51, 2024, Pages 255-278]
  • Analysis Hierarchical Process (AHP) Developing a Sport Clubs Financing Model with a Analysis Hierarchical Process (AHP) [Volume 10, Issue 40, 2021, Pages 259-281]
  • Analyst_Revision predicted profit on the possibility of revision in profit prediction [Volume 8, Issue 31, 2019, Pages 49-70]
  • Analytical Hierarchy Technique Identification and Rating of Financing Criteria through Assets Securitization in Bank Keshavarzi [Volume 8, Issue 30, 2019, Pages 383-402]
  • Analytic Hierarchy Process (AHP) Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [Volume 12, Issue 48, 2023, Pages 539-558]
  • Anchoring Informational uncertainty a criterion to explain stock returns (Behavioral Approach) [Volume 7, Issue 26, 2018, Pages 131-148]
  • ANFIS The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Angel Investors Behavioral Modeling of Angel Investors’ Investment Decision Makings [Volume 7, Issue 28, 2018, Pages 313-330]
  • ANN Day-ahead stock price forecasting using hybrid model [Volume 8, Issue 30, 2019, Pages 313-328]
  • Annual reports Designing a Pattern for Investors' Risk Sentiment in Annual Reports Using Phenomenology Approach and Attride-Stirling's Thematic Analysis [Volume 13, Issue 52, 2024, Pages 983-1009]
  • Annual Risk Estimation Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [Volume 10, Issue 39, 2021, Pages 103-122]
  • Anomaly Risk Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • ANOVA Explain the behavior of the optimal portfolio choice than the standard financial [Volume 3, بهار 1393, 2014, Pages 207-222]
  • Ant Colony Algorithm Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [Volume 13, Issue 52, 2024, Pages 219-243]
  • Anti-fragility A model for strengthening banks with approach of antifragility to financial crises [Volume 13, Issue 50, 2024, Pages 201-215]
  • Antifragility Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Appropriate Tax Administration A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Arbitrage opportunity Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Arbitrager Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [Volume 3, تابستان 1393, 2014, Pages 187-198]
  • Arbitrage risk Investigating the Impact of Arbitrage Risk and Stock Volatility Risk on Cash Flow Confidence in the Iranian Capital Market [Volume 14, Issue 53, 2025, Pages 237-261]
  • ARDL The impact of financial and money market developments on foreign direct investment in Iran [Volume 7, Issue 25, 2018, Pages 223-244]
  • ARDL The Effect of Financial Depth on Stock Return: The Bounds Testing Approach [Volume 7, Issue 27, 2018, Pages 171-188]
  • ARDL Model Examining the Effect of Shocks in Monetary and Fiscal Policy on Value Added of Industry and Mining Sector in Iran [Volume 6, Issue 24, 2017, Pages 117-138]
  • ARFIMA ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [Volume 2, پاییز 1392, 2013, Pages 213-230]
  • ARIMA ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [Volume 2, پاییز 1392, 2013, Pages 213-230]
  • ARIMA model Proposing a novel model based on ARIMA technique for forecasting housing price: a case study of Tehran [Volume 4, تابستان 1394, 2015, Pages 15-28]
  • ARMA-EGARCH Day-ahead stock price forecasting using hybrid model [Volume 8, Issue 30, 2019, Pages 313-328]
  • ARMS Index Investor sentiment under representativeness heuristic: The case of Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 53-66]
  • ARMS Index Testing investment strategies based on behavioral finance [Volume 5, Issue 20, 2016, Pages 39-66]
  • Article 44 of constitution The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [Volume 6, Issue 24, 2017, Pages 151-166]
  • Article 44 of the Constitution A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [Volume 12, Issue 46, 2023, Pages 657-682]
  • Artificial Bee Colony Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Artificial Intelligence Agent-based modeling in financial markets [Volume 3, زمستان 1393, 2014, Pages 139-158]
  • Artificial Intelligence Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [Volume 10, Issue 37, 2021, Pages 215-239]
  • Artificial Intelligence Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Artificial Intelligence A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios [Volume 12, Issue 48, 2023, Pages 67-98]
  • Artificial Intelligence Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Artificial Intelligence Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Artificial Intelligence Algorithm Application of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [Volume 11, Issue 42, 2022, Pages 413-434]
  • Artificial Intelligence Algorithm Analysis of the emotional behavior of risk-taking and risk-averse investors in the stock portfolio [Volume 15, Issue 60, 2026, Pages 265-290]
  • Artificial intelligence competencies The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Artificial Intelligence Selection Approach Comparative analysis of the effect of performance criteria and monitoring TZ and Jones Earning Smoothing Models (RELIEF LARS - Variable Selection Approach) [Volume 10, Issue 39, 2021, Pages 1-28]
  • Artificial Neural Network Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [Volume 2, پاییز 1392, 2013, Pages 73-84]
  • Artificial Neural Network Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [Volume 8, Issue 31, 2019, Pages 285-316]
  • Artificial Neural Network Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [Volume 9, Issue 35, 2020, Pages 85-100]
  • Artificial Neural Network Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [Volume 13, Issue 51, 2024, Pages 23-54]
  • Artificial Neural Network (ANN) Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [Volume 7, Issue 26, 2018, Pages 277-296]
  • Artificial Neural Networks Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [Volume 2, تابستان 1392, 2013, Pages 63-82]
  • Artificial Neural Networks Comparing the performance Of Artificial Neural Networks(ANN) and Auto Regressive Moving Average(ARIMA) Model in Modeling and Forecasting Short-term Exchange Rate Trend in Iran [Volume 3, تابستان 1393, 2014, Pages 85-100]
  • Artificial Neural Networks Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [Volume 9, Issue 36, 2020, Pages 293-315]
  • Artificial Neural Networks Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [Volume 13, Issue 52, 2024, Pages 613-630]
  • Artificial Neural Networks Testing the measurement power of neural network techniques and data mining techniques in predicting financial distress [Volume 15, Issue 59, 2026, Pages 187-218]
  • Assessed Taxable Income Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 707-727]
  • Asset allocation Investigating investment policy effect on objective achievement in personal account plan [Volume 9, Issue 35, 2020, Pages 169-187]
  • Asset and Debt Management Presenting the asset and liability management model of the bank based on risk management using the systems dynamics approach [Volume 14, Issue 54, 2025, Pages 129-159]
  • Asset Characteristics Investigating the Role of Asset Characteristics, Entrepreneurship and Information in Analyzing the Financial Structure of Startups [Volume 10, Issue 37, 2021, Pages 335-371]
  • Asset fluctuation Impact of Buffer capital changes on banks portfolio risk changes [Volume 8, Issue 32, 2019, Pages 271-290]
  • Asset Pricing Price modeling of Islamic treasury bills based on securitization [Volume 5, Issue 18, 2016, Pages 51-65]
  • Asset Pricing Conditioned Effect Pricing of Return Dispersion [Volume 7, Issue 28, 2018, Pages 197-216]
  • Asset Pricing Speculative bubble and stock return [Volume 8, Issue 29, 2019, Pages 159-170]
  • Asset Pricing Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [Volume 11, Issue 44, 2022, Pages 127-142]
  • Assets Securitization Identification and Rating of Financing Criteria through Assets Securitization in Bank Keshavarzi [Volume 8, Issue 30, 2019, Pages 383-402]
  • Asset Turnover Ratio The Impact of Agency Costs on Predicting Profitability [Volume 7, Issue 25, 2018, Pages 285-295]
  • Asymmetric Strategies Analyzing profitable strategies on option market - evidence from the gold coin option contracts on the Iran mercantile exchange [Volume 8, Issue 30, 2019, Pages 93-114]
  • Asymmetry Clustering of volatility and its asymmetry in Tehran Stock Exchange [Volume 9, Issue 35, 2020, Pages 1-19]
  • Asymmetry Systemic risk transmission in Iranian financial markets [Volume 11, Issue 41, 2022, Pages 429-443]
  • Asymmetry Investigating the Asymmetric Effects of Exchange Rate Flexibility on the Stock Price Index in Iran [Volume 16, Issue 61, 2027, Pages 267-292]
  • Asymmetry of Information The Features of Financial Stress in Iran's Capital Market [Volume 7, Issue 26, 2018, Pages 237-258]
  • Audit Committee Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [Volume 12, Issue 46, 2023, Pages 249-270]
  • Auditor's Reputation Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
  • Audit quality Designing a model for identifying auditors' stress triggers [Volume 10, Issue 40, 2021, Pages 599-620]
  • Audit quality Investigating the relationship between audit quality and growth and value stock return based on 6-factor model of Hagen [Volume 11, Issue 41, 2022, Pages 263-280]
  • Audit quality Develop a Model of Factors Affecting Investment Performance and Analyze and Compare with Structural Equation Methods and Data Panel [Volume 12, Issue 48, 2023, Pages 287-310]
  • Audit quality Presenting and explaining a model to create the value of the company according to the role of accounting standards management, financial reporting quality and audit quality using meta-innovative models [Volume 13, Issue 50, 2024, Pages 239-262]
  • Audit quality Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
  • Audit Report Designing a Model for Measuring the Impact of Intellectual Capital, Profit Quality, Audit Report and Capital Structure on Bankruptcy Risk of Tehran Stock Exchange Companies [Volume 12, Issue 46, 2023, Pages 613-634]
  • Audit risk Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
  • Augmented Reality The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [Volume 11, Issue 41, 2022, Pages 551-575]
  • Automotive industry The Impact of Performance Criteria on Brand Value In the automotive industry [Volume 12, Issue 47, 2023, Pages 541-562]
  • Auto regression with distributed lag Evaluation of long term relations between Tehran Stock Exchange index and macroeconomic variables [Volume 6, Issue 21, 2017, Pages 97-112]
  • Auto Regressive Distributed Lag Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
  • Auto Regressive Distributed Lag Approach Evaluation of the effect of financial policies on Capital Market investment in financial friction [Volume 13, Issue 49, 2024, Pages 463-488]
  • Auto Regressive Distributed Lag model Exchange rate fluctuations and reaction Tehran Stock Exchange [Volume 9, Issue 35, 2020, Pages 223-238]
  • Autoregressive fractionally integrated moving average Efficiency compared to ARIMA and ARFIMA models for modeling and prediction of Tehran Price Index (TEPIX) [Volume 1, تابستان 1391, 2012, Pages 63-80]
  • Autoregressive fractionally integrated moving average (ARFIMA) A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [Volume 12, Issue 47, 2023, Pages 481-504]
  • Autoregressive Integrated Moving Average Efficiency compared to ARIMA and ARFIMA models for modeling and prediction of Tehran Price Index (TEPIX) [Volume 1, تابستان 1391, 2012, Pages 63-80]
  • Autoregressive Integrated Moving Average (ARIMA) Weekly crude oil price forecasting by hybrid support vector machine model and Autoregressive Integrated Moving Average [Volume 4, تابستان 1394, 2015, Pages 145-160]
  • Autoregressive Integrated Moving Average (ARIMA) A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [Volume 12, Issue 47, 2023, Pages 481-504]
  • Auto Regressive Moving Average Comparing the performance Of Artificial Neural Networks(ANN) and Auto Regressive Moving Average(ARIMA) Model in Modeling and Forecasting Short-term Exchange Rate Trend in Iran [Volume 3, تابستان 1393, 2014, Pages 85-100]
  • Average Causality Granger causality analysis in mean patterns to measure the number of lags of the cross-correlation between the standard residuals of returns and trading volume in crisis situation [Volume 13, Issue 51, 2024, Pages 513-541]
  • Average - Variance model applying Imperialist competitive algorithm (ICA) for construction and optimization Portfolio [Volume 4, بهار 1394, 2015, Pages 19-42]
B
  • Background Theory Designing a business intelligence model in terms of ethical decision making in accounting businesses [Volume 14, Issue 53, 2025, Pages 575-596]
  • Back Propagation Algorithm (BP) Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [Volume 7, Issue 26, 2018, Pages 277-296]
  • Bacterial Foraging Optimization Algorithm Minimizing portfolio variance with the limitations of (L) [Volume 6, Issue 21, 2017, Pages 81-96]
  • Balanced financial approach Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [Volume 8, Issue 29, 2019, Pages 297-314]
  • Balance-sheet channel An investigation on the nonlinear effects of monetary policy in the framework of the two channels of net worth and cash flow of the firms (Applying the panel quantile method) [Volume 6, Issue 23, 2017, Pages 213-228]
  • Balloon Analogue Risk Task Investigating the relation between Balloon Analogue Risk Task and financial risk aversion; evidence from Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 415-437]
  • Bank The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [Volume 9, Issue 33, 2020, Pages 327-350]
  • Bank The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • Bank Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [Volume 12, Issue 47, 2023, Pages 521-540]
  • Bank Identifying and prioritizing the key indicators of financial technology evaluation in Iran's banking industry based on the DNAP technique [Volume 13, Issue 51, 2024, Pages 485-512]
  • Bank Analysis of the impact of Fintech on the financial inclusion in Iran [Volume 13, Issue 51, 2024, Pages 567-587]
  • Bank A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Bank Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Bank The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
  • Bank accepted in the Tehran Stock Exchange Identifying the relative efficiency of banks, using the data envelopment analysis and fuzzy multi-attribute decision-making approach (Case Study: The Bank accepted in the Tehran Stock Exchange) [Volume 2, پاییز 1392, 2013, Pages 85-104]
  • Bank Asset - Liability Using the Utility Theory for Finding an Optimal Structure of Bank Asset Liability [Volume 2, زمستان 1392, 2013, Pages 199-212]
  • Bank business model Bank business model with emphasis on social economic factors [Volume 16, Issue 63, 2027, Pages 277-297]
  • Bank Default risk Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 241-256]
  • Bank Deposit Designing the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
  • Banking Identify the capabilities and resources to change the business model of commercial banks in Iran [Volume 6, Issue 21, 2017, Pages 161-174]
  • Banking The mediator role of higher order math thinking skills between lower order math thinking in financial affairs and empowering financial employees based on revised bloom taxonomy [Volume 7, Issue 28, 2018, Pages 23-48]
  • Banking Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Banking Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Banking Healthcare Identification of Indicators of Banks subject to Bankruptcy Crisis Based on Thematic Analysis Method [Volume 10, Issue 40, 2021, Pages 119-147]
  • Banking Industry Presenting a model identification and prioritize for customer preferences in selecting banks and do invest based on grounded theory method and structural equation modeling (case study: Iran’s banking industry) [Volume 8, Issue 30, 2019, Pages 355-382]
  • Banking Industry The Effect of Changes in the Banking Industry Structure on Firms Investment [Volume 9, Issue 35, 2020, Pages 101-119]
  • Banking Industry Presentation of Risk Management Model in Digital Banking - A rational approach [Volume 10, Issue 37, 2021, Pages 489-515]
  • Banking Industry Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Banking Industry Providing a model of value creation with customers in the banking industry from a phenomenological perspective [Volume 12, Issue 45, 2023, Pages 395-418]
  • Banking Industry Environmental Niche Capacity and Peer Effect in Funding Liquidity Risk of Banks [Volume 12, Issue 45, 2023, Pages 261-282]
  • Banking Industry Designing a quality model of integrated marketing communications for specialized banks in Iran [Volume 12, Issue 45, 2023, Pages 453-484]
  • Banking Industry Providing a Pattern for the development of green financing based on the role of the Iranian banking industry for the transition to a Circular Economy [Volume 15, Issue 59, 2026, Pages 27-47]
  • Banking Industry of Iran The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [Volume 10, Issue 40, 2021, Pages 425-450]
  • Banking Industry of Iran The Effects of Social Performance Indices on the Credit Risk of Iranian Banking Industry [Volume 10, Issue 40, 2021, Pages 729-745]
  • Banking network The contagiousness of the risk of financial distress in Iranian banks with a dynamic conditional turbulence approach [Volume 12, Issue 45, 2023, Pages 159-179]
  • Banking Profitability Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • Banking Risk Modeling the Relationship between Efficiency, Risk and Capital in the Iranian Banking System [Volume 10, Issue 40, 2021, Pages 227-240]
  • Banking sector Identification of the indicators of the life cycle management model for the development of banking services Case Study: Parsian Bank)) [Volume 10, Issue 39, 2021, Pages 419-437]
  • Banking sector Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • Banking services Identification of the indicators of the life cycle management model for the development of banking services Case Study: Parsian Bank)) [Volume 10, Issue 39, 2021, Pages 419-437]
  • Banking Stability Examining the Effects of Securitization Process on Credit Risk and Banking Stability: Empirical Evidence from Commercial Banks in Iran [Volume 4, Issue 16, 2015, Pages 75-88]
  • Banking Stability Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Banking system Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 255-268]
  • Banking system Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 269-284]
  • Banking system Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Banking system Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [Volume 13, Issue 52, 2024, Pages 1-40]
  • Banking system Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [Volume 13, Issue 52, 2024, Pages 911-938]
  • Banking system The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
  • Bank Kshavarzi Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Bank Melli Iran Investigating the factors related to the implementation of economic policies of Bank Melli Iran in order to boost production to improve the performance of the financial system [Volume 10, Issue 39, 2021, Pages 395-418]
  • Bankruptcy The Evaluate ability of Altman adjusted Model to Prediction Stages of Financial Distress Newton and Bankruptcy [Volume 3, بهار 1393, 2014, Pages 83-100]
  • Bankruptcy Analysis of bankruptcy of companies listed in Stock Exchange by using of two methods of Discriminant Analysis and DEA–Additive analysis [Volume 4, بهار 1394, 2015, Pages 85-106]
  • Bankruptcy Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [Volume 7, Issue 26, 2018, Pages 277-296]
  • Bankruptcy Identification of Indicators of Banks subject to Bankruptcy Crisis Based on Thematic Analysis Method [Volume 10, Issue 40, 2021, Pages 119-147]
  • Bankruptcy Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [Volume 12, Issue 47, 2023, Pages 47-66]
  • Bankruptcy Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [Volume 12, Issue 47, 2023, Pages 411-434]
  • Bankruptcy Proposing a model of financial resilience in Tehran stock exchange companies in order to prevent bankruptcy [Volume 13, Issue 51, 2024, Pages 623-643]
  • Bankruptcy Prediction A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios [Volume 12, Issue 48, 2023, Pages 67-98]
  • Bankruptcy Risk The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [Volume 5, Issue 20, 2016, Pages 123-144]
  • Bankruptcy Risk Investigating the effect of anomaly criteria in financial reporting on bankruptcy risk in firms listed on the Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 21-46]
  • Bank Sector Index Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Banks’ Balance Sheet Categorization Accrual Quality Assessment Model in Banking Industry [Volume 7, Issue 28, 2018, Pages 247-264]
  • Bank Stability Provide a model for measuring the effects of banking risks on the stability of the banking system [Volume 11, Issue 41, 2022, Pages 471-494]
  • Bank Stability Liquidity risk and credit risk on the stability of public and private banks and providing an appropriate model [Volume 15, Issue 57, 2026, Pages 249-273]
  • Barrier Options Appraisal Exotic Barrier Options in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 205-222]
  • Basel Committee Review the monitoring of modern financial technology and digital currency [Volume 9, Issue 35, 2020, Pages 153-168]
  • Bat algorithm Optimal short-term prediction of initial supply yields using bat and random forest algorithms [Volume 12, Issue 45, 2023, Pages 133-158]
  • Bayesian Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Bayesian averaging Factors affecting liquidity management in pharmaceutical companies: Bayesian averaging approach [Volume 12, Issue 45, 2023, Pages 73-93]
  • Bayesian averaging models Identify and examine the process of impact of the most important variables affecting the banking crisis over time [Volume 12, Issue 47, 2023, Pages 379-410]
  • Bayesian inference Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [Volume 13, Issue 52, 2024, Pages 631-651]
  • Bayesian network Optimal Portfolio Selection using Machine Learning Algorithms [Volume 12, Issue 48, 2023, Pages 511-538]
  • Bayesian Structural Multivariate Stochastic Volatility Investigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
  • Bear Market Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [Volume 10, Issue 37, 2021, Pages 215-239]
  • BEEK-GARCH model Feasibility of Currency hedging for exporter and importer companies by Using the Iran Mercantile Exchange Coin futures contract [Volume 6, Issue 23, 2017, Pages 85-104]
  • Behavioral accounting Designing the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
  • Behavioral accounting Explaining the behavioral model of depositors (components suggestions and outcomes( [Volume 13, Issue 52, 2024, Pages 527-547]
  • Behavioral Approach Prioritization of stock price bubble measuring factors with a behavioral approach [Volume 12, Issue 46, 2023, Pages 419-444]
  • Behavioral Attitude Providing a comprehensive model of decision making based on the attitudes and behavior of investors using structural equation modeling [Volume 10, Issue 40, 2021, Pages 305-330]
  • Behavioral bias Explain momentum and its sources in Tehran stock exchange [Volume 2, تابستان 1392, 2013, Pages 141-154]
  • Behavioral bias Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [Volume 6, Issue 22, 2017, Pages 131-146]
  • Behavioral bias An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Behavioral bias Presenting an Investment Efficiency Model Based on Managers' Behavioral Biases with Emphasis on the Role of Investment Sentiment [Volume 12, Issue 48, 2023, Pages 387-414]
  • Behavioral Biases Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [Volume 6, Issue 24, 2017, Pages 1-20]
  • Behavioral Biases Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [Volume 7, Issue 28, 2018, Pages 83-102]
  • Behavioral Biases Behavioral Modeling of Angel Investors’ Investment Decision Makings [Volume 7, Issue 28, 2018, Pages 313-330]
  • Behavioral Biases Evaluate the stock market performance of companies based on uncertainty in the internal information environment and behavioral biases [Volume 10, Issue 40, 2021, Pages 747-773]
  • Behavioral Biases the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [Volume 11, Issue 43, 2022, Pages 25-41]
  • Behavioral Biases The Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
  • Behavioral Biases Behavioral biases and decisions of real and legal investors under conditions of uncertainty in Tehran Stock Exchange [Volume 12, Issue 45, 2023, Pages 203-231]
  • Behavioral Biases Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [Volume 12, Issue 45, 2023, Pages 297-319]
  • Behavioral Biases Analysis and Evaluation of Effective Behavioral Biases in Investors' Decisions and Determining the Priority of Identified Categories from the Perspective of Experts using Demetel Technique and Analytic Hierarchy Process (AHP) [Volume 12, Issue 47, 2023, Pages 231-248]
  • Behavioral Biases Explaining the model of investors' emotional biases affecting stock price fluctuations in Tehran Stock Exchange By relying on the biases of Endowment, self-control, Optimism and Cognitive Dissonance [Volume 13, Issue 51, 2024, Pages 319-338]
  • Behavioral Biases Investigating factors affecting auditors' behavioral bias with a combined method [Volume 13, Issue 52, 2024, Pages 653-686]
  • Behavioral Biases Stock price fluctuations and investors affected by cognitive biases, aversion to change, representative, Perception and mental accounting [Volume 15, Issue 60, 2026, Pages 79-99]
  • Behavioral Decision Making" Behavioral Decision Making Pattern for Individual Investors In Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 113-130]
  • Behavioral Finance The day of the week effect on the stock market return in the stock exchange of Tehran [Volume 1, بهار 1391, 2012, Pages 1-12]
  • Behavioral Finance Research in Effect of Lunar Calendar Events on Stock Returns and Daily Trading Volume in Tehran Stock Exchange [Volume 2, تابستان 1392, 2013, Pages 195-212]
  • Behavioral Finance Neuro finance, Perspective of Behavioral Finance [Volume 2, پاییز 1392, 2013, Pages 21-34]
  • Behavioral Finance Factor Effect on Financial Analysts trust to Manager [Volume 2, پاییز 1392, 2013, Pages 35-54]
  • Behavioral Finance Analysis of Behavioral Reactions in Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 223-240]
  • Behavioral Finance Relation between “individual investors’ mental evaluations from product and brand” and “their preference to investing in stock” [Volume 3, تابستان 1393, 2014, Pages 199-218]
  • Behavioral Finance Psychological entropy theory in behavioral finance [Volume 3, پاییز 1393, 2014, Pages 239-258]
  • Behavioral Finance Agent-based modeling in financial markets [Volume 3, زمستان 1393, 2014, Pages 139-158]
  • Behavioral Finance A comparative survey on behavioral factors on financial assets investment [Volume 4, پاییز 1394, 2015, Pages 33-52]
  • Behavioral Finance Calendar Effects in the Tehran Stock Exchange Approach to Stochastic Dominance Criteria [Volume 4, Issue 16, 2015, Pages 125-146]
  • Behavioral Finance Investor sentiment under representativeness heuristic: The case of Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 53-66]
  • Behavioral Finance Financial Astrology in Stock Market Analysis [Volume 5, Issue 20, 2016, Pages 277-296]
  • Behavioral Finance Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [Volume 6, Issue 22, 2017, Pages 131-146]
  • Behavioral Finance The effect of prior performance of investors on stock price based on Prospect theory [Volume 6, Issue 23, 2017, Pages 39-54]
  • Behavioral Finance Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [Volume 6, Issue 24, 2017, Pages 1-20]
  • Behavioral Finance Influence of Behavioral finance factors on the decisions of individual investors [Volume 6, Issue 24, 2017, Pages 275-292]
  • Behavioral Finance Analysis of the role of five factor model of personality on the The effect of financial information acquisition on behavior of investors in the Tehran Stock Exchange [Volume 7, Issue 25, 2018, Pages 39-60]
  • Behavioral Finance Comparing the Behavioral Model of Stock Images with Traditional Models in estimating Stock values of Companies Listed on Tehran Stock Exchange [Volume 7, Issue 25, 2018, Pages 245-266]
  • Behavioral Finance Informational uncertainty a criterion to explain stock returns (Behavioral Approach) [Volume 7, Issue 26, 2018, Pages 131-148]
  • Behavioral Finance Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [Volume 7, Issue 28, 2018, Pages 83-102]
  • Behavioral Finance Behavioral Modeling of Angel Investors’ Investment Decision Makings [Volume 7, Issue 28, 2018, Pages 313-330]
  • Behavioral Finance The Impact of Investor’s Perception of Risk on Portfolio Management (Case Study: Active Investor’s Mashhad Stock brokers) [Volume 8, Issue 30, 2019, Pages 73-92]
  • Behavioral Finance The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [Volume 8, Issue 30, 2019, Pages 229-250]
  • Behavioral Finance Behavioral factors affecting on investors behavior in Iran different cultures [Volume 9, Issue 35, 2020, Pages 121-132]
  • Behavioral Finance Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [Volume 9, Issue 35, 2020, Pages 313-336]
  • Behavioral Finance Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [Volume 10, Issue 38, 2021, Pages 1-23]
  • Behavioral Finance A heterogeneous agent pricing model and simulation investor’s behavior on big decline on Tehran stock exchange [Volume 10, Issue 40, 2021, Pages 683-706]
  • Behavioral Finance Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [Volume 12, Issue 45, 2023, Pages 233-259]
  • Behavioral Finance Investigating factors affecting auditors' behavioral bias with a combined method [Volume 13, Issue 52, 2024, Pages 653-686]
  • Behavioral Finance The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Behavioral Finance The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Behavioral Finance Approach Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [Volume 13, Issue 52, 2024, Pages 1-40]
  • Behavioral financial Comparative study of the behavior of investors in equity portfolio (Classic financial approach or behavioral finance approach) [Volume 8, Issue 29, 2019, Pages 101-114]
  • Behavioral model Evaluation of investment methods and comparison between the behavioral model and common logical models in choosing the optimal portfolio [Volume 13, Issue 50, 2024, Pages 455-475]
  • Behavioral pattern of decision making Providing a model for identifying fraud in financial statements Based on psychological components through grounded theory and metacomposition [Volume 15, Issue 57, 2026, Pages 351-380]
  • Behavioral Portfolio Theory (BPT) Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [Volume 6, Issue 24, 2017, Pages 99-116]
  • Behavior Finance- PE ratio- Markov Chain Method- Asset Pricing-Exchnage Security Estimating Stock Prices in the Stock Market Using the Behavioral Financial Modeling Method and Comparing Results by Earning Per Share and Markov Chains [Volume 7, Issue 26, 2018, Pages 149-168]
  • Benchmark Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [Volume 12, Issue 46, 2023, Pages 43-69]
  • Best Pattern The Best Pattern of financial reporting quality in Iran from the viewpoint of investors and others interested groups [Volume 12, Issue 46, 2023, Pages 71-105]
  • Beta Risk-Return Tradeoff: Evidence of Capital Assets Pricing Model [Volume 5, Issue 17, 2016, Pages 113-126]
  • Beta Investigating the relation between Balloon Analogue Risk Task and financial risk aversion; evidence from Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 415-437]
  • Beta of Tracking Portfolio Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [Volume 6, Issue 21, 2017, Pages 113-128]
  • Beta Stability Investigating the relation between Balloon Analogue Risk Task and financial risk aversion; evidence from Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 415-437]
  • Bias Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Biases Agent-based modeling in financial markets [Volume 3, زمستان 1393, 2014, Pages 139-158]
  • Biases CEO Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • Bibliometric The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Bibliometric analysis Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Bid-Ask Spread Research the effects of market microstructure on the stock price in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 31-44]
  • Bid-ask spread measure impact of corporate governance strength on stock market liquidity: Emphasizing criteria Amihud, transaction volume and bid-ask spread [Volume 10, Issue 37, 2021, Pages 37-55]
  • Black-Scholes model Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [Volume 12, Issue 47, 2023, Pages 411-434]
  • Black-Scholes model Option Pricing Based on Information-Based Model [Volume 16, Issue 61, 2027, Pages 1-26]
  • Black Swans A Performance Evaluation of Black Swan Strategy [Volume 5, Issue 18, 2016, Pages 161-177]
  • Blockchain Presenting the model of blockchain technology in smart contracts for the banking industry [Volume 14, Issue 53, 2025, Pages 179-200]
  • Blockchain Non-inflationary financing Housing Construction Supply Chain Based on Permissioned Blockchain Supply Chain [Volume 15, Issue 58, 2026, Pages 391-415]
  • Blockchain The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Blockchain Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Blockchain Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
  • Blockchain Investment The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Blockchain Technology Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [Volume 12, Issue 46, 2023, Pages 465-484]
  • Blockchain Technology Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [Volume 12, Issue 48, 2023, Pages 415-446]
  • Blockchain Technology Designing a suitable model for validating customers in a brokerage based on blockchain technology [Volume 14, Issue 55, 2025, Pages 699-726]
  • Blockchain value The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Blockholders Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • Blockholders Competition Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • Block Maxima Method Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index [Volume 8, Issue 32, 2019, Pages 51-66]
  • Board features Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [Volume 10, Issue 37, 2021, Pages 241-254]
  • Board independence Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [Volume 8, Issue 29, 2019, Pages 297-314]
  • Board independence Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
  • Board size Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [Volume 8, Issue 29, 2019, Pages 297-314]
  • Board structure Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [Volume 11, Issue 44, 2022, Pages 631-652]
  • Book-to-Market Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [Volume 7, Issue 26, 2018, Pages 49-62]
  • Book Vaue/Market Value Ratio Studying the Return of value and Growth Stock Based on the ratio of Book Value/MARKET Value (Case: Publicly Traded Companies) [Volume 2, پاییز 1392, 2013, Pages 105-130]
  • Borrower Conditions Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [Volume 11, Issue 42, 2022, Pages 247-278]
  • BOT Approach Investigating the key success factors of BOT method in financing service projects and presenting an operational model [Volume 12, Issue 47, 2023, Pages 317-334]
  • BOT contracts An overview of contractual methods of financing energy projects with emphasis on Project revenues [Volume 13, Issue 51, 2024, Pages 177-192]
  • BOT project Evaluation of Contracts in Cooperative Projects BOT and Optimal Model in Symmetric Information Condition [Volume 14, Issue 53, 2025, Pages 293-307]
  • Bounds test The Effect of Financial Depth on Stock Return: The Bounds Testing Approach [Volume 7, Issue 27, 2018, Pages 171-188]
  • Bourse Bank Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [Volume 10, Issue 37, 2021, Pages 159-178]
  • Brand Relation between “individual investors’ mental evaluations from product and brand” and “their preference to investing in stock” [Volume 3, تابستان 1393, 2014, Pages 199-218]
  • Brand Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [Volume 13, Issue 49, 2024, Pages 201-216]
  • Brand Equity Rightel Brand valuation [Volume 5, Issue 17, 2016, Pages 75-97]
  • Brand promotion Presentation of Parsian Bank Brand Promotion Model Base on Grounded Theory with a Value Creation Approach [Volume 9, Issue 35, 2020, Pages 357-381]
  • Budget The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [Volume 7, Issue 27, 2018, Pages 299-320]
  • Budgeting The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [Volume 7, Issue 27, 2018, Pages 299-320]
  • Buffer capital Impact of Buffer capital changes on banks portfolio risk changes [Volume 8, Issue 32, 2019, Pages 271-290]
  • Bull Market Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [Volume 10, Issue 37, 2021, Pages 215-239]
  • Business Analysis of Criteria for Improving the Efficiency of Cloud Computing Services Using DEMATEL Technique with Business Survival Approach [Volume 10, Issue 37, 2021, Pages 141-157]
  • Business Strategic factors affecting investment in the freight industry [Volume 11, Issue 43, 2022, Pages 107-127]
  • Business Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
  • Business Continuity Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Business Cycle Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [Volume 3, زمستان 1393, 2014, Pages 253-272]
  • Business Cycle Impact of Buffer capital changes on banks portfolio risk changes [Volume 8, Issue 32, 2019, Pages 271-290]
  • Business Cycles Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [Volume 11, Issue 41, 2022, Pages 195-218]
  • Business development Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [Volume 11, Issue 42, 2022, Pages 279-319]
  • Business Environment Risk The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [Volume 10, Issue 40, 2021, Pages 425-450]
  • Business Model Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [Volume 9, Issue 33, 2020, Pages 93-107]
  • Business Platform Review the monitoring of modern financial technology and digital currency [Volume 9, Issue 35, 2020, Pages 153-168]
  • Business risk Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 193-212]
  • Business risk The Impact of business risk on the firms speed of capital structure adjustment [Volume 14, Issue 55, 2025, Pages 457-480]
  • Business risk The effect of firm risk on risk sentiment in the annual reports of companies using static and dynamic models [Volume 15, Issue 60, 2026, Pages 417-441]
  • Business risk management The effect of business risk management in reducing financing cost by considering the role of financial reporting quality [Volume 16, Issue 63, 2027, Pages 119-141]
  • Business Strategies Analytical Analysis the Impact of Economic Complexity Index & Business Strategies on Firms’ Capital Expenditure under Iran's Vision Plan [Volume 11, Issue 42, 2022, Pages 159-188]
  • Business Strategy Modeling and Identifying Hierarchy of the Effective Measures of Negative Criteria Skewness on Stock Returns and the Extra Sigma of Stock Price Crash Risk in the Tehran Stock Exchange with Panel Data Approach [Volume 9, Issue 34, 2020, Pages 417-438]
  • Business Strategy Modeling and Identifying Hierarchy of the Effective Measures of DUVOL Criteria and the period of falling stock prices in Tehran Stock Exchange with Panel Data Approach [Volume 10, Issue 38, 2021, Pages 105-134]
  • Business Strategy To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership [Volume 10, Issue 39, 2021, Pages 143-159]
  • Business Strategy Business Strategy and Labor Investment Efficiency [Volume 15, Issue 57, 2026, Pages 75-92]
  • Buy and Hold Strategy Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Buy & Hold comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • BVAR Tehran Stock Exchange The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
  • BWM Evaluating and Prioritizing of the Risk of Money Laundering Criteria (Case Study: Refah Bank) [Volume 8, Issue 31, 2019, Pages 209-224]
C
  • Calendar Effects The religious months effect on the stock market return, volatility and volume in the stock exchange of Tehran [Volume 1, پاییز 1391, 2012, Pages 1-26]
  • Calendar Effects Research in Effect of Lunar Calendar Events on Stock Returns and Daily Trading Volume in Tehran Stock Exchange [Volume 2, تابستان 1392, 2013, Pages 195-212]
  • Calendar Effects Calendar Effects in the Tehran Stock Exchange Approach to Stochastic Dominance Criteria [Volume 4, Issue 16, 2015, Pages 125-146]
  • Calibration Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [Volume 12, Issue 48, 2023, Pages 585-606]
  • Calibration Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • Call Option Analyzing profitable strategies on option market - evidence from the gold coin option contracts on the Iran mercantile exchange [Volume 8, Issue 30, 2019, Pages 93-114]
  • Candlestick Patterns Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [Volume 9, Issue 36, 2020, Pages 99-119]
  • CANSLIM Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [Volume 8, Issue 31, 2019, Pages 339-354]
  • CANSLIM Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [Volume 10, Issue 39, 2021, Pages 29-50]
  • CANSLIM analysis The Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
  • Capital Adequacy Examining the Effects of Healthy Banking Indicators in Determining the Asset-Liability Management (ALM) Strategy by Focusing on Capital Adequacy Ratio (CAR) Index [Volume 6, Issue 24, 2017, Pages 139-150]
  • Capital Adequacy Accrual Quality Assessment Model in Banking Industry [Volume 7, Issue 28, 2018, Pages 247-264]
  • Capital Adequacy Identify and examine the process of impact of the most important variables affecting the banking crisis over time [Volume 12, Issue 47, 2023, Pages 379-410]
  • Capital Asset Pricing Explaining the Role of Investors' Sentiment in Capital Asset Pricing [Volume 13, Issue 50, 2024, Pages 1-17]
  • Capital Asset Pricing Model Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [Volume 4, تابستان 1394, 2015, Pages 61-82]
  • Capital Asset Pricing Model A meta-analysis on the capital asset pricing model [Volume 9, Issue 36, 2020, Pages 83-97]
  • Capital Assets Pricing Tests pricing Capital assets with the approach of some value with the use of derivatives [Volume 8, Issue 31, 2019, Pages 127-142]
  • Capital Assets Pricing Model Risk-Return Tradeoff: Evidence of Capital Assets Pricing Model [Volume 5, Issue 17, 2016, Pages 113-126]
  • Capital Bank Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [Volume 12, Issue 48, 2023, Pages 311-328]
  • Capital Cost Develop a Model of Factors Affecting Investment Performance and Analyze and Compare with Structural Equation Methods and Data Panel [Volume 12, Issue 48, 2023, Pages 287-310]
  • Capital Cost The evalution of DCAPM,ACAPM model standard capital cost [Volume 12, Issue 48, 2023, Pages 671-696]
  • Capital Decision Making Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [Volume 13, Issue 50, 2024, Pages 19-38]
  • Capital Expenditure Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [Volume 6, Issue 21, 2017, Pages 41-58]
  • Capital Expenditure Analytical Analysis the Impact of Economic Complexity Index & Business Strategies on Firms’ Capital Expenditure under Iran's Vision Plan [Volume 11, Issue 42, 2022, Pages 159-188]
  • Capital Management Designing a balanced development model for the freight transport industry based on strategic capital management [Volume 10, Issue 38, 2021, Pages 199-221]
  • Capital Market Crisis Risk Preferences and Crisis in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 149-170]
  • Capital Market Crisis The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Capital Market of Iran Test the effectiveness of internal and external methods of financing on the real total returns of stock [Volume 7, Issue 26, 2018, Pages 185-198]
  • Capital Market of Iran Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Capital raising Measurment of stock liquidity criteria surrounding capital raising decisions [Volume 2, زمستان 1392, 2013, Pages 105-120]
  • Capital return The Survey on Mediator Role of Intangible Assets in Managerial Overconfidence and Capital Return (ROIC) [Volume 9, Issue 33, 2020, Pages 163-178]
  • Capital Structure Analysis of the Relationships Between Capital Structure and Cumulative Abnormal Returns (case Study :Tehran securities Exchange) [Volume 1, تابستان 1391, 2012, Pages 141-152]
  • Capital Structure The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [Volume 3, بهار 1393, 2014, Pages 101-132]
  • Capital Structure The Impact of Financial Decisions on Valuation of Firms with Excess Cash flow and Firms with Low Investment Opportunities in TSE [Volume 5, Issue 17, 2016, Pages 147-164]
  • Capital Structure The gap between actual and optimal leverage financial leverage due to risk of bankruptcy [Volume 5, Issue 19, 2016, Pages 67-82]
  • Capital Structure The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [Volume 5, Issue 20, 2016, Pages 145-164]
  • Capital Structure A comprehensive review of inter-relationship among capital structure, free cash flow, diversification and firms’ performance (Tehran Stock Exchange) [Volume 5, Issue 20, 2016, Pages 223-242]
  • Capital Structure The effect of capital structure on firm efficiency and product competitive market of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 283-299]
  • Capital Structure The Impact of Agency Costs on Predicting Profitability [Volume 7, Issue 25, 2018, Pages 285-295]
  • Capital Structure Investigating the Nonlinear Relationship between CEO Power and Capital Structure [Volume 9, Issue 35, 2020, Pages 65-83]
  • Capital Structure Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [Volume 10, Issue 39, 2021, Pages 305-322]
  • Capital Structure The effect of financial development on corporate finance using club convergence approach in Tehran stock exchange [Volume 10, Issue 40, 2021, Pages 331-352]
  • Capital Structure Designing a Model for Measuring the Impact of Intellectual Capital, Profit Quality, Audit Report and Capital Structure on Bankruptcy Risk of Tehran Stock Exchange Companies [Volume 12, Issue 46, 2023, Pages 613-634]
  • Capital Structure Investigating the models of the impact of different types of cash flows from the differentiation strategy and cost leadership with emphasis on the capital structure [Volume 12, Issue 47, 2023, Pages 67-92]
  • Capital Structure The effect of cash flow classes on the speed of adjustment of capital structure [Volume 13, Issue 50, 2024, Pages 391-411]
  • Capital Structure An Analysis of Capital Structure and Ownership structure Resulted from Fraudulent Behaviors: The Role of Moderating Factors [Volume 13, Issue 52, 2024, Pages 811-834]
  • Capital Structure The Impact of business risk on the firms speed of capital structure adjustment [Volume 14, Issue 55, 2025, Pages 457-480]
  • CAPM Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 115-128]
  • CAPM Test A meta-analysis on the capital asset pricing model [Volume 9, Issue 36, 2020, Pages 83-97]
  • Cardinality constraint Fuzzy Portfolio Optimization using Meta-heuristic Unconscious Search Algorithm [Volume 8, Issue 32, 2019, Pages 251-270]
  • Cardinality constraint Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Career Concerns Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Cash Dividends The Impact of Financial Decisions on Valuation of Firms with Excess Cash flow and Firms with Low Investment Opportunities in TSE [Volume 5, Issue 17, 2016, Pages 147-164]
  • Cash Dividends Identifing and Prioritizing Factors Influencing Idevidual Investors' Intention to Receive Cash Devidend [Volume 6, Issue 23, 2017, Pages 245-258]
  • Cash Flow An investigation on the nonlinear effects of monetary policy in the framework of the two channels of net worth and cash flow of the firms (Applying the panel quantile method) [Volume 6, Issue 23, 2017, Pages 213-228]
  • Cash Flow A Model for Explaining Working Capital Management: A Structural Equilibrium Modeling Approach [Volume 6, Issue 24, 2017, Pages 167-186]
  • Cash flow from investment activity Analyzing the relationship between performance metrics and investment cash flow with emphasis on the role of corporate political communication [Volume 12, Issue 45, 2023, Pages 181-202]
  • Cash Flow Imbalance The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • Cash Flow Patterns corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [Volume 12, Issue 46, 2023, Pages 323-348]
  • Cash flows Investigating the models of the impact of different types of cash flows from the differentiation strategy and cost leadership with emphasis on the capital structure [Volume 12, Issue 47, 2023, Pages 67-92]
  • Cash Flow Statement The effect of cash flow classes on the speed of adjustment of capital structure [Volume 13, Issue 50, 2024, Pages 391-411]
  • Cash flow test and Equity investment funds Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
  • Cash holding The association between excess Cash holding and shareholder value: The case of Tehran security exchange [Volume 3, زمستان 1393, 2014, Pages 55-74]
  • Cash holding Investigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
  • Cash holding The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 373-392]
  • Cash management Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Casual chart Presenting of Investment Model for Interaction Between Industry and University with System Dynamic [Volume 2, زمستان 1392, 2013, Pages 41-70]
  • Catastrophe Bond or Cat Bond Catastrophe Bonds Securitization in Iran's Insurance Industry [Volume 7, Issue 27, 2018, Pages 277-298]
  • Catering theory Shareholder Satisfaction Theory and Determinants’ of dividend policy factors in Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 81-104]
  • CAViaR Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [Volume 13, Issue 50, 2024, Pages 501-519]
  • C-CAPM The Effect of Economic and Financial Regime-switching on Equity Premium Puzzle In Fuzzy Logic Framework: The Evidence from Iran [Volume 6, Issue 23, 2017, Pages 153-170]
  • C-CAPM Model Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [Volume 7, Issue 28, 2018, Pages 281-296]
  • CCR The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • CD-CAPM Model Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [Volume 7, Issue 28, 2018, Pages 281-296]
  • Cellular automata Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • Central bank Design and validation of the digital currency issuing model for cross-border payments in Central Bank of Iran [(Articles in Press)]
  • CEO The effect of the CEO's Narcissism on Zombie Firms Performance : A Test of Upper Echelons Theory [Volume 15, Issue 59, 2026, Pages 473-489]
  • CEO Ability Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • CEO Approaches Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
  • CEO Compensation Investors Reaction to the Disclosure of CEO Compensation [Volume 9, Issue 33, 2020, Pages 209-226]
  • CEO duality Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [Volume 12, Issue 46, 2023, Pages 299-322]
  • CEO Narcissism Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 939-961]
  • CEO pay efficiency The study of the effect of motivation on the senior managers of wealth creation for Shareholders [Volume 2, بهار 1392, 2013, Pages 81-98]
  • CEO Power Investigating the Nonlinear Relationship between CEO Power and Capital Structure [Volume 9, Issue 35, 2020, Pages 65-83]
  • CEO Power CEO power and stock price crash risk: The moderator role Of ownership structure [Volume 12, Issue 46, 2023, Pages 817-832]
  • CEO Power and accounting comparability Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
  • Changes of Capital Market Index Evaluation the Effects of Monetary and Fiscal Policy and Iindustry Growth on Changes of Tehran Security Exchange Index [Volume 6, Issue 22, 2017, Pages 49-64]
  • Chaos Theory Empirical analysis of fractal dimensions on cash return and price indices of listed companies of Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 79-93]
  • Chaos Theory Applications of game theory in the analysis of investment knowledge using chaos theory [Volume 10, Issue 38, 2021, Pages 499-518]
  • Choosing the optimal stock portfolio Providing a suitable model for choosing the optimal stock portfolio with gray analysis approach in listed companies (case study of petrochemical companies) [Volume 16, Issue 61, 2027, Pages 83-104]
  • Christofferssen test Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 287-312]
  • Clark-Ocone formula Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [Volume 8, Issue 31, 2019, Pages 165-174]
  • Classical Financial Theories Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [Volume 11, Issue 42, 2022, Pages 435-453]
  • Classic financial Comparative study of the behavior of investors in equity portfolio (Classic financial approach or behavioral finance approach) [Volume 8, Issue 29, 2019, Pages 101-114]
  • Classic Model Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [Volume 8, Issue 31, 2019, Pages 249-264]
  • CLASS model Employment of CLASS and DFAST models in financial stability assessment in the banking system of IRAN in crisis situation [Volume 15, Issue 58, 2026, Pages 289-326]
  • Climate Change Impact of Climate Change Risk and Insurance Industry [Volume 12, Issue 46, 2023, Pages 559-582]
  • Closed End Funds Relationship between Stock price & NAV [Volume 2, زمستان 1392, 2013, Pages 25-40]
  • Clustering Portfolio Optimization Using Hierarchical and Denotation Clustering in Tehran Stock Exchange. [Volume 9, Issue 34, 2020, Pages 333-354]
  • Coalition Game Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Cobb Douglas Function Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • Coding Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • Coding Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Coding Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Cognitive Behavioral Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • Cognitive Biases The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Cognitive Biases The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Cognitive Biases Stock price fluctuations and investors affected by cognitive biases, aversion to change, representative, Perception and mental accounting [Volume 15, Issue 60, 2026, Pages 79-99]
  • Cognitive Empowerment Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [Volume 12, Issue 48, 2023, Pages 193-216]
  • Cognitive Reflection The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Cognitive Styles The relationship between decision-making Models and investors’ expectations of risk and return invest in financial tools: The Markuitz model Approach [Volume 4, Issue 16, 2015, Pages 173-190]
  • Coherent risk Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 287-312]
  • Cohesiveness pattern of financial statements The effect of a coherent presentation model of financial statements on investors' judgment and decisions in comparison with the model presented by the Tehran Stock Exchange and the auditing organization using a quasi-experimental approach [Volume 12, Issue 46, 2023, Pages 203-224]
  • Cohrent risk The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Collective Participation Approach Provide an appropriate model for financing entrepreneurship with a collective participation approach in knowledge-based businesses [Volume 12, Issue 48, 2023, Pages 263-286]
  • Column generation Solving portfolio selection problem using Dantzig-Wolfe algorithm [Volume 8, Issue 30, 2019, Pages 1-18]
  • Combined Compromise Solution (CoCoSo) Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [Volume 12, Issue 48, 2023, Pages 539-558]
  • Combined Research An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
  • Commercial Companies Comedown or emergence of legal personality of commercial companies in the process of merger and acquisition with comparative approach in English law [Volume 11, Issue 42, 2022, Pages 371-390]
  • Commercial Industries Overflow of parallel markets of Tehran Stock Exchange over the trading industries of the stock exchange. [Volume 11, Issue 44, 2022, Pages 453-474]
  • Commercialization Financing A New Investment Model in Technology Commercialization: Case Study of Islamic Azad University [Volume 5, Issue 20, 2016, Pages 1-24]
  • Commercial Rumors Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [Volume 12, Issue 45, 2023, Pages 233-259]
  • Common Stock Identifing and Prioritizing Factors Influencing Idevidual Investors' Intention to Receive Cash Devidend [Volume 6, Issue 23, 2017, Pages 245-258]
  • Communications Designing a quality model of integrated marketing communications for specialized banks in Iran [Volume 12, Issue 45, 2023, Pages 453-484]
  • Companies active in the stock market Cultural factors and risk-taking power of investment companies in Iran's stock exchange [Volume 8, Issue 30, 2019, Pages 153-172]
  • COMPANY COMPETITIVENESS MODEL Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • Company size The exploration of affective factors on price bulb in Tehran exchange [Volume 1, زمستان 1391, 2012, Pages 47-60]
  • Company size Different Effect of Corporate size on The Relationship Between conventional Returns, unconventional Returns and Heterogeneous Investor Beliefs [Volume 8, Issue 31, 2019, Pages 143-164]
  • Company size The role of earnings management in the effect of related party transactions, financial crisis and firm size on tax avoidance [Volume 13, Issue 52, 2024, Pages 549-572]
  • Company specific features Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 193-212]
  • CompanyValue Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [Volume 1, تابستان 1391, 2012, Pages 81-96]
  • Comparative Study New methods of financing football clubs in developed countries and the developing countries have a comparative study [Volume 4, بهار 1394, 2015, Pages 217-232]
  • Comparative Study A Comparative Study of Venture Capital Instruments in Iranian Commercial Banks [Volume 4, پاییز 1394, 2015, Pages 157-166]
  • Compensation Ratio Investors Reaction to the Disclosure of CEO Compensation [Volume 9, Issue 33, 2020, Pages 209-226]
  • Competitive advantage Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Competitive advantage Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [Volume 12, Issue 48, 2023, Pages 415-446]
  • Competitive advantage The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Competitiveness Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • Competitiveness The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Competitiveness in the market of products of companies Explaining the role of personality and structural characteristics of management on the competitiveness in the market of products of companies listed on the Tehran Stock Exchange: Emphasis on data mining models and data envelopment analysis [Volume 12, Issue 48, 2023, Pages 21-46]
  • Competitive pressure A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [Volume 8, Issue 31, 2019, Pages 265-284]
  • Competitive strategies Investigating the models of the impact of different types of cash flows from the differentiation strategy and cost leadership with emphasis on the capital structure [Volume 12, Issue 47, 2023, Pages 67-92]
  • Complex network Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [Volume 13, Issue 51, 2024, Pages 689-710]
  • Complex Networks Contagious topological dynamics in the Iranian stock market [Volume 13, Issue 49, 2024, Pages 279-298]
  • Complex Network theory Systemic risk assessment of the banking system by modeling of the topology of the interbank market network [Volume 9, Issue 35, 2020, Pages 21-48]
  • Composition of Consumer Expenditure Investigation of Economic Effects of Energy Carriers Price Increases on the Composition of Consumption Expenditures of Urban Households [Volume 3, زمستان 1393, 2014, Pages 233-252]
  • Comprehensive Multi-Criteria Decision Making Models Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [Volume 13, Issue 52, 2024, Pages 911-938]
  • Comprehensive Risk Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [Volume 9, Issue 36, 2020, Pages 37-59]
  • Comprehensive Risk Management Providing a behavioral model of comprehensive risk management in the Iranian capital market based on meta-composition and grounded theory approaches [Volume 15, Issue 57, 2026, Pages 531-556]
  • Concentration of ownership Dividend Smoothing Based on Dependent Structure of Investment of Firms [Volume 9, Issue 35, 2020, Pages 383-400]
  • Conceptual model Development of a paradigm model of financial resilience in the water industry by the method of foundation data theory [Volume 16, Issue 61, 2027, Pages 623-637]
  • Conditional Average estimator Predicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
  • Conditional Correlation The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 273-287]
  • Conditional Pricing Conditioned Effect Pricing of Return Dispersion [Volume 7, Issue 28, 2018, Pages 197-216]
  • Conditional risk value The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Conditional value-at-risk Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Conditional Value at Risk Expression and design a model to forecast the exchange rate shocks and stress testing of the currency in Iran [Volume 6, Issue 24, 2017, Pages 251-274]
  • Conditional Value at Risk Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE) [Volume 7, Issue 26, 2018, Pages 1-16]
  • Conditional Value at Risk An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 17-30]
  • Conditional Value at Risk Algorithmic Trading System for future contract of gold coin based on intra-day data [Volume 7, Issue 28, 2018, Pages 49-68]
  • Conditional Value at Risk Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [Volume 8, Issue 30, 2019, Pages 173-190]
  • Conditional Value at Risk Relationship between risk and risk - aversion utility Based on Multi-Period prospect theory [Volume 12, Issue 46, 2023, Pages 533-558]
  • Conditional Value at Risk Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [Volume 13, Issue 49, 2024, Pages 325-352]
  • Conditional Value at Risk Systemic risk spillover between OPEC crude oil, Tehran Stock Exchange index and exchange rate [Volume 15, Issue 58, 2026, Pages 1-22]
  • Conditional Value at Risk Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
  • Conditional Value at Risk Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Conditional Value at Risk Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Conditional Value at Risk (CVaR) Selection of optimal portfolio by using improved Non-Dominated Sorting Genetic Algorithm and Evolutionary Algorithm Strength Pareto By taking risk on the basis of conditional value at risk [Volume 7, Issue 28, 2018, Pages 69-82]
  • Conditional volatility Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Confirmatory Factor Analysis An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
  • Confirmatory Factor Analysis Validating the network policy making model in the field of digital banking in Iran [Volume 13, Issue 50, 2024, Pages 413-430]
  • Confirmatory Factor Analysis Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
  • Confucius Principles Identify the dimensions of the ethical foundations model in accounting education and rank them [Volume 12, Issue 47, 2023, Pages 291-316]
  • Conservatism A comparative survey on behavioral factors on financial assets investment [Volume 4, پاییز 1394, 2015, Pages 33-52]
  • Conservatism The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [Volume 5, Issue 20, 2016, Pages 123-144]
  • Conservatism Behavioral factors affecting on investors behavior in Iran different cultures [Volume 9, Issue 35, 2020, Pages 121-132]
  • Conservatism The clarification of Relation between Accounting conservatism and bankruptcy of accepted companies in Tehran stock exchange (TSE) using models of bankruptcy prediction [Volume 9, Issue 35, 2020, Pages 337-356]
  • Conservatism Assessment the Impact of Inefficient Investment Decisions on the Relationship between Conservatism and New Investment [Volume 9, Issue 36, 2020, Pages 61-82]
  • Conservative Risk Disclosure A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • Constraint theory Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [Volume 11, Issue 41, 2022, Pages 219-248]
  • Consumer price index Locally Stationary Wavelet Process and Its Application in Consumer Price Index [Volume 1, بهار 1391, 2012, Pages 67-82]
  • Consumer price index Investigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
  • Consumption index The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Content analysis The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
  • Contract Theory Evaluation of Contracts in Cooperative Projects BOT and Optimal Model in Symmetric Information Condition [Volume 14, Issue 53, 2025, Pages 293-307]
  • Contrarian Strategy Capital market anomalies and Portfolio – selection Strategies in the Tehran stock market [Volume 2, تابستان 1392, 2013, Pages 15-28]
  • Contrarian Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • Conversion Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [Volume 13, Issue 51, 2024, Pages 213-238]
  • Conversion Electronic Marketing Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [Volume 11, Issue 42, 2022, Pages 279-319]
  • Conversion Industries Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [Volume 11, Issue 42, 2022, Pages 279-319]
  • Convex space Solving portfolio selection problem using Dantzig-Wolfe algorithm [Volume 8, Issue 30, 2019, Pages 1-18]
  • Cooperation Explain the appropriate pattern of risk-taking power of stock market investors based on social capital using the factor of exploratory factor analysis approach and modeling of structural equations [Volume 12, Issue 47, 2023, Pages 21-46]
  • COPELAND Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • Copula function Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE) [Volume 7, Issue 26, 2018, Pages 1-16]
  • Copula Functions Portfolio optimization by using the Copula Approach and multivariate conditional value at risk in Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 205-226]
  • Copula Functions The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [Volume 12, Issue 46, 2023, Pages 505-532]
  • Copula Functions Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [Volume 13, Issue 49, 2024, Pages 325-352]
  • Copula Functions Latent Volatility Modeling and Bayesian Analysis of stochastic Volatility of Intraday Data of Tehran Stock Exchange Index Based on Markov Monte Carlo Chain [Volume 13, Issue 51, 2024, Pages 543-566]
  • Copula Functions Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
  • Core-Satellite investing A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [Volume 4, پاییز 1394, 2015, Pages 53-70]
  • CORFS index Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [Volume 10, Issue 37, 2021, Pages 273-296]
  • Corona virus Investigating the Asymmetric Relationship between Oil Price and the Covid-19 Pandemic with Trading Value on the Stock Exchange [Volume 12, Issue 47, 2023, Pages 191-216]
  • Corporate Banking Digital transformation in corporate banking: theoretical approach and behavioral analysis [Volume 11, Issue 44, 2022, Pages 603-630]
  • Corporate bankruptcy Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Corporate Customer of Bank Designing and explaining the default risk prediction model of Mellat Bank for Corporate customer using artificial intelligence approach (firefly and anteater optimization algorithms) [Volume 14, Issue 55, 2025, Pages 613-638]
  • Corporate Factors Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [Volume 12, Issue 47, 2023, Pages 411-434]
  • Corporate Governance The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [Volume 3, بهار 1393, 2014, Pages 101-132]
  • Corporate Governance Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [Volume 3, تابستان 1393, 2014, Pages 25-46]
  • Corporate Governance Study of the relationship between governmental and institutional ownership with corporate social responsibility (Companies listed on the Tehran Stock Exchange) [Volume 5, Issue 17, 2016, Pages 55-74]
  • Corporate Governance Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [Volume 6, Issue 21, 2017, Pages 233-247]
  • Corporate Governance Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [Volume 6, Issue 24, 2017, Pages 187-202]
  • Corporate Governance Ranking Iranian banks according to corporate governance based on banks documents [Volume 7, Issue 26, 2018, Pages 199-220]
  • Corporate Governance corporate governance role in readability of board of directors' report of companies listed in Tehran Stock Exchange [Volume 10, Issue 39, 2021, Pages 69-84]
  • Corporate Governance Investigation Of The Relationship Between Corporate Governance And Profitability Indexes Of Investment In Iranian Commercial Banks. [Volume 10, Issue 39, 2021, Pages 265-282]
  • Corporate Governance Explain the relationship between the complexity of financial reports used by investors and corporate governance in companies listed on the Tehran Stock Exchange [Volume 11, Issue 41, 2022, Pages 577-608]
  • Corporate Governance Investigating the Relationship between Financial Reporting Quality andCorporate Investment Decisions with an Emphasis on Accounting Information Governance Role [Volume 11, Issue 42, 2022, Pages 27-55]
  • Corporate Governance Investigating some corporate governance mechanisms and its effect on stock value and projected income in companies listed on the stock exchange [Volume 11, Issue 43, 2022, Pages 357-371]
  • Corporate Governance Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [Volume 12, Issue 46, 2023, Pages 299-322]
  • Corporate Governance corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [Volume 12, Issue 46, 2023, Pages 323-348]
  • Corporate Governance A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios [Volume 12, Issue 48, 2023, Pages 67-98]
  • Corporate Governance Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [Volume 12, Issue 48, 2023, Pages 141-170]
  • Corporate Governance Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [Volume 12, Issue 48, 2023, Pages 489-510]
  • Corporate Governance Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [Volume 13, Issue 52, 2024, Pages 93-125]
  • Corporate Governance Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Corporate Governance Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Corporate Governance Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Corporate Governance The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
  • Corporate Governance Mechanism The Impact of Agency Costs on Predicting Profitability [Volume 7, Issue 25, 2018, Pages 285-295]
  • Corporate Governance Mechanisms Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [Volume 3, تابستان 1393, 2014, Pages 25-46]
  • Corporate Governance Mechanisms The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Corporate governance strength impact of corporate governance strength on stock market liquidity: Emphasizing criteria Amihud, transaction volume and bid-ask spread [Volume 10, Issue 37, 2021, Pages 37-55]
  • Corporate health The Role of corporate governance culture and Investor Rights In corporate Health [Volume 12, Issue 47, 2023, Pages 93-112]
  • Corporate performance The Association between Management turnovers With Default Risk and Corporate Performance [Volume 4, پاییز 1394, 2015, Pages 183-204]
  • Corporate performance The impact of supporting minority shareholders and the majority stakeholder's patience on the relationship between managing information impact and corporate performance [Volume 10, Issue 39, 2021, Pages 227-247]
  • Corporate Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • Corporate Risk Taking The Testosterone Level of the CEO and Corporate Risk Taking [Volume 6, Issue 24, 2017, Pages 83-98]
  • Corporate social responsibility Study of the relationship between governmental and institutional ownership with corporate social responsibility (Companies listed on the Tehran Stock Exchange) [Volume 5, Issue 17, 2016, Pages 55-74]
  • Corporate social responsibility Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [Volume 6, Issue 21, 2017, Pages 41-58]
  • Corporate social responsibility Evaluate the Economic Consequences of the Social Responsibility of Firms (With Emphasis on Investment Efficiency) [Volume 7, Issue 27, 2018, Pages 225-240]
  • Corporate tax-Private investment- GMM The effect of governmental investment on the effect private investment with the existence of corporate tax" [Volume 3, تابستان 1393, 2014, Pages 167-186]
  • Corporate Venture Capital A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [Volume 8, Issue 31, 2019, Pages 265-284]
  • Correlation The Effect of Portfolio Diversification on Value at Risk in Tehran Stock Exchange (TSE) [Volume 2, تابستان 1392, 2013, Pages 83-104]
  • Correlation Correlation Analysis of Stock Exchange Index, Oil price, Exchange Rate and Gold price: A Wavelet Decomposition Method [Volume 2, پاییز 1392, 2013, Pages 131-148]
  • Correlation Coefficients The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [Volume 9, Issue 35, 2020, Pages 189-205]
  • Correlation of the Variable Investigation of the variable of the illiquidity risk and the effect it’s on the excess of stock return in the stock market [Volume 1, پاییز 1391, 2012, Pages 27-46]
  • Corruption The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • Cost Identifying the required factors for launching social trading in Iran capital market using exploratory factor analysis technique [Volume 14, Issue 55, 2025, Pages 639-654]
  • Cost of Capital Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [Volume 4, بهار 1394, 2015, Pages 43-62]
  • Cost of Capital The relationship between stock liquidity, cost of capital, and family ownership [Volume 12, Issue 48, 2023, Pages 559-584]
  • Cost of Capital Investigating the Impact of Political Communication on the Relationship between Investment Performance and Cost of Capital [Volume 13, Issue 52, 2024, Pages 41-62]
  • Cost of Capital Evaluation and comparison of three pricing models of conditional, reward and adjustment capital assets with the standard model in explaining the cost of capital [(Articles in Press)]
  • Cost of carry Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [Volume 3, تابستان 1393, 2014, Pages 187-198]
  • Cost of Equity Investigate the Relationship between Financial Development and Cost of Equity [Volume 8, Issue 31, 2019, Pages 95-110]
  • Cox regression Credit Risk Modeling: Spline based logistic regression Survival approach [Volume 9, Issue 34, 2020, Pages 167-184]
  • Creating Company Value Presenting and explaining a model to create the value of the company according to the role of accounting standards management, financial reporting quality and audit quality using meta-innovative models [Volume 13, Issue 50, 2024, Pages 239-262]
  • Credit default swap valuation Bilateral Risk Valuation of Credit Default Swap Contracts: Under multivariate Variance Gamma Process with flexible dependence structure [Volume 15, Issue 58, 2026, Pages 87-108]
  • Credit Event Credit Derivatives: Shari'aa & Economic Feasible Study For Banks Credit Risk Improvement [Volume 3, بهار 1393, 2014, Pages 187-206]
  • Credit portfolio Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • Credit Risk. Liquidity Risk Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Credit risk management Credit risk management in the banking system - A comparative approach of Data Envelopment Analysis and Neural Network and Logistic Regression [Volume 1, تابستان 1391, 2012, Pages 35-62]
  • Credit risk management Feasibility of using credit default swaps money market [Volume 4, Issue 16, 2015, Pages 45-58]
  • Credit risk management Comprehensive Model of Credit Risk Management in the Banking System of Iran [Volume 6, Issue 24, 2017, Pages 55-82]
  • Credit risk management Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
  • Crisis Events Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Crisis management Developing a strategic model for earthquake crisis management, targeting to minimize economic vulnerability; case study on district 22 of Tehran [Volume 12, Issue 48, 2023, Pages 607-636]
  • Criteria of Balanced Scorecard The Position of Balanced Scorecard in Stock Selection Decision Making Using PAPRIKA Technique [Volume 9, Issue 34, 2020, Pages 295-315]
  • Cross-border payments Design and validation of the digital currency issuing model for cross-border payments in Central Bank of Iran [(Articles in Press)]
  • Cross-sectional stock returns Evaluating the herding behavior of individual investors in the Iranian capital market and the factors affecting it with a complex network approach [Volume 13, Issue 51, 2024, Pages 689-710]
  • Crowdfunding Presenting a crowdfunding risk model in fintech-based businesses. [Volume 12, Issue 46, 2023, Pages 733-756]
  • Crowdfunding Identification and modeling of factors affecting the risk of collective financial provision in art projects based on the combined approach of theme analysis and partial least squares in SEM. [Volume 14, Issue 56, 2025, Pages 563-582]
  • CSR The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [Volume 9, Issue 33, 2020, Pages 327-350]
  • Cultural Factor Investigation of risk perception mental model of investors of Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 195-216]
  • Cultural Factors Cultural factors and risk-taking power of investment companies in Iran's stock exchange [Volume 8, Issue 30, 2019, Pages 153-172]
  • Culture The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [Volume 9, Issue 33, 2020, Pages 327-350]
  • Culture Behavioral factors affecting on investors behavior in Iran different cultures [Volume 9, Issue 35, 2020, Pages 121-132]
  • Cumulative abnormal Analysis of the Relationships Between Capital Structure and Cumulative Abnormal Returns (case Study :Tehran securities Exchange) [Volume 1, تابستان 1391, 2012, Pages 141-152]
  • Currency rate of return Study on the effect of Currency rate of return at TEDPIX and TEPIX on Tehran stock exchange using by ARDL regression [Volume 11, Issue 41, 2022, Pages 281-302]
  • Currency Risk Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Customer Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [Volume 9, Issue 33, 2020, Pages 93-107]
  • Customer Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [Volume 9, Issue 35, 2020, Pages 313-336]
  • Customer Churn Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [Volume 10, Issue 39, 2021, Pages 341-354]
  • Customer Engagement Social media marketing and brand social identity focusing on customer engagement in the investment process [Volume 10, Issue 38, 2021, Pages 609-591]
  • Customer Engagement Providing a model of value creation with customers in the banking industry from a phenomenological perspective [Volume 12, Issue 45, 2023, Pages 395-418]
  • Customer Experience Investigating the Impact of Factors Affecting the Acceptance of Financial Technology by Bank Customers (Case Study of Pasargad Bank) [Volume 10, Issue 38, 2021, Pages 135-153]
  • Customer Relationship Management Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [Volume 10, Issue 39, 2021, Pages 341-354]
  • Customers Designing a quality model of integrated marketing communications for specialized banks in Iran [Volume 12, Issue 45, 2023, Pages 453-484]
  • Customers' preferences Presenting a model identification and prioritize for customer preferences in selecting banks and do invest based on grounded theory method and structural equation modeling (case study: Iran’s banking industry) [Volume 8, Issue 30, 2019, Pages 355-382]
  • Customer Value Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [Volume 12, Issue 47, 2023, Pages 1-20]
  • CVaR Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [Volume 13, Issue 52, 2024, Pages 347-372]
  • Cyberspace Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [Volume 12, Issue 45, 2023, Pages 233-259]
D
  • Dantzig-Wolf algorithm Solving portfolio selection problem using Dantzig-Wolfe algorithm [Volume 8, Issue 30, 2019, Pages 1-18]
  • Data Envelopment Analysis Credit risk management in the banking system - A comparative approach of Data Envelopment Analysis and Neural Network and Logistic Regression [Volume 1, تابستان 1391, 2012, Pages 35-62]
  • Data Envelopment Analysis Production planning in parallel production systems such as banks: A DEA-based approach [Volume 2, بهار 1392, 2013, Pages 163-178]
  • Data Envelopment Analysis Identifying the relative efficiency of banks, using the data envelopment analysis and fuzzy multi-attribute decision-making approach (Case Study: The Bank accepted in the Tehran Stock Exchange) [Volume 2, پاییز 1392, 2013, Pages 85-104]
  • Data Envelopment Analysis Efficiency Evaluation and Rating of registerd brokerage firms of Tehran Stock Exchange Using data envelopment analysis (DEA) [Volume 2, زمستان 1392, 2013, Pages 175-198]
  • Data Envelopment Analysis Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • Data Envelopment Analysis Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [Volume 10, Issue 37, 2021, Pages 23-36]
  • Data Envelopment Analysis The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [Volume 10, Issue 40, 2021, Pages 103-118]
  • Data Envelopment Analysis Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
  • Data Envelopment Analysis Evaluation and ranking of market risk in infrastructure projects using integrated DEA/AHP technique [Volume 13, Issue 51, 2024, Pages 119-136]
  • Data Envelopment Analysis" Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [Volume 13, Issue 50, 2024, Pages 19-38]
  • Data Envelopment Analysis Approach Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA) [Volume 9, Issue 36, 2020, Pages 335-352]
  • Data envelopment analysis (DEA) Portfolio Performance Assessment Based on a Mixed (Economic-Accounting) Approach and Data Envelopment Analysis (DEA) [Volume 9, Issue 36, 2020, Pages 197-210]
  • Data Foundation A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [Volume 12, Issue 46, 2023, Pages 657-682]
  • Data Mining Methods Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Data Mining Models Explaining the role of personality and structural characteristics of management on the competitiveness in the market of products of companies listed on the Tehran Stock Exchange: Emphasis on data mining models and data envelopment analysis [Volume 12, Issue 48, 2023, Pages 21-46]
  • Data Panel Examining the relationship between development of Islamic Financial Systems and Foreign Direct Investment [Volume 7, Issue 28, 2018, Pages 141-158]
  • Data Panel Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [Volume 13, Issue 51, 2024, Pages 279-300]
  • Davenport The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport [Volume 9, Issue 36, 2020, Pages 1-16]
  • DCC Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
  • DCC-FIAPARCH The Effect of Shockes of Selected Domestic and Foreign Markets on the Volatilities of Investment Return in Tehran Stock Exchange: DCC-FIAPARCH Model [Volume 10, Issue 37, 2021, Pages 77-101]
  • DEA–Additive analysis Analysis of bankruptcy of companies listed in Stock Exchange by using of two methods of Discriminant Analysis and DEA–Additive analysis [Volume 4, بهار 1394, 2015, Pages 85-106]
  • DEA / AHP Evaluation and ranking of market risk in infrastructure projects using integrated DEA/AHP technique [Volume 13, Issue 51, 2024, Pages 119-136]
  • DE approach Presentation of a model for the active optimization of stock portfolios using value at risk exposure; Application of Convergence Variance Difference Models Approach Based on Algorithm DE Approach [Volume 8, Issue 30, 2019, Pages 37-50]
  • Debt financing Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 151-170]
  • Debt market development Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [Volume 12, Issue 45, 2023, Pages 1-25]
  • Debt market development Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [Volume 12, Issue 48, 2023, Pages 99-140]
  • Debt market investors Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [Volume 12, Issue 45, 2023, Pages 1-25]
  • Debt market investors Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [Volume 12, Issue 48, 2023, Pages 99-140]
  • Debt Settlement Period A Model for Explaining Working Capital Management: A Structural Equilibrium Modeling Approach [Volume 6, Issue 24, 2017, Pages 167-186]
  • Decision making Studying the Effects of the Locus of Control on the Perceptual Errors in the Decision Making of the Investors in the Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 105-124]
  • Decision making The Position of Balanced Scorecard in Stock Selection Decision Making Using PAPRIKA Technique [Volume 9, Issue 34, 2020, Pages 295-315]
  • Decision making Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [Volume 12, Issue 48, 2023, Pages 539-558]
  • Decision making Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Decision-making Emotional intelligence effect on the quality of decision making by investors in the stock exchange [Volume 5, Issue 17, 2016, Pages 99-112]
  • Decision-making An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Decision-making Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
  • Decision-making approaches Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [Volume 9, Issue 34, 2020, Pages 127-147]
  • Decision making Investors The Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
  • Decision Making Trial And Evaluation Laboratory (DEMATEL) based on Analytical Network Process (ANP) (DANP) Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
  • Decisions Identifying factors affecting capital budgeting decisions (case study: Iran National Steel Company) [Volume 15, Issue 59, 2026, Pages 455-472]
  • Decision support system Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [Volume 4, پاییز 1394, 2015, Pages 205-230]
  • Decision Support System (DSS) Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Decision tree Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [Volume 7, Issue 27, 2018, Pages 189-206]
  • Decision tree The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [Volume 10, Issue 40, 2021, Pages 35-55]
  • Decision tree Validation of the decision tree algorithm in predicting financial helplessness: combining judgmental methods and quantitative methods of reducing variables [Volume 15, Issue 58, 2026, Pages 191-222]
  • Decision Tree Model (CART) Applying Rough Developed theoretical Models (ERST), Interpretation-Structural Analysis (ISM) and Decision Tree (CART) for Help Auditors to Identify Fraud in the Financial Statements of Companies Listed on the Stock Exchange of Iran [Volume 9, Issue 33, 2020, Pages 179-208]
  • Declared Taxable Income Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 707-727]
  • Default correlation risk Modeling the default correlation risk in the financial network based on the reduced model [Volume 13, Issue 49, 2024, Pages 101-122]
  • Default risk The Association between Management turnovers With Default Risk and Corporate Performance [Volume 4, پاییز 1394, 2015, Pages 183-204]
  • Default risk Designing and explaining the default risk prediction model of Mellat Bank for Corporate customer using artificial intelligence approach (firefly and anteater optimization algorithms) [Volume 14, Issue 55, 2025, Pages 613-638]
  • Defined Benefit Plans Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [Volume 3, تابستان 1393, 2014, Pages 1-24]
  • Defined Contribution plans Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [Volume 3, تابستان 1393, 2014, Pages 1-24]
  • Delphi Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [Volume 12, Issue 47, 2023, Pages 249-268]
  • Delphi method Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks [Volume 8, Issue 32, 2019, Pages 171-194]
  • Delphi Technique Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [Volume 3, بهار 1393, 2014, Pages 65-82]
  • Delphi Technique Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [Volume 7, Issue 27, 2018, Pages 125-140]
  • Delphi Technique Identification and Rating of Financing Criteria through Assets Securitization in Bank Keshavarzi [Volume 8, Issue 30, 2019, Pages 383-402]
  • DEMATEL presentation of new method for investment strategy in private section [Volume 3, پاییز 1393, 2014, Pages 259-289]
  • DEMATEL Identification and ranking of the marketing mix of services in the banking industry focusing on financial services & Investment using DEMATEL [Volume 11, Issue 44, 2022, Pages 203-218]
  • Demerge Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [Volume 13, Issue 51, 2024, Pages 213-238]
  • Demographic characteristics The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [Volume 8, Issue 32, 2019, Pages 217-234]
  • Demographic characteristics Self-Control, Financial Literacy and Consumer Over-Indebtedness (Case Study: Yazd Tire Industries Complex) [Volume 9, Issue 33, 2020, Pages 351-371]
  • Dempster-Schaeffer theory Stock Portfolio Selection Using Dempster-Shafer Evidence Theory [Volume 8, Issue 32, 2019, Pages 109-128]
  • Dependent Structure Dividend Smoothing Based on Dependent Structure of Investment of Firms [Volume 9, Issue 35, 2020, Pages 383-400]
  • Deposit Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 255-268]
  • Deposit Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 269-284]
  • Deposit fees Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [Volume 12, Issue 48, 2023, Pages 311-328]
  • Deposit Guarantee Fund’s Special Membership Fee Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [Volume 9, Issue 36, 2020, Pages 37-59]
  • Derivatives Tests pricing Capital assets with the approach of some value with the use of derivatives [Volume 8, Issue 31, 2019, Pages 127-142]
  • Derivatives Financial derivatives and risk management tools; Provide model and explanation by grounded theory method [Volume 14, Issue 54, 2025, Pages 107-128]
  • Descriptive- Correlational Method Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [Volume 6, Issue 24, 2017, Pages 231-250]
  • Design and evaluation Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • Developing Countries Glibalization and its impact on foreign direct investment in developing and develoed countries [Volume 12, Issue 45, 2023, Pages 377-393]
  • Development of Interactive Capability with stakeholders Information Content of Financial Reporting and the development of interactive capability with stakeholders: Pygmalion Theory Test [Volume 11, Issue 44, 2022, Pages 75-102]
  • Development of stock exchange Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [Volume 5, Issue 20, 2016, Pages 67-94]
  • Development of stock exchange Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [Volume 7, Issue 28, 2018, Pages 217-232]
  • Deviation from expected investment. Emotional tendencies of investors Influence of Emotional Trends of Investors and the Company's Borrowing on Deviations from Expected Investment [Volume 7, Issue 27, 2018, Pages 39-58]
  • Deviation risk Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 287-312]
  • Diagnosis of activity continuity and health A model for continuing the activity and diagnosing the health of manufacturing companies in Iran [Volume 12, Issue 45, 2023, Pages 321-351]
  • DID approach The effect of cryptocurrency profitability on the amount of deposits attracted and loans paid by banks using the DID approach [Volume 14, Issue 53, 2025, Pages 529-549]
  • Differential evolution algorithm Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Digital Banking Identifying and Ranking Digital Marketing Factors in the Banking Industry: with an Emphasis on Financial and Investment Services (using Grounded Theory) [Volume 12, Issue 48, 2023, Pages 465-488]
  • Digital Banking Validating the network policy making model in the field of digital banking in Iran [Volume 13, Issue 50, 2024, Pages 413-430]
  • Digital Banking Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Digital currencies Evaluating the Relationship between Digital Currencies and Stock Market Indices (VAR Regression Approach) [Volume 15, Issue 57, 2026, Pages 119-141]
  • Digital Marketing Identifying and Ranking Digital Marketing Factors in the Banking Industry: with an Emphasis on Financial and Investment Services (using Grounded Theory) [Volume 12, Issue 48, 2023, Pages 465-488]
  • Direct foreign investment The role of good government and human resource in attracting direct foreign investment and economical growth (a selection of developing countries) [Volume 13, Issue 50, 2024, Pages 263-286]
  • Direct Market Access (DMA) Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [Volume 5, Issue 20, 2016, Pages 95-122]
  • Directors’ Report Readability corporate governance role in readability of board of directors' report of companies listed in Tehran Stock Exchange [Volume 10, Issue 39, 2021, Pages 69-84]
  • Disclosure of Information Providing a model for transparency of financial information in the country's insurance industry [Volume 10, Issue 38, 2021, Pages 61-80]
  • Disclosure Quality The effect of forward-looking non-financial information (FNFI) on corporate investment efficiency & financing constraint [Volume 9, Issue 36, 2020, Pages 121-141]
  • Disclosure Quality Explaining the effect of financial reporting concepts on the level of risk disclosure in annual financial reporting in companies listed on the Tehran Stock Exchange [Volume 10, Issue 38, 2021, Pages 455-473]
  • Disclosure Quality Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Discounted Cash Flow Model (DCFM) The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • Discrete Non-Decimated Wavelets Locally Stationary Wavelet Process and Its Application in Consumer Price Index [Volume 1, بهار 1391, 2012, Pages 67-82]
  • Discretionary Accruals Information Environment and Earnings Management in Companies to Dual Holdings [Volume 8, Issue 29, 2019, Pages 215-332]
  • Discriminant analysis Analysis of bankruptcy of companies listed in Stock Exchange by using of two methods of Discriminant Analysis and DEA–Additive analysis [Volume 4, بهار 1394, 2015, Pages 85-106]
  • Discriminant analysis Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [Volume 12, Issue 46, 2023, Pages 25-41]
  • Distance approach Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Distress Prediction Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [Volume 13, Issue 52, 2024, Pages 1-40]
  • Distributionally Robust Portfolio Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
  • Distribution quartile Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Disturbance in High Frequency Prices The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [Volume 11, Issue 43, 2022, Pages 61-81]
  • Dividend policy Dividend Policy Prediction by Multivariable and Univariate Neural Network Models [Volume 7, Issue 26, 2018, Pages 169-184]
  • Dividend policy Investigating the effect of the effect of quality of internal controls on Dividend Policy With Emphasis on the moderating role of Institutional Investors Horizon [Volume 14, Issue 54, 2025, Pages 363-380]
  • Dividend policy Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Dividend policy and Tehran Stock Exchange (TSE) Shareholder Satisfaction Theory and Determinants’ of dividend policy factors in Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 81-104]
  • Dividend reduction Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [Volume 11, Issue 44, 2022, Pages 51-73]
  • Dividend smoothing Dividend Smoothing Based on Dependent Structure of Investment of Firms [Volume 9, Issue 35, 2020, Pages 383-400]
  • Division Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [Volume 13, Issue 51, 2024, Pages 213-238]
  • DNAP Identifying and prioritizing the key indicators of financial technology evaluation in Iran's banking industry based on the DNAP technique [Volume 13, Issue 51, 2024, Pages 485-512]
  • Downside Risk Management of Downside risk and Upside risk with exchange rates and stock prices [Volume 10, Issue 39, 2021, Pages 85-102]
  • Downside Risk A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • DQR Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [Volume 13, Issue 50, 2024, Pages 501-519]
  • Driver effect Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [Volume 1, تابستان 1391, 2012, Pages 81-96]
  • Drivers Foresight of education and research in the Iranian tax system - with an economic approach [Volume 9, Issue 36, 2020, Pages 371-395]
  • DTW The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [Volume 9, Issue 35, 2020, Pages 189-205]
  • Dual Holding Information Environment and Earnings Management in Companies to Dual Holdings [Volume 8, Issue 29, 2019, Pages 215-332]
  • Dungeon Kruger's effect Financial management and Dungeon Kruger's (self-help) [Volume 8, Issue 30, 2019, Pages 139-152]
  • Dynamic conditional correlation Investigation volatility spillovers between oil market and stock index return [Volume 7, Issue 25, 2018, Pages 267-284]
  • Dynamic conditional correlation The Effect of Shockes of Selected Domestic and Foreign Markets on the Volatilities of Investment Return in Tehran Stock Exchange: DCC-FIAPARCH Model [Volume 10, Issue 37, 2021, Pages 77-101]
  • Dynamic Data Envelopment Analysis Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Dynamic efficiency of investment comparative study of dynamic performance of investment according to method (garch)and kalman filter [Volume 12, Issue 45, 2023, Pages 283-295]
  • Dynamic financial analysis Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
  • Dynamic Model Dynamic analysis of factors affecting capital management in Iran's agricultural sector [Volume 13, Issue 52, 2024, Pages 727-757]
  • Dynamic Panel The Effect of Investors Sentiment and Free Float on Stock return in TSE Listed Companies by Using Generalized Method of Moments (GMM) [Volume 9, Issue 34, 2020, Pages 317-331]
  • Dynamic panel data model Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [Volume 10, Issue 40, 2021, Pages 621-644]
  • Dynamic Process Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [Volume 12, Issue 46, 2023, Pages 43-69]
E
  • Early Warning System The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [Volume 10, Issue 40, 2021, Pages 35-55]
  • Early Warning System Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
  • Early Warning Systems(EWS) Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Earning consistent growth The Effect of Earning Consistent Growth on the Stock Price Reactions to the EPS Forecast Characteristic [Volume 2, بهار 1392, 2013, Pages 99-114]
  • Earning Downside Risk Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • Earning Per Share Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [Volume 2, تابستان 1392, 2013, Pages 63-82]
  • Earning Quality Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [Volume 13, Issue 52, 2024, Pages 631-651]
  • Earning Quality Prioritization of Effective Factors in Measuring the Quality of Earning According to Specific Market Conditions Using the Network Analysis Process (ANP) and Density-Based Spatial Clustering of Applications with Noise [Volume 14, Issue 54, 2025, Pages 571-590]
  • Earnings-Announcement Theoretical Explanation of Earnings-Announcement Timing To judge (behavior) investors with a Critical Approach [Volume 13, Issue 49, 2024, Pages 27-50]
  • Earning’s Component The effect of risk control on the relationship between firm value and benefit components using the model Easton and Pae in companies listed on the Tehran Stock Exchange [Volume 7, Issue 28, 2018, Pages 159-174]
  • Earnings Forecast Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Earnings Overstatement The Effect of Investment Firms Ownership on Earnings Overstatement: Test of Strategic Alignment and Efficient Monitoring Hypothesis [Volume 6, Issue 23, 2017, Pages 55-70]
  • Earnings Payment Rate The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [Volume 10, Issue 40, 2021, Pages 283-303]
  • Earnings Per Share (EPS) Identifing and Prioritizing Factors Influencing Idevidual Investors' Intention to Receive Cash Devidend [Volume 6, Issue 23, 2017, Pages 245-258]
  • Earnings predictability The effect of corporate governance mechanisms on the relationship between excess free cash flow and earnings forecast [Volume 5, Issue 20, 2016, Pages 263-276]
  • Earnings predictability The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [Volume 7, Issue 25, 2018, Pages 189-202]
  • Earnings Quality Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 151-170]
  • Earnings Quality Developing a model of abnormal audit report lag: origins and consequences [Volume 13, Issue 52, 2024, Pages 395-420]
  • Earnings Quality and Tehran Stock Exchange Testing the Effectiveness of Capital Market Efficiency through Investment Mediator Variables on Earnings Management Quality of Companies Listed in Iranian Stock Exchange [Volume 11, Issue 44, 2022, Pages 261-279]
  • Earnings Smoothing The Relationship of Management Optimism and Earnings Smoothing between Banks Listed in Tehran Stock Exchange and OTC [Volume 6, Issue 22, 2017, Pages 179-196]
  • Earning volatilities Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • Ease of Doing Business The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Economical finance Psychological entropy theory in behavioral finance [Volume 3, پاییز 1393, 2014, Pages 239-258]
  • Economic and political news Examination of investor reaction to unexpected economic and political events in Tehran stock market [Volume 2, پاییز 1392, 2013, Pages 55-72]
  • Economic Complexity Index Analytical Analysis the Impact of Economic Complexity Index & Business Strategies on Firms’ Capital Expenditure under Iran's Vision Plan [Volume 11, Issue 42, 2022, Pages 159-188]
  • Economic cycles Economic Cycle and Symmetric Volatility of Financial Market Returns: Study of Emerging Economies [Volume 8, Issue 29, 2019, Pages 189-206]
  • Economic cycles Conceptual modeling of the sensitivity of the bank's financial resources to the economic periods of the country: qualitative analysis based on grounded theory [Volume 14, Issue 56, 2025, Pages 429-449]
  • Economic Freedom The Role of Securitization in Countries’ Economic Growth and Development (Focus on Need to Deployment of Securitization Market in IRAN) [Volume 4, Issue 16, 2015, Pages 221-240]
  • Economic growth The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [Volume 8, Issue 32, 2019, Pages 21-36]
  • Economic growth Investigating the interactions of inequality income, employment and economic growth [Volume 9, Issue 33, 2020, Pages 283-299]
  • Economic growth The Effect of Banking Credit Clients Validation on Economic Growth in Iran (Case study of Bank Saderat Iran) [Volume 12, Issue 48, 2023, Pages 217-244]
  • Economic growth The role of good government and human resource in attracting direct foreign investment and economical growth (a selection of developing countries) [Volume 13, Issue 50, 2024, Pages 263-286]
  • Economic growth Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach [Volume 13, Issue 51, 2024, Pages 55-78]
  • Economic growth The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Economic Growth" Investigating the impact of corporate governance factors on economic growth in terms of information disclosure in companies listed on Tehran Bahadur Stock Exchange [Volume 14, Issue 55, 2025, Pages 503-530]
  • Economic Growth and Development The Role of Securitization in Countries’ Economic Growth and Development (Focus on Need to Deployment of Securitization Market in IRAN) [Volume 4, Issue 16, 2015, Pages 221-240]
  • Economic Growth and Development Designing and explaining the integrated marketing communication model in the financial and economic growth of the tourism industry [Volume 12, Issue 47, 2023, Pages 435-456]
  • Economic growth rate Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model [Volume 9, Issue 36, 2020, Pages 317-334]
  • Economic growth rate Investigating the effect of risk and competitiveness indicators of the banking industry on the index of economic growth and consumer inflation in iran’s economy [Volume 12, Issue 48, 2023, Pages 1-20]
  • Economic informations An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [Volume 4, بهار 1394, 2015, Pages 127-150]
  • Economic policies Investigating the factors related to the implementation of economic policies of Bank Melli Iran in order to boost production to improve the performance of the financial system [Volume 10, Issue 39, 2021, Pages 395-418]
  • Economic policy uncertainty leverage decisions , economy policy uncertainty and peer-bank behavior in accepted banks of TSE [Volume 13, Issue 52, 2024, Pages 267-286]
  • Economic recession Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Economic Stress Scenarios Predicting the Financial Solvency of Insurance Companies under Economic Stress Scenarios Using Machine Learning Algorithms [Volume 16, Issue 64, 2027, Pages 621-644]
  • Economic Uncertainty Economic policy uncertainty, banks’ lending decisions [Volume 8, Issue 32, 2019, Pages 315-330]
  • Economic Uncertainty Investigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
  • Economies' Model Building Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • Education Foresight of education and research in the Iranian tax system - with an economic approach [Volume 9, Issue 36, 2020, Pages 371-395]
  • Education Education development model based on investment management approach in Mazandaran University [Volume 14, Issue 53, 2025, Pages 597-611]
  • Education Level" Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [Volume 11, Issue 42, 2022, Pages 189-205]
  • Effective features Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [Volume 11, Issue 44, 2022, Pages 315-334]
  • Effective gap The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [Volume 11, Issue 43, 2022, Pages 61-81]
  • Effectiveness of the board Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [Volume 6, Issue 21, 2017, Pages 233-247]
  • Effects of spillover The effect of exchange rate volatilities and it's spillover effect on the index of Tehran Stock Exchange [Volume 6, Issue 21, 2017, Pages 1-14]
  • Efficiency Credit risk management in the banking system - A comparative approach of Data Envelopment Analysis and Neural Network and Logistic Regression [Volume 1, تابستان 1391, 2012, Pages 35-62]
  • Efficiency Production planning in parallel production systems such as banks: A DEA-based approach [Volume 2, بهار 1392, 2013, Pages 163-178]
  • Efficiency Performance test to calculate the risk of classical general [Volume 2, تابستان 1392, 2013, Pages 105-122]
  • Efficiency Efficiency Evaluation and Rating of registerd brokerage firms of Tehran Stock Exchange Using data envelopment analysis (DEA) [Volume 2, زمستان 1392, 2013, Pages 175-198]
  • Efficiency Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • Efficiency The effect of capital structure on firm efficiency and product competitive market of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 283-299]
  • Efficiency Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA) [Volume 9, Issue 36, 2020, Pages 335-352]
  • Efficiency Analysis of Criteria for Improving the Efficiency of Cloud Computing Services Using DEMATEL Technique with Business Survival Approach [Volume 10, Issue 37, 2021, Pages 141-157]
  • Efficiency Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [Volume 12, Issue 46, 2023, Pages 757-784]
  • Efficiency Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Efficiency Investigating the Analysis of Pricing Efficiency in Exchange Tradable Funds (ETFs) from the Tehran Stock Exchange [Volume 14, Issue 56, 2025, Pages 209-231]
  • Efficiency of Capital Market Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [Volume 9, Issue 33, 2020, Pages 79-92]
  • Efficient Market Hypothesis The day of the week effect on the stock market return in the stock exchange of Tehran [Volume 1, بهار 1391, 2012, Pages 1-12]
  • Efficient Market Hypothesis Fractal Analysis of Tehran Stock Exchange Index With RS Method [Volume 1, پاییز 1391, 2012, Pages 63-80]
  • Efficient Market Hypothesis Calendar Effects in the Tehran Stock Exchange Approach to Stochastic Dominance Criteria [Volume 4, Issue 16, 2015, Pages 125-146]
  • Efficient Monitoringg theory Role of Government in Financial Reporting Quality: (Test of Efficient Monitoring Hypothesis) [Volume 14, Issue 54, 2025, Pages 161-190]
  • Efficient Monitoring theory The Influence of Ownership of Investment Company on Financial Reporting Quality: A Test of Efficient Monitoring Hypothesis [Volume 12, Issue 46, 2023, Pages 107-137]
  • EGARCH-Extreme learning Machine model Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [Volume 10, Issue 39, 2021, Pages 103-122]
  • EGARCH & M-GARCH models The relationships between market beta with macroeconomic variables and accounting information [Volume 3, تابستان 1393, 2014, Pages 47-66]
  • E-GARCH Model Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index [Volume 8, Issue 32, 2019, Pages 51-66]
  • Electre Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • Electronic Banking. Security. Operational Risk Management. Art Infrastructural Facilities. Globalization A Study of E-Banking Security Measures Adopted by the Indian Public Sector Banks with an Outlook For Globalization [Volume 5, Issue 18, 2016, Pages 253-262]
  • Electronic Readiness (E-Readiness) Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [Volume 5, Issue 20, 2016, Pages 95-122]
  • Electronic Supply Chain of Product Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Emerging markets Economic Cycle and Symmetric Volatility of Financial Market Returns: Study of Emerging Economies [Volume 8, Issue 29, 2019, Pages 189-206]
  • Emotion Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 141-170]
  • Emotional biases Explaining the model of investors' emotional biases affecting stock price fluctuations in Tehran Stock Exchange By relying on the biases of Endowment, self-control, Optimism and Cognitive Dissonance [Volume 13, Issue 51, 2024, Pages 319-338]
  • Emotional biases The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Emotional Competencies Investigation of Financial Advisors Competencies Role in Perceived Investment Value InTehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 103-124]
  • Emotional Quotient Emotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [Volume 11, Issue 42, 2022, Pages 481-505]
  • Employment Investigating the interactions of inequality income, employment and economic growth [Volume 9, Issue 33, 2020, Pages 283-299]
  • Employment The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Employment Business Strategy and Labor Investment Efficiency [Volume 15, Issue 57, 2026, Pages 75-92]
  • EMS Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • Endogenous Growth Models Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • Endowment effect A comparative survey on behavioral factors on financial assets investment [Volume 4, پاییز 1394, 2015, Pages 33-52]
  • Energy Carriers Investigation of Economic Effects of Energy Carriers Price Increases on the Composition of Consumption Expenditures of Urban Households [Volume 3, زمستان 1393, 2014, Pages 233-252]
  • Energy carriers price The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [Volume 11, Issue 41, 2022, Pages 99-117]
  • Energy consumption Investigating the Relationship between Energy Consumption, Financial Development and Trade Openness in the Middle East Countries [Volume 13, Issue 52, 2024, Pages 325-345]
  • Energy Economy Investigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
  • England New methods of financing football clubs in developed countries and the developing countries have a comparative study [Volume 4, بهار 1394, 2015, Pages 217-232]
  • Enterprise Risk Management Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [Volume 4, پاییز 1394, 2015, Pages 205-230]
  • Enterprise Risk Management Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange [Volume 13, Issue 50, 2024, Pages 95-109]
  • Enterprise Risk Management (ERM) Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [Volume 12, Issue 48, 2023, Pages 489-510]
  • Enterprise Risk Management؛ Holding Company؛ Risk Map Identification, Analysis and Evaluation Risk's of Subsidiaries in Holdings [Volume 10, Issue 37, 2021, Pages 373-394]
  • Entrepreneurship Investigating the Role of Asset Characteristics, Entrepreneurship and Information in Analyzing the Financial Structure of Startups [Volume 10, Issue 37, 2021, Pages 335-371]
  • Entrepreneurship Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [Volume 13, Issue 52, 2024, Pages 245-266]
  • Entrepreneurship Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Entrepreneurship Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • Entrepreneurship financing Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [Volume 11, Issue 42, 2022, Pages 637-658]
  • Entrepreneurship Management Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [Volume 10, Issue 37, 2021, Pages 459-488]
  • Entrepreneurship models through acquisition Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [Volume 11, Issue 42, 2022, Pages 637-658]
  • Entropy Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • Entropy The Fuzzy Mean-Entropy Portfolio Model : Sensitivity Analysis, Transaction Costs Based on Credibility Theory [Volume 8, Issue 29, 2019, Pages 257-274]
  • Entropy Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • Environmental crises Identifying and Prioritizing the Factors Affecting the Bankruptcy of Iranian Firms [Volume 12, Issue 47, 2023, Pages 47-66]
  • Environmental Management Green Human Resource Management A Investment Approach and Sustainable Development [Volume 5, Issue 20, 2016, Pages 297-327]
  • Environmental Management Identification and Ranking of Green investment Factors [Volume 9, Issue 34, 2020, Pages 71-107]
  • Environmental turbulence A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [Volume 8, Issue 31, 2019, Pages 265-284]
  • EPS forecast characteristics The Effect of Earning Consistent Growth on the Stock Price Reactions to the EPS Forecast Characteristic [Volume 2, بهار 1392, 2013, Pages 99-114]
  • Equilibrium Nash Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 97-118]
  • Equity Cost Evaluate the stock market performance of companies based on uncertainty in the internal information environment and behavioral biases [Volume 10, Issue 40, 2021, Pages 747-773]
  • Equity Financing Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 151-170]
  • Equity Markets Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [Volume 11, Issue 41, 2022, Pages 195-218]
  • Equity Premium Predicting of Equity Premium: Empirical Evidence from PEG Models [Volume 6, Issue 23, 2017, Pages 129-152]
  • Equity Return Ratio The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [Volume 10, Issue 40, 2021, Pages 283-303]
  • Equity Returns Dispersion Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 147-160]
  • Equity risk adjustment degree Portfolio optimization with a degree of stock risk adjustment based on performance measurement model [Volume 15, Issue 58, 2026, Pages 23-42]
  • Error Diference The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • ETF Investigating the Analysis of Pricing Efficiency in Exchange Tradable Funds (ETFs) from the Tehran Stock Exchange [Volume 14, Issue 56, 2025, Pages 209-231]
  • Ethical Competencies Investigation of Financial Advisors Competencies Role in Perceived Investment Value InTehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 103-124]
  • Ethical Decision Making Designing a business intelligence model in terms of ethical decision making in accounting businesses [Volume 14, Issue 53, 2025, Pages 575-596]
  • Ethical Foundations Identify the dimensions of the ethical foundations model in accounting education and rank them [Volume 12, Issue 47, 2023, Pages 291-316]
  • Ethics Identify the dimensions of the ethical foundations model in accounting education and rank them [Volume 12, Issue 47, 2023, Pages 291-316]
  • Ethics Presenting a conceptual model of influencing factors on the development of the professional ethics of auditors of the state tax affairs administration [Volume 16, Issue 61, 2027, Pages 63-82]
  • Ethics in decision making Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [Volume 9, Issue 34, 2020, Pages 127-147]
  • Ethnicity Geographical Area The Relationship between Population Parameters with Herding Behavior of Investors in the Tehran Stock Exchange [Volume 6, Issue 24, 2017, Pages 203-214]
  • EVA Comparing of the Effects of EVA (Economic Value Added), EVA Spread and EVA Momentum on Stock Return [Volume 5, Issue 18, 2016, Pages 67-77]
  • Evaluation Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • EVA Momentum Comparing of the Effects of EVA (Economic Value Added), EVA Spread and EVA Momentum on Stock Return [Volume 5, Issue 18, 2016, Pages 67-77]
  • EVA Spread Comparing of the Effects of EVA (Economic Value Added), EVA Spread and EVA Momentum on Stock Return [Volume 5, Issue 18, 2016, Pages 67-77]
  • Evolutionary Algorithm Strength Pareto II‌ (SPEA2) Selection of optimal portfolio by using improved Non-Dominated Sorting Genetic Algorithm and Evolutionary Algorithm Strength Pareto By taking risk on the basis of conditional value at risk [Volume 7, Issue 28, 2018, Pages 69-82]
  • Evolutionary Multi-Objective Algorithm Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 259-275]
  • Excess cashflow The Impact of Financial Decisions on Valuation of Firms with Excess Cash flow and Firms with Low Investment Opportunities in TSE [Volume 5, Issue 17, 2016, Pages 147-164]
  • Excess cash holding The Impact of Excess Cash Holding on Liquidity Risk by Using Liu’s Theoretical framework [Volume 10, Issue 39, 2021, Pages 355-373]
  • Excess Return Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • Excess Return Mathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [Volume 11, Issue 44, 2022, Pages 577-602]
  • Excess Stock Price Volatility The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [Volume 10, Issue 40, 2021, Pages 375-399]
  • Exchange the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [Volume 11, Issue 43, 2022, Pages 25-41]
  • Exchange Market Examination of investor reaction to unexpected economic and political events in Tehran stock market [Volume 2, پاییز 1392, 2013, Pages 55-72]
  • Exchange rate prediction Application of Geometric Brownian motion in prediction of gold price and currency rate [Volume 8, Issue 30, 2019, Pages 251-270]
  • Exchange rates Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [Volume 8, Issue 32, 2019, Pages 291-314]
  • Exchange rates Asymmetric Co-integration based on Nonlinear ARDL: Evidence from Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 595-612]
  • Exchange-Traded Funds The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [Volume 8, Issue 31, 2019, Pages 193-208]
  • Exit Threat Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • Exotic Option Installment Option Valuation by Least Squares with Checking the Solution Convergence [Volume 8, Issue 32, 2019, Pages 87-108]
  • Exotic Options Appraisal Exotic Barrier Options in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 205-222]
  • Exotic Options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
  • Expected Investment Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [Volume 7, Issue 26, 2018, Pages 49-62]
  • Expected Management Profit The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Expected Profitability Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [Volume 7, Issue 26, 2018, Pages 49-62]
  • Expected Return Minimizing portfolio variance with the limitations of (L) [Volume 6, Issue 21, 2017, Pages 81-96]
  • Expected Return Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [Volume 7, Issue 26, 2018, Pages 49-62]
  • Expected Return Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [Volume 11, Issue 44, 2022, Pages 315-334]
  • Expected returns The relationship between decision-making Models and investors’ expectations of risk and return invest in financial tools: The Markuitz model Approach [Volume 4, Issue 16, 2015, Pages 173-190]
  • Expected shortfall Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Expected Shortfall (VaR) Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Expected yield fluctuations Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [Volume 9, Issue 34, 2020, Pages 41-54]
  • Expert system Developing an expert system to create and rebalance investment portfolio, using technical analysis [Volume 8, Issue 29, 2019, Pages 31-44]
  • Expert system Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [Volume 10, Issue 37, 2021, Pages 103-139]
  • Exploratory Factor Analysis Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Exponentially veragVaR Back testing The Revised Sharp Method Examination Based on Value at Risk for Evaluation of Tehran Stock Exchange Companies [Volume 1, زمستان 1391, 2012, Pages 133-150]
  • Exponential Moving Average Compare efficiency technical strategies containing exponential moving average and relative strength index with buy and hold method [Volume 4, Issue 16, 2015, Pages 27-44]
  • Export Effect of exchange rate pass on Stock Returns in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 191-212]
  • Ex post facto studies Risk-Return Tradeoff: Evidence of Capital Assets Pricing Model [Volume 5, Issue 17, 2016, Pages 113-126]
  • Ex post facto study Forecasting Investors Trading Behavior: Evidence from Prospect Theory [Volume 4, پاییز 1394, 2015, Pages 19-32]
  • Expressed tax The role of tax based on financial transactions in increasing government revenue [Volume 13, Issue 51, 2024, Pages 385-404]
  • External Corporate Governance Mechanisms The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [Volume 13, Issue 52, 2024, Pages 299-324]
  • External dimensions of corporate governance The Relation of The Different Dimensions of Corporate Governance with Tax Avoidance in Accepted Companies on Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 229-244]
  • External factors A model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
  • External monitor Cash Flow Sensitivity Analysis on the Impact of Financial Constraints Based on the Bao Model [Volume 3, زمستان 1393, 2014, Pages 181-194]
  • External venturing A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [Volume 8, Issue 31, 2019, Pages 265-284]
  • Extreme dependence Evaluating Extreme Dependence between Tehran security exchange and international Stock Markets Using multivariate Extreme Value Theory (MEVT) [Volume 7, Issue 27, 2018, Pages 241-256]
  • Extreme Market Movement A Performance Evaluation of Black Swan Strategy [Volume 5, Issue 18, 2016, Pages 161-177]
  • Extreme returns Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Extreme Value Theory Modeling volatility and conditional VaR measure using GARCH models and theoretical EVT in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 259-282]
  • Extreme Value Theory Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index [Volume 8, Issue 32, 2019, Pages 51-66]
  • Extreme Value Theory portfolio optimization based on modeling of dependence structure and extreme value theory [Volume 11, Issue 44, 2022, Pages 475-499]
  • Extreme Value Theory Portfolio VaR Modelling using EVT-Pair-Copulas Approach [Volume 13, Issue 49, 2024, Pages 51-76]
  • Extreme Value Theory Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [Volume 13, Issue 49, 2024, Pages 325-352]
  • Extreme Value Theory Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
  • Extreme Value Theory (EVT) Application of Extreme Value Theory in Value at Risk forecasting [Volume 3, زمستان 1393, 2014, Pages 159-180]
F
  • FAAO technique Presentation model of financial resilanse in finanacial technology business based on risk [Volume 13, Issue 50, 2024, Pages 431-454]
  • Facial width to height ratio The Testosterone Level of the CEO and Corporate Risk Taking [Volume 6, Issue 24, 2017, Pages 83-98]
  • Factor analysis Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [Volume 7, Issue 27, 2018, Pages 189-206]
  • Factor analysis The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [Volume 8, Issue 32, 2019, Pages 217-234]
  • Factor analysis Design the model for Glomar Stock Selection in the Tehran Securities Exchange [Volume 9, Issue 36, 2020, Pages 181-195]
  • Factor analysis Comparing the superiority of Glomar stock using multi-criteria decision-making models, Taxonomy and PROMETHEE [Volume 10, Issue 38, 2021, Pages 45-60]
  • Factor analysis presenting a model to optimize liquidity measures in tehran stock exchange [Volume 12, Issue 46, 2023, Pages 349-370]
  • Factor analysis Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Factor Models Statistical Arbitrage Strategy Based on Factor Models of Prices in Iran's stock exchange market [Volume 8, Issue 32, 2019, Pages 37-50]
  • Factors Affecting Finance through Assets Securitization Clarification of the Factors Affecting Finance through Assets Securitization to the Agricultural Bank [Volume 8, Issue 31, 2019, Pages 273-392]
  • Fairness of Compensation Investors Reaction to the Disclosure of CEO Compensation [Volume 9, Issue 33, 2020, Pages 209-226]
  • Fair value accounting The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [Volume 6, Issue 22, 2017, Pages 165-178]
  • Fama and French Stock Return And Modigliani–Miller Valuating: Revisiting the Fama and French [Volume 7, Issue 26, 2018, Pages 49-62]
  • Fama and French Model Speculative bubble and stock return [Volume 8, Issue 29, 2019, Pages 159-170]
  • Fama and French Seven Factors Model Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • Fama and French`s five-factor model A comparison between the Fama and French`s three-factor and five-factor models to describe the return of the growth and value stock [Volume 5, Issue 19, 2016, Pages 129-144]
  • Fama and French's Five-Factor Model Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [Volume 9, Issue 36, 2020, Pages 271-291]
  • Fama and French`s three-factor model A comparison between the Fama and French`s three-factor and five-factor models to describe the return of the growth and value stock [Volume 5, Issue 19, 2016, Pages 129-144]
  • Fama and French three-factor model Fama and French Three-factor Model and Liquidity Risk: Evidence from Tehran Stock Exchange Market [Volume 1, تابستان 1391, 2012, Pages 97-116]
  • Fama and French three-factor model The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Fama and French Three-Factor Model (2001) Explaining the Role of Investors' Sentiment in Capital Asset Pricing [Volume 13, Issue 50, 2024, Pages 1-17]
  • Fama & French model An Evaluation of Mutual Funds Performance in Iranian Capital Market by combining Market Timing Models with the Fama and French three Factor Model [Volume 8, Issue 31, 2019, Pages 175-192]
  • Fama- French Three Factor Model Return Momentum:Evidence from Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 1-20]
  • Family economy The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [Volume 11, Issue 41, 2022, Pages 99-117]
  • Family Firms Effect of family firms on information asymmetry and cost of capital [Volume 6, Issue 21, 2017, Pages 129-144]
  • Fast Fourier transform Power option pricing Under Heston model (Evidences of Tehran stock exchange) [Volume 9, Issue 33, 2020, Pages 241-257]
  • FCCC Model Constant Conditional Correlation Volatility Transmission Model with Long Memory Effect, evidence from Tehran and Dubai Stock Market [Volume 3, پاییز 1393, 2014, Pages 25-46]
  • Feasibility study Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [Volume 11, Issue 42, 2022, Pages 637-658]
  • FFPM Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 115-128]
  • FIGARCH Modeling volatility and conditional VaR measure using GARCH models and theoretical EVT in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 259-282]
  • Filtered Historical simulation Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [Volume 10, Issue 39, 2021, Pages 103-122]
  • Finances Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [Volume 10, Issue 40, 2021, Pages 171-203]
  • Finances Management Capability Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [Volume 10, Issue 40, 2021, Pages 171-203]
  • Financial New methods of financing football clubs in developed countries and the developing countries have a comparative study [Volume 4, بهار 1394, 2015, Pages 217-232]
  • Financial Ability Providing a comprehensive model of decision making based on the attitudes and behavior of investors using structural equation modeling [Volume 10, Issue 40, 2021, Pages 305-330]
  • Financial analysis The Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
  • Financial Analyst behavior An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Financial Analysts Factor Effect on Financial Analysts trust to Manager [Volume 2, پاییز 1392, 2013, Pages 35-54]
  • Financial Astrology Financial Astrology in Stock Market Analysis [Volume 5, Issue 20, 2016, Pages 277-296]
  • Financial Attitude Students’ knowledge and understanding of personal financial security Analysis of students’ attitude towards knowledge of personal financial security [Volume 3, زمستان 1393, 2014, Pages 41-54]
  • Financial Attitude The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Financial Behavior Evaluate Capital market analyst’s personality traits as a third dimension to their success [Volume 6, Issue 22, 2017, Pages 87-100]
  • Financial Behavior Analyzing the Influence of Self-Esteem and Financial Knowledge on the Financial Behavior (Case study: brokerage of real investors of Eghtesade Novin Bank) [Volume 7, Issue 27, 2018, Pages 59-78]
  • Financial Behavior Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [Volume 12, Issue 47, 2023, Pages 563-582]
  • Financial Behavior Investigating Life Cycle Patterns on Financial Behavior with Organic Approach Theory Approach [Volume 14, Issue 54, 2025, Pages 1-18]
  • Financial Behavior The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Financial Behavior Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Financial-Behavioral Approach Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [Volume 11, Issue 42, 2022, Pages 435-453]
  • Financial-Behavioral Factors Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [Volume 13, Issue 52, 2024, Pages 785-810]
  • Financial behaviors Analysis and Evaluation of Effective Behavioral Biases in Investors' Decisions and Determining the Priority of Identified Categories from the Perspective of Experts using Demetel Technique and Analytic Hierarchy Process (AHP) [Volume 12, Issue 47, 2023, Pages 231-248]
  • Financial Clinic Approach Liquidity Trap in Iranian Banks (Based on Indexing of Key Ratios) [Volume 9, Issue 34, 2020, Pages 1-13]
  • Financial Constraint Relationship between Financial Constraint and Investment Efficiency and Working Capital Strategy [Volume 8, Issue 32, 2019, Pages 129-150]
  • Financial Constraint The Impact of risk-taking on performance according to financial constraints of companies [Volume 12, Issue 47, 2023, Pages 217-230]
  • Financial Constraints Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [Volume 3, تابستان 1393, 2014, Pages 25-46]
  • Financial Constraints Cash Flow Sensitivity Analysis on the Impact of Financial Constraints Based on the Bao Model [Volume 3, زمستان 1393, 2014, Pages 181-194]
  • Financial Constraints The Effect of Changes in the Banking Industry Structure on Firms Investment [Volume 9, Issue 35, 2020, Pages 101-119]
  • Financial Constraints Predict the Financial Limitations of Companies Accepted in Tehran Stock Exchange Using the Relief-Svm-Caiid methods [Volume 10, Issue 37, 2021, Pages 179-194]
  • Financial Constraints Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
  • Financial Constraints Examining how digital transformation effects the speed of dynamic capital structure adjustments [Volume 15, Issue 59, 2026, Pages 273-294]
  • Financial Corruption (Economic) The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • Financial Counseling The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [Volume 11, Issue 42, 2022, Pages 207-223]
  • Financial Crime An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
  • Financial crimes Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • Financial crises Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [Volume 10, Issue 38, 2021, Pages 1-23]
  • Financial crises Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [Volume 12, Issue 46, 2023, Pages 757-784]
  • Financial crises A model for strengthening banks with approach of antifragility to financial crises [Volume 13, Issue 50, 2024, Pages 201-215]
  • Financial Crisis The clarification of Relation between Accounting conservatism and bankruptcy of accepted companies in Tehran stock exchange (TSE) using models of bankruptcy prediction [Volume 9, Issue 35, 2020, Pages 337-356]
  • Financial Crisis The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [Volume 10, Issue 40, 2021, Pages 35-55]
  • Financial Crisis Providing a model of investment ethics for managers in the financial crisis with a qualitative approach [Volume 11, Issue 43, 2022, Pages 309-331]
  • Financial Crisis Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [Volume 12, Issue 47, 2023, Pages 563-582]
  • Financial Crisis Interpretive structural modeling to improve the financial fragility of companies listed on the Iranian Stock Exchange with a screening approach [Volume 13, Issue 50, 2024, Pages 545-565]
  • Financial Crisis The role of earnings management in the effect of related party transactions, financial crisis and firm size on tax avoidance [Volume 13, Issue 52, 2024, Pages 549-572]
  • Financial Crisis Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Financial Criteria Explaining effect of financial criteria on the stock prices synchronicity [Volume 16, Issue 61, 2027, Pages 173-192]
  • Financial Decision Neuro finance, Perspective of Behavioral Finance [Volume 2, پاییز 1392, 2013, Pages 21-34]
  • Financial Decision The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [Volume 8, Issue 30, 2019, Pages 229-250]
  • Financial Decision-Making The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [Volume 9, Issue 36, 2020, Pages 143-179]
  • Financial deprivation Analysis of the impact of Fintech on the financial inclusion in Iran [Volume 13, Issue 51, 2024, Pages 567-587]
  • Financial Depth The Effect of Financial Depth on Stock Return: The Bounds Testing Approach [Volume 7, Issue 27, 2018, Pages 171-188]
  • Financial Development The Role of Individual and Behavioral Characteristics On Demand for Financial Services [Volume 7, Issue 25, 2018, Pages 149-164]
  • Financial Development Investigate the Relationship between Financial Development and Cost of Equity [Volume 8, Issue 31, 2019, Pages 95-110]
  • Financial Development The effect of financial development on corporate finance using club convergence approach in Tehran stock exchange [Volume 10, Issue 40, 2021, Pages 331-352]
  • Financial Development Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach [Volume 13, Issue 51, 2024, Pages 55-78]
  • Financial Development Investigating the Relationship between Energy Consumption, Financial Development and Trade Openness in the Middle East Countries [Volume 13, Issue 52, 2024, Pages 325-345]
  • Financial Development Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
  • Financial Development The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Financial Development (FD) The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [Volume 9, Issue 36, 2020, Pages 143-179]
  • Financial Distress Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [Volume 9, Issue 35, 2020, Pages 85-100]
  • Financial Distress A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • Financial Distress Explaining the pattern of financial helplessness in companies admitted to the Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 465-482]
  • Financial distress risk Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [Volume 7, Issue 27, 2018, Pages 189-206]
  • Financial distress risk A study Of the contagion of financial helplessness and credit risk in the country's banking system [Volume 10, Issue 37, 2021, Pages 319-333]
  • Financial efficiency Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [Volume 13, Issue 50, 2024, Pages 19-38]
  • Financial Facility Determination and Ranking of Leading Industries for the loan and facility paid by the banks (Emphasis on Financial Index) [Volume 6, Issue 21, 2017, Pages 15-40]
  • Financial factors - DMATEL and TOPSIS Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Financial Friction Evaluation of the effect of financial policies on Capital Market investment in financial friction [Volume 13, Issue 49, 2024, Pages 463-488]
  • Financial goals،Neural Financial Approach Risk-taking and setting financial goals (short-term and long-term) for investors from a neurosocial perspective based on testosterone measurements [Volume 14, Issue 56, 2025, Pages 373-386]
  • Financial Health Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Financial Health Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Financial Health Explaining the financial health of companies with financial ratios and value creation criteria in investment [Volume 14, Issue 56, 2025, Pages 451-474]
  • Financial Indexes and Numerical Taxonomy Determination and Ranking of Leading Industries for the loan and facility paid by the banks (Emphasis on Financial Index) [Volume 6, Issue 21, 2017, Pages 15-40]
  • Financial Information Transparency Investigation the Impact of Earning Smoothing and Financial Information Transparency on Stock Price Crash Risk [Volume 10, Issue 39, 2021, Pages 51-68]
  • Financial Intermediaries Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Financial Investment The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [Volume 10, Issue 40, 2021, Pages 103-118]
  • Financial leverage, Bayesian Model Averaging Comparison of the Optimal Method in Bayesian, Dynamic and Selective Averaging Models to Identify the Influencing Variables on Capital Structure [Volume 14, Issue 54, 2025, Pages 627-649]
  • Financial Literacy An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [Volume 4, بهار 1394, 2015, Pages 127-150]
  • Financial Literacy The Role of Individual and Behavioral Characteristics On Demand for Financial Services [Volume 7, Issue 25, 2018, Pages 149-164]
  • Financial Literacy Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 141-170]
  • Financial Literacy Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [Volume 7, Issue 28, 2018, Pages 217-232]
  • Financial Literacy The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [Volume 8, Issue 30, 2019, Pages 229-250]
  • Financial Literacy Self-Control, Financial Literacy and Consumer Over-Indebtedness (Case Study: Yazd Tire Industries Complex) [Volume 9, Issue 33, 2020, Pages 351-371]
  • Financial Literacy Presentation a model for Identifying Human Influencing Investors' Behavior in the Iranian Capital Market [Volume 10, Issue 40, 2021, Pages 549-575]
  • Financial Literacy Investigating factors affecting financial knowledge with an emphasis on the role of ethnic culture and emotional intelligence [Volume 14, Issue 54, 2025, Pages 297-316]
  • Financial Literacy Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Financial Literacy financial literacy and Money Scripts in the context of financial therapy concepts [Volume 16, Issue 62, 2027, Pages 105-123]
  • Financial Literacy Antecedents and Consequences of Developing Financial Literacy among Students in Iran Using a Mixed Method [Volume 16, Issue 64, 2027, Pages 575-596]
  • Financial management Students’ knowledge and understanding of personal financial security Analysis of students’ attitude towards knowledge of personal financial security [Volume 3, زمستان 1393, 2014, Pages 41-54]
  • Financial management Role of Investment Opportunities Set (IOS) in Companies Financing Policy [Volume 8, Issue 29, 2019, Pages 83-100]
  • Financial Market Styles of Financial Regulation in Iran & U.K [Volume 6, Issue 22, 2017, Pages 147-164]
  • Financial Market The impact of financial and money market developments on foreign direct investment in Iran [Volume 7, Issue 25, 2018, Pages 223-244]
  • Financial Market The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [Volume 9, Issue 36, 2020, Pages 143-179]
  • Financial Market A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Financial Marketing Approach The Application of Downside Risk and Arbitrage Pricing Model in Risk Assessment (Financial Marketing Approach to Iran's Petrochemical Industry) [Volume 11, Issue 41, 2022, Pages 495-509]
  • Financial marketing mix Financial Marketing [Volume 2, تابستان 1392, 2013, Pages 1-14]
  • Financial Market of Iran The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [Volume 9, Issue 36, 2020, Pages 143-179]
  • Financial markets development Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
  • Financial Modeling Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 259-275]
  • Financial Performance Effects of Quality Management Systems on the financial performance of the Companies listed in Tehran Stock Exchange [Volume 1, زمستان 1391, 2012, Pages 195-214]
  • Financial Performance Ranking the stock Superior enterprises from intellectual capital position and it Comparison with the ranking based stock indexes [Volume 4, تابستان 1394, 2015, Pages 29-46]
  • Financial Performance Investigating the relationship between intangible assets and financial performance of listed companies in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 243-262]
  • Financial Performance Assessed valuation of intellectual capital and its relation to the performance of the capital market [Volume 7, Issue 26, 2018, Pages 259-276]
  • Financial Performance The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 232-249]
  • Financial Performance Stakeholder Integration and Financial Performance: The Mediating Role of Environmental Sustainability Orientation [Volume 10, Issue 39, 2021, Pages 541-562]
  • Financial Performance The empirical test of the impact of Business Environment Risk on the relationship between Liquidity Risk and Financial Performance in the Banking Industry of Iran [Volume 10, Issue 40, 2021, Pages 425-450]
  • Financial Performance Scientometrics studies the impact of business model innovation on financial performance [Volume 11, Issue 41, 2022, Pages 49-73]
  • Financial Performance Identifying the Impact of Corporate Venturing on the Financial Performance of Companies Listed in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 43-60]
  • Financial Performance The Impact of risk-taking on performance according to financial constraints of companies [Volume 12, Issue 47, 2023, Pages 217-230]
  • Financial Performance Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [Volume 12, Issue 48, 2023, Pages 697-720]
  • Financial Performance The Impact of Optional Disclosure of Asset Sales on the Financial Performance [Volume 13, Issue 50, 2024, Pages 521-544]
  • Financial Performance Designing a market-oriented and relationship-oriented organizational culture model using the Delphi method to evaluate the performance of financial management in the National Iranian Gas Company. [Volume 13, Issue 52, 2024, Pages 147-187]
  • Financial Performance The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [Volume 13, Issue 52, 2024, Pages 299-324]
  • Financial Performance Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Financial Performance Failures Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [Volume 9, Issue 34, 2020, Pages 389-416]
  • Financial Perspectives Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
  • Financial Physics Liquidity analysis based on principle of fluidity of physics: a new approach. [Volume 10, Issue 40, 2021, Pages 1-15]
  • Financial Ratio Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [Volume 13, Issue 51, 2024, Pages 361-384]
  • Financial Ratio Meta-analysis of the effect of financial indicators on credit rating [Volume 14, Issue 54, 2025, Pages 505-522]
  • Financial Ratios Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Financial Ratios Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [Volume 2, پاییز 1392, 2013, Pages 73-84]
  • Financial Ratios Predicting Liquidity Trap in Companies with Financial Clinic Approach [Volume 7, Issue 28, 2018, Pages 233-246]
  • Financial Ratios Ranking P/E Predictor Factors In Tehran Stock Exchange With Using The Harmony Search Meta Heuristic Algorithm [Volume 8, Issue 29, 2019, Pages 67-82]
  • Financial Ratios Comparing the superiority of Glomar stock using multi-criteria decision-making models, Taxonomy and PROMETHEE [Volume 10, Issue 38, 2021, Pages 45-60]
  • Financial Ratios Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [Volume 12, Issue 46, 2023, Pages 25-41]
  • Financial Ratios A Model to Predict Bankruptcy using the Mechanisms of Corporate Governance and financial ratios [Volume 12, Issue 48, 2023, Pages 67-98]
  • Financial Ratios Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Financial Ratios Explaining the financial health of companies with financial ratios and value creation criteria in investment [Volume 14, Issue 56, 2025, Pages 451-474]
  • Financial Ratios Analysis Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • Financial Regulation Identifying the Effective Factors on developing a model for Supervision and Regulation of Financial Markets using Meta-Synthesis Approach [Volume 10, Issue 39, 2021, Pages 189-225]
  • Financial Reporting The Impact of Disclose of Intellectual Capital Components on Financial Reporting Quality [Volume 1, زمستان 1391, 2012, Pages 105-132]
  • Financial Reporting The identifying and investigating the factors of not applying inflation Impacts on the financial reporting in Iran [Volume 3, پاییز 1393, 2014, Pages 65-98]
  • Financial Reporting Investigating the Relationship between Financial Reporting Quality andCorporate Investment Decisions with an Emphasis on Accounting Information Governance Role [Volume 11, Issue 42, 2022, Pages 27-55]
  • Financial Reporting The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [Volume 12, Issue 46, 2023, Pages 395-418]
  • Financial Reporting The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [Volume 13, Issue 52, 2024, Pages 421-445]
  • Financial Reporting Anomaly Investigating the effect of anomaly criteria in financial reporting on bankruptcy risk in firms listed on the Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 21-46]
  • Financial Reporting Complexity Explain the relationship between the complexity of financial reports used by investors and corporate governance in companies listed on the Tehran Stock Exchange [Volume 11, Issue 41, 2022, Pages 577-608]
  • Financial Reporting Quality The Impact of Disclose of Intellectual Capital Components on Financial Reporting Quality [Volume 1, زمستان 1391, 2012, Pages 105-132]
  • Financial Resilience ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [Volume 12, Issue 47, 2023, Pages 457-480]
  • Financial Resilience Presentation model of financial resilanse in finanacial technology business based on risk [Volume 13, Issue 50, 2024, Pages 431-454]
  • Financial Resilience Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [Volume 13, Issue 51, 2024, Pages 461-484]
  • Financial Resilience Proposing a model of financial resilience in Tehran stock exchange companies in order to prevent bankruptcy [Volume 13, Issue 51, 2024, Pages 623-643]
  • Financial Resilience Development of a paradigm model of financial resilience in the water industry by the method of foundation data theory [Volume 16, Issue 61, 2027, Pages 623-637]
  • Financial Risk Spillover Effect On Different industries For Capital Market [Volume 9, Issue 34, 2020, Pages 277-293]
  • Financial Risk Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA) [Volume 10, Issue 39, 2021, Pages 585-608]
  • Financial Risk Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [Volume 11, Issue 41, 2022, Pages 303-332]
  • Financial Risk Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry) [Volume 13, Issue 50, 2024, Pages 73-93]
  • Financial Risk Tolerance Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Financial sector Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [Volume 13, Issue 52, 2024, Pages 245-266]
  • Financial Statement Comparability Financial Statement Comparability and Cash Holdings [Volume 9, Issue 34, 2020, Pages 355-370]
  • Financial Statements Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • Financial Statements Comparability Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [Volume 12, Issue 46, 2023, Pages 249-270]
  • Financial Strategies The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 232-249]
  • Financial Strategy Matrix Strategic Performance Analysis [Volume 2, زمستان 1392, 2013, Pages 157-174]
  • Financial Stress The Features of Financial Stress in Iran's Capital Market [Volume 7, Issue 26, 2018, Pages 237-258]
  • Financial Stress Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks) [Volume 11, Issue 43, 2022, Pages 83-106]
  • Financial stress index،Frequency changes،dynamics analysis Crude Oil price impactability from frequency changes of the financial stress index [Volume 14, Issue 56, 2025, Pages 43-70]
  • Financial Stress Uncertainty Index Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks) [Volume 11, Issue 43, 2022, Pages 83-106]
  • Financial Systems Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [(Articles in Press)]
  • Financial systems, bank assets and liabilities The trend of banks' disharmony in financial systems, factors, effects and solutions [Volume 15, Issue 59, 2026, Pages 319-332]
  • Financial technological businesses Presentation model of financial resilanse in finanacial technology business based on risk [Volume 13, Issue 50, 2024, Pages 431-454]
  • Financial Technology Presenting a Model of Technological Entrepreneurship Ecosystem in the Field of Knowledge-Based Businesses Active in the Field of Financial Technology [Volume 11, Issue 44, 2022, Pages 175-202]
  • Financial Technology Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [Volume 12, Issue 47, 2023, Pages 521-540]
  • Financial Technology Identifying and prioritizing the key indicators of financial technology evaluation in Iran's banking industry based on the DNAP technique [Volume 13, Issue 51, 2024, Pages 485-512]
  • Financial Technology Analysis of the impact of Fintech on the financial inclusion in Iran [Volume 13, Issue 51, 2024, Pages 567-587]
  • Financial Technology Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Financial Technology Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Financial Terms Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Financial Toxicity Identifying the factors affecting financial toxicity and designing a financial toxicity paradigm pattern based on grounded theory [Volume 12, Issue 46, 2023, Pages 139-158]
  • Financial Transparency A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [Volume 13, Issue 52, 2024, Pages 873-894]
  • Financial words Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Financial World model Rightel Brand valuation [Volume 5, Issue 17, 2016, Pages 75-97]
  • Financing Pattern Designing of Intellectual Property Securitization [Volume 4, Issue 16, 2015, Pages 147-172]
  • Financing Clarification of the Factors Affecting Finance through Assets Securitization to the Agricultural Bank [Volume 8, Issue 31, 2019, Pages 273-392]
  • Financing The relationship between financing variables, the ratio of R & D to operating profit and corporate financial crisis [Volume 8, Issue 32, 2019, Pages 195-216]
  • Financing The role of government in financing and developing investment in small and medium-sized businesses [Volume 9, Issue 35, 2020, Pages 277-288]
  • Financing Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
  • Financing Developing a Sport Clubs Financing Model with a Analysis Hierarchical Process (AHP) [Volume 10, Issue 40, 2021, Pages 259-281]
  • Financing Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Financing Investigating the key success factors of BOT method in financing service projects and presenting an operational model [Volume 12, Issue 47, 2023, Pages 317-334]
  • Financing Provide an appropriate model for financing entrepreneurship with a collective participation approach in knowledge-based businesses [Volume 12, Issue 48, 2023, Pages 263-286]
  • Financing Designing a resilience model for financial technology businesses with a structural equation approach and qualitative techniques [Volume 13, Issue 49, 2024, Pages 441-462]
  • Financing Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 939-961]
  • Financing Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Financing The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
  • Financing Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • Financing Investigating the impact of the effective factors on the suitable tawarrug bonds model for housing financing in Iran [Volume 16, Issue 61, 2027, Pages 293-321]
  • Financing Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Financing Approaches Test the effectiveness of internal and external methods of financing on the real total returns of stock [Volume 7, Issue 26, 2018, Pages 185-198]
  • Financing chain Design of Financial Procedure Patterns for supply Chain with Credit Coverage Approach by Agricultural Bank [Volume 12, Issue 46, 2023, Pages 785-810]
  • Financing constraint The effect of forward-looking non-financial information (FNFI) on corporate investment efficiency & financing constraint [Volume 9, Issue 36, 2020, Pages 121-141]
  • Financing cost The effect of business risk management in reducing financing cost by considering the role of financial reporting quality [Volume 16, Issue 63, 2027, Pages 119-141]
  • Financing Criteria Identification and Rating of Financing Criteria through Assets Securitization in Bank Keshavarzi [Volume 8, Issue 30, 2019, Pages 383-402]
  • Financing deficit and surplus Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [Volume 10, Issue 39, 2021, Pages 305-322]
  • Financing Plan Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [Volume 4, بهار 1394, 2015, Pages 43-62]
  • Financing policy Role of Investment Opportunities Set (IOS) in Companies Financing Policy [Volume 8, Issue 29, 2019, Pages 83-100]
  • Fin Tech Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Firm Characteristics A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • Firm Lifecycle Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Firm Performance A comprehensive review of inter-relationship among capital structure, free cash flow, diversification and firms’ performance (Tehran Stock Exchange) [Volume 5, Issue 20, 2016, Pages 223-242]
  • Firm Size The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [Volume 7, Issue 25, 2018, Pages 189-202]
  • Firm Size Speculative bubble and stock return [Volume 8, Issue 29, 2019, Pages 159-170]
  • Firm Size The Effect of Changes in the Banking Industry Structure on Firms Investment [Volume 9, Issue 35, 2020, Pages 101-119]
  • Firm Size Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange [Volume 13, Issue 50, 2024, Pages 95-109]
  • Firm's Performance Stock Liquidity, Investment Efficiency, and Firm's Performance: Evidence from Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 179-196]
  • Firm Value The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [Volume 3, بهار 1393, 2014, Pages 101-132]
  • Firm Value Studying the Effect of Information Asymmetry and Firm Value on the Firm Investment in Companies Listed in Tehran Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 97-116]
  • Firm Value Effect of type of finance on investment efficiency with an emphasis on company value [Volume 7, Issue 28, 2018, Pages 103-126]
  • Firm Value The effect of risk control on the relationship between firm value and benefit components using the model Easton and Pae in companies listed on the Tehran Stock Exchange [Volume 7, Issue 28, 2018, Pages 159-174]
  • Firm value maximization Validation of Investment Efficiency Models Based on Agency Theory, Information Asymmetry, Managerial Entrenchment and Firm value maximization [Volume 10, Issue 38, 2021, Pages 287-318]
  • Fiscal policy Evaluation the Effects of Monetary and Fiscal Policy and Iindustry Growth on Changes of Tehran Security Exchange Index [Volume 6, Issue 22, 2017, Pages 49-64]
  • Fiscal policy Evaluation of the effect of financial policies on Capital Market investment in financial friction [Volume 13, Issue 49, 2024, Pages 463-488]
  • Fiscal Stimulus Programs Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [Volume 3, زمستان 1393, 2014, Pages 253-272]
  • Five-factor Fama and French model Mathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [Volume 11, Issue 44, 2022, Pages 577-602]
  • Five-factor model Test of Five factors Model; Evidence from Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 221-236]
  • Five-factor model Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 251-269]
  • Fixed Income Arbitrage Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Fixed Income Securities the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [Volume 11, Issue 43, 2022, Pages 25-41]
  • Floating Stock Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 99-124]
  • Fluctuate down to up of stock returns Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
  • Fluctuation Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [Volume 9, Issue 34, 2020, Pages 185-210]
  • FMEA technique Presentation model of financial resilanse in finanacial technology business based on risk [Volume 13, Issue 50, 2024, Pages 431-454]
  • F.O.B price of Persian Gulf ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [Volume 2, پاییز 1392, 2013, Pages 213-230]
  • Food Companies Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [Volume 11, Issue 44, 2022, Pages 631-652]
  • Food Industry Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [Volume 10, Issue 37, 2021, Pages 459-488]
  • Forecast Efficiency compared to ARIMA and ARFIMA models for modeling and prediction of Tehran Price Index (TEPIX) [Volume 1, تابستان 1391, 2012, Pages 63-80]
  • Forecasting Forecasting Tehran’s bourse price index using return-based fuzzy time series [Volume 1, زمستان 1391, 2012, Pages 175-194]
  • Forecasting Comparing the performance Of Artificial Neural Networks(ANN) and Auto Regressive Moving Average(ARIMA) Model in Modeling and Forecasting Short-term Exchange Rate Trend in Iran [Volume 3, تابستان 1393, 2014, Pages 85-100]
  • Forecasting A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Forecasting Proposing a novel model based on ARIMA technique for forecasting housing price: a case study of Tehran [Volume 4, تابستان 1394, 2015, Pages 15-28]
  • Forecasting Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [Volume 4, پاییز 1394, 2015, Pages 111-134]
  • Forecasting Designing a Hybrid Intelligent Model for Prediction of Stock Price Golden Points [Volume 8, Issue 29, 2019, Pages 45-66]
  • Forecasting Day-ahead stock price forecasting using hybrid model [Volume 8, Issue 30, 2019, Pages 313-328]
  • Forecasting Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [Volume 9, Issue 35, 2020, Pages 85-100]
  • Forecasting Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [Volume 10, Issue 39, 2021, Pages 341-354]
  • Forecasting The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 137-156]
  • Forecasting The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Forecasting Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
  • Forecasting Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Forecast_Revision predicted profit on the possibility of revision in profit prediction [Volume 8, Issue 31, 2019, Pages 49-70]
  • Foreign currency fluctuations Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Foreign currency fluctuations Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Foreign Direct Investment (FDI) The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Foreign Exchange Portfolio Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [Volume 13, Issue 50, 2024, Pages 39-72]
  • Foreign investment Fuzzy Multi Criteria Decision Making Model for Prioritizing the Investment Methods in Technology Transfer in Shipping Industries [Volume 1, پاییز 1391, 2012, Pages 179-198]
  • Foreign investment An overview of contractual methods of financing energy projects with emphasis on Project revenues [Volume 13, Issue 51, 2024, Pages 177-192]
  • Foresight Foresight of education and research in the Iranian tax system - with an economic approach [Volume 9, Issue 36, 2020, Pages 371-395]
  • Forward-Looking Disclosure The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
  • Forward-looking non-financial information The effect of forward-looking non-financial information (FNFI) on corporate investment efficiency & financing constraint [Volume 9, Issue 36, 2020, Pages 121-141]
  • Fourth Industrial Revolution Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [Volume 8, Issue 31, 2019, Pages 23-48]
  • Fractal Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
  • Fractal Dimensions The difference between dimensions fractal and Fractal random walks of return index and future fall risk and systematic risk in Tehran Stock Exchange [Volume 12, Issue 46, 2023, Pages 635-656]
  • Fractal market Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [Volume 13, Issue 49, 2024, Pages 421-440]
  • Fractal Market Hypothesis Fractal Analysis of Tehran Stock Exchange Index With RS Method [Volume 1, پاییز 1391, 2012, Pages 63-80]
  • Fractal random walks The difference between dimensions fractal and Fractal random walks of return index and future fall risk and systematic risk in Tehran Stock Exchange [Volume 12, Issue 46, 2023, Pages 635-656]
  • Fractional Modeling Performance Assessment of a Mutual Fund Using Fractional Modeling and the Concept of Value at Risk [Volume 10, Issue 38, 2021, Pages 519-537]
  • Fraud in financial statements Providing a model for identifying fraud in financial statements Based on psychological components through grounded theory and metacomposition [Volume 15, Issue 57, 2026, Pages 351-380]
  • Fraud in the Financial Statements Applying Rough Developed theoretical Models (ERST), Interpretation-Structural Analysis (ISM) and Decision Tree (CART) for Help Auditors to Identify Fraud in the Financial Statements of Companies Listed on the Stock Exchange of Iran [Volume 9, Issue 33, 2020, Pages 179-208]
  • Free cash flow A comprehensive review of inter-relationship among capital structure, free cash flow, diversification and firms’ performance (Tehran Stock Exchange) [Volume 5, Issue 20, 2016, Pages 223-242]
  • Free cash flow Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [Volume 6, Issue 24, 2017, Pages 187-202]
  • Free cash flow Provide hybrid model for forecasting financial crises based on free cash flow :evidence from the capital market [Volume 12, Issue 46, 2023, Pages 757-784]
  • Free Cash Flows Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [Volume 2, پاییز 1392, 2013, Pages 167-192]
  • Free Cash Flows Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [Volume 13, Issue 52, 2024, Pages 93-125]
  • Free Cash Fow Identify the impact of free cash flows on the relationship between non-financial performance in product market and company's future capital expenditure [Volume 7, Issue 25, 2018, Pages 99-126]
  • Free float The relationship between the amount of free float and liquidity of shares in Companies listed on the Tehran Stock Exchange [Volume 4, پاییز 1394, 2015, Pages 167-182]
  • Free float The Effect of Investors Sentiment and Free Float on Stock return in TSE Listed Companies by Using Generalized Method of Moments (GMM) [Volume 9, Issue 34, 2020, Pages 317-331]
  • Free float Modeling the estimation of the price bubble probability in the capital market :Evidence from Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 371-387]
  • Free Float Stock Investigation of ownership structure effect on risk at manufacturing company in exchange [Volume 2, تابستان 1392, 2013, Pages 45-62]
  • Fundamental Accounting Variables Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [Volume 2, تابستان 1392, 2013, Pages 63-82]
  • Fundamental analysis Survey of the effects fundamental variables on stock price [Volume 2, تابستان 1392, 2013, Pages 177-194]
  • Fundamental analysis A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Fundamental analysis Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Fundamental analysis Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [Volume 10, Issue 39, 2021, Pages 29-50]
  • Fundamental based risk model Evaluation Fundamental based risk model in predicting stock prices [Volume 3, زمستان 1393, 2014, Pages 117-138]
  • Fundamental Factors Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [Volume 13, Issue 51, 2024, Pages 1-22]
  • Fundamental theory Presenting of Investment Model for Interaction Between Industry and University with System Dynamic [Volume 2, زمستان 1392, 2013, Pages 41-70]
  • Future-based Earning Management Model Accrual Quality Assessment Model in Banking Industry [Volume 7, Issue 28, 2018, Pages 247-264]
  • Future Capital Expenditures Identify the impact of free cash flows on the relationship between non-financial performance in product market and company's future capital expenditure [Volume 7, Issue 25, 2018, Pages 99-126]
  • Future Fall Risk The difference between dimensions fractal and Fractal random walks of return index and future fall risk and systematic risk in Tehran Stock Exchange [Volume 12, Issue 46, 2023, Pages 635-656]
  • Future return Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [Volume 11, Issue 44, 2022, Pages 127-142]
  • Futures Exchange Rate Optimal Hedge Ratio by Gold Futures in Iran [Volume 3, زمستان 1393, 2014, Pages 1-24]
  • F utures C ontracts Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Futures market Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [Volume 9, Issue 34, 2020, Pages 185-210]
  • Futures Prices Volatility The effect of maturity date, trade volume and open interests on gold coin future price volatility [Volume 3, بهار 1393, 2014, Pages 169-186]
  • Future Stock Price Crash Risk The Relationship between Tax Evasion and Future Stock Price Crash Risk: Evidence from Companies Listed in Tehran Stock Exchange (TSE) [Volume 5, Issue 17, 2016, Pages 127-146]
  • Fuzzy AHP A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Fuzzy-AHP Multi-Attribute Decision Making Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [Volume 10, Issue 39, 2021, Pages 29-50]
  • Fuzzy and Vicor hierarchical analysis process Evaluation and ranking of factors affecting the profitability of pharmaceutical companies listed on the Tehran Stock Exchange using a hybrid model of fuzzy hierarchical analysis process [Volume 10, Issue 38, 2021, Pages 487-498]
  • Fuzzy approach Identification and prioritization of effective components on capital distribution in the agricultural sector of Khuzestan province with a fuzzy approach [Volume 11, Issue 43, 2022, Pages 265-284]
  • Fuzzy Bivariate GARCH The Effect of Economic and Financial Regime-switching on Equity Premium Puzzle In Fuzzy Logic Framework: The Evidence from Iran [Volume 6, Issue 23, 2017, Pages 153-170]
  • Fuzzy Delphi Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [Volume 10, Issue 40, 2021, Pages 511-547]
  • Fuzzy Delphi Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [Volume 12, Issue 47, 2023, Pages 155-176]
  • Fuzzy Delphi Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Fuzzy Delphi Approach Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [Volume 9, Issue 36, 2020, Pages 37-59]
  • Fuzzy Dimetal technique Identifying the causal and effect factors affecting organizational silence using the Fuzzy Dimtel method in Khorasan Razavi financial and investment companies. [Volume 13, Issue 52, 2024, Pages 963-982]
  • Fuzzy Dimtel Method Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
  • Fuzzy expert system Pricing of new products using Fuzzy Expert System: a case study in glass industry [Volume 3, پاییز 1393, 2014, Pages 99-124]
  • Fuzzy FMEA Method Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle [Volume 11, Issue 44, 2022, Pages 23-50]
  • Fuzzy Hierarchical Analysis Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [Volume 9, Issue 36, 2020, Pages 37-59]
  • Fuzzy Inference A Systemic Model of Social Banking Innovation Process with a Digital Transformation Approach [Volume 16, Issue 62, 2027, Pages 33-59]
  • Fuzzy Inference System Pricing of new products using Fuzzy Expert System: a case study in glass industry [Volume 3, پاییز 1393, 2014, Pages 99-124]
  • Fuzzy Inference System Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [Volume 4, پاییز 1394, 2015, Pages 205-230]
  • Fuzzy Logic presentation of new method for investment strategy in private section [Volume 3, پاییز 1393, 2014, Pages 259-289]
  • Fuzzy Logic Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [Volume 8, Issue 31, 2019, Pages 285-316]
  • Fuzzy Logic Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 259-275]
  • Fuzzy Logic Application of AHP and fuzzy logic in analysis of impact Physical and human investment in promoting of industrial productivity [Volume 9, Issue 36, 2020, Pages 17-35]
  • Fuzzy Logic Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [Volume 9, Issue 36, 2020, Pages 293-315]
  • Fuzzy Logic Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [Volume 13, Issue 50, 2024, Pages 39-72]
  • Fuzzy Multi-Criteria Group Decision Making (FMCGDM) and Fuzzy TOPSIS (FTOPSIS) Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [Volume 13, Issue 52, 2024, Pages 911-938]
  • Fuzzy Portfolio Fuzzy Portfolio Optimization using Meta-heuristic Unconscious Search Algorithm [Volume 8, Issue 32, 2019, Pages 251-270]
  • Fuzzy portfolio optimization Fuzzy portfolio selection under down risk measure by hybrid intelligent algorithm [Volume 8, Issue 30, 2019, Pages 329-354]
  • Fuzzy screening method Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
  • Fuzzy semi-entropy risk measure "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Fuzzy TOPSIS A New Approach to Evaluate the Performance of Value-at-risk Estimators, Using Genetic Algorithms [Volume 1, بهار 1391, 2012, Pages 13-42]
  • Fuzzy TOPSIS Fuzzy Multi Criteria Decision Making Model for Prioritizing the Investment Methods in Technology Transfer in Shipping Industries [Volume 1, پاییز 1391, 2012, Pages 179-198]
  • Fuzzy TOPSIS Prioritizing of printing technology for Investment by Fuzzy TOPSIS [Volume 9, Issue 33, 2020, Pages 37-56]
  • Fuzzy TOPSIS A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Fuzzy TOPSIS Technique Ranking of Competitive Power Components in Tejarat Bank Using Fuzzy TOPSIS Technique [Volume 12, Issue 46, 2023, Pages 707-732]
G
  • G35 Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Game theory Feasibility study of the pricing of crude oil by OPEC and OECD countries using game theory in the form of a win– win [Volume 3, تابستان 1393, 2014, Pages 123-150]
  • Game theory A game-theoretical approach to evaluating foreign direct investment in the manufacturing sector due to the economic and social index [Volume 8, Issue 31, 2019, Pages 71-94]
  • Game theory Applications of game theory in the analysis of investment knowledge using chaos theory [Volume 10, Issue 38, 2021, Pages 499-518]
  • Game theory Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Game theory Applying Game Theory to Interacting Properties of Accounting Information and Accounting Conservatism in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 97-118]
  • Game theory Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Gann-Square Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [Volume 9, Issue 36, 2020, Pages 99-119]
  • GARCH The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • GARCH comparative study of dynamic performance of investment according to method (garch)and kalman filter [Volume 12, Issue 45, 2023, Pages 283-295]
  • GARCH-Copula models The oil and gold global market interaction on the stock market of Iran; the GARCH-Copula approach [Volume 8, Issue 30, 2019, Pages 211-228]
  • GARCH-DCC Model Modeling the Liquidity Risk Spillover Between Banks Accepted in the Tehran Stock Exchange Market [Volume 11, Issue 42, 2022, Pages 611-636]
  • GARCH Family Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [Volume 8, Issue 30, 2019, Pages 173-190]
  • GARCH Family Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [Volume 9, Issue 34, 2020, Pages 231-257]
  • GARCH Method Application of Extreme Value Theory in Value at Risk forecasting [Volume 3, زمستان 1393, 2014, Pages 159-180]
  • Garch model The religious months effect on the stock market return, volatility and volume in the stock exchange of Tehran [Volume 1, پاییز 1391, 2012, Pages 1-26]
  • Garch model Economic Cycle and Symmetric Volatility of Financial Market Returns: Study of Emerging Economies [Volume 8, Issue 29, 2019, Pages 189-206]
  • GARCH models Efficiency comparison among GARCH models in modeling and liquidity measurement. Case study: Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 21-42]
  • GARCH Modes Evaluation Evaluation of RGARCH Model to Estimate the Conditional Variance of Tehran Stock Exchange Index [Volume 9, Issue 33, 2020, Pages 129-145]
  • Gas-oil ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [Volume 2, پاییز 1392, 2013, Pages 213-230]
  • Generalized Autoregressive Conditional Heteroskedastisity Designing Investment conditions uncertainty index [Volume 11, Issue 41, 2022, Pages 119-144]
  • Generalized Dynamic Factor Model (GDFM) Investigation of the role of macroeconomic variables in Tehran Stock Exchange uncertainty using risk filtering, MCMC simulation and ARDL approaches. [Volume 13, Issue 49, 2024, Pages 1-26]
  • Generalized Method of Moments The Effect of Investors Sentiment and Free Float on Stock return in TSE Listed Companies by Using Generalized Method of Moments (GMM) [Volume 9, Issue 34, 2020, Pages 317-331]
  • Generalized Method of Moments Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Generalized Method of Moments (GMM) Comparing Analysis the Effect of Political Riske on Stock Market Developing in Selected Countries [Volume 4, پاییز 1394, 2015, Pages 135-156]
  • Generalized Pareto Distribution Application of Copula and Simulated Returns in the Portfolio Optimization with Conditional Value-at-Risk (CVaR) in Tehran Stock Exchange (TSE) [Volume 7, Issue 26, 2018, Pages 1-16]
  • Generalized Supremum Augmented Dickey-Fuller Existing bubble stock test with Generalized Supremum Augmented Dickey-Fuller techniques and Impulse Response Function and analysis of Variance Decomposition [Volume 10, Issue 38, 2021, Pages 243-264]
  • Generalized Torque (GMM) Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [Volume 13, Issue 51, 2024, Pages 157-176]
  • General Pareto Distribution Evaluating Extreme Dependence between Tehran security exchange and international Stock Markets Using multivariate Extreme Value Theory (MEVT) [Volume 7, Issue 27, 2018, Pages 241-256]
  • General Patterns A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • General regression neural network Estimation of Net Present Value (NPV) in industrial and mine projects using General Regression Neural Network [Volume 4, Issue 16, 2015, Pages 241-256]
  • General Terms of Contracts Credit Derivatives: Shari'aa & Economic Feasible Study For Banks Credit Risk Improvement [Volume 3, بهار 1393, 2014, Pages 187-206]
  • Genetic Algorith Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Genetic algorithm A New Approach to Evaluate the Performance of Value-at-risk Estimators, Using Genetic Algorithms [Volume 1, بهار 1391, 2012, Pages 13-42]
  • Genetic algorithm Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm [Volume 3, پاییز 1393, 2014, Pages 125-164]
  • Genetic algorithm Optimization of portfolio Constituted from mutual funds of Tehran stock exchange using genetic algorithm [Volume 3, زمستان 1393, 2014, Pages 217-232]
  • Genetic algorithm A novel approach to fulfill active portfolio management and automatic stock trading based on feature selection algorithm [Volume 4, بهار 1394, 2015, Pages 107-126]
  • Genetic algorithm A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [Volume 4, پاییز 1394, 2015, Pages 53-70]
  • Genetic algorithm Developing an expert system to create and rebalance investment portfolio, using technical analysis [Volume 8, Issue 29, 2019, Pages 31-44]
  • Genetic algorithm Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [Volume 8, Issue 31, 2019, Pages 285-316]
  • Genetic algorithm Predicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
  • Genetic algorithm Developing an Optimal Method for Financial Distress Prediction of the Firms (Case Study: Tehran Stock Exchange) [Volume 9, Issue 35, 2020, Pages 85-100]
  • Genetic algorithm Investigating investment policy effect on objective achievement in personal account plan [Volume 9, Issue 35, 2020, Pages 169-187]
  • Genetic algorithm Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [Volume 9, Issue 36, 2020, Pages 293-315]
  • Genetic algorithm Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [Volume 10, Issue 40, 2021, Pages 471-484]
  • Genetic algorithm Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [Volume 13, Issue 52, 2024, Pages 613-630]
  • Genetic algorithm A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [Volume 12, Issue 47, 2023, Pages 113-134]
  • Genetic algorithm usefulness of meta-heuristic algorithms on optimizing of the integrated risk in banking system [Volume 13, Issue 50, 2024, Pages 159-186]
  • Genetic algorithm "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Genetic capital Designing and explaining the model of the role of genetic capital and social capital of individuals on their economic and financial success in the Iranian capital market [Volume 14, Issue 54, 2025, Pages 591-625]
  • Geometric Brownian Motion Application of Geometric Brownian motion in prediction of gold price and currency rate [Volume 8, Issue 30, 2019, Pages 251-270]
  • Gini Coefficient Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
  • Gird Model Comparative between Portfolio based on New & Past Grid Models [Volume 2, پاییز 1392, 2013, Pages 193-212]
  • Globalization Glibalization and its impact on foreign direct investment in developing and develoed countries [Volume 12, Issue 45, 2023, Pages 377-393]
  • Globalization Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
  • Global Markets The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [Volume 12, Issue 46, 2023, Pages 505-532]
  • Global oil prices Asymmetric Co-integration based on Nonlinear ARDL: Evidence from Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 595-612]
  • GMM Classification The Ability to Predict Stock Returns Using Micro and Macro Indices: a Comparison of Two Regression Methods, Midas and Generalized Formulas. [Volume 15, Issue 59, 2026, Pages 49-72]
  • Goal Programming Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [Volume 6, Issue 21, 2017, Pages 113-128]
  • Going Concern The Role of Bankruptcy Risk in Theoretical Development and Performance Improvement of the Abnormal Earnings Valuation Models [Volume 5, Issue 20, 2016, Pages 123-144]
  • Gold and Exchange Market Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Gold coin The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Gold coin future contract Algorithmic Trading System for future contract of gold coin based on intra-day data [Volume 7, Issue 28, 2018, Pages 49-68]
  • Gold Coin Future Contracts The effect of maturity date, trade volume and open interests on gold coin future price volatility [Volume 3, بهار 1393, 2014, Pages 169-186]
  • Gold Coin Future Contracts Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [Volume 10, Issue 38, 2021, Pages 571-590]
  • Gold coin futures contract Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [Volume 3, تابستان 1393, 2014, Pages 187-198]
  • Gold coin price prediction Application of Geometric Brownian motion in prediction of gold price and currency rate [Volume 8, Issue 30, 2019, Pages 251-270]
  • Gold investment The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Golestane Saadi Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Good tax governance A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Governance structure The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [Volume 7, Issue 25, 2018, Pages 189-202]
  • Governance System Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Governmental intervention in markets Styles of Financial Regulation in Iran & U.K [Volume 6, Issue 22, 2017, Pages 147-164]
  • Government Bonds The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [Volume 8, Issue 32, 2019, Pages 21-36]
  • Government Expenses The impact of government expenditure and stock market on income distribution in selected MENA countries [Volume 13, Issue 50, 2024, Pages 187-200]
  • Government Financing The role of government in financing and developing investment in small and medium-sized businesses [Volume 9, Issue 35, 2020, Pages 277-288]
  • Government Intervention Presenting a prediction model for the formation of zombie companies, emphasizing the role of the government and the quality of profit, a test of political economy theory [Volume 16, Issue 64, 2027, Pages 43-63]
  • Grand Theory Design and validation of the digital currency issuing model for cross-border payments in Central Bank of Iran [(Articles in Press)]
  • Granger Causality عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [Volume 10, Issue 40, 2021, Pages 451-469]
  • Granger Causality Granger causality analysis in mean patterns to measure the number of lags of the cross-correlation between the standard residuals of returns and trading volume in crisis situation [Volume 13, Issue 51, 2024, Pages 513-541]
  • Granger Causality Investigating the Grangerian causality relationship between digital currency and basic monetary and liquidity variables in Iran [Volume 14, Issue 55, 2025, Pages 259-277]
  • Granger Causality Test Examining the relationship between development of Islamic Financial Systems and Foreign Direct Investment [Volume 7, Issue 28, 2018, Pages 141-158]
  • Granger Causality Test Evaluating the Relationship between Tehran Stock Exchange and Istanbul Stock Exchange: Causality and Co-Integration [Volume 8, Issue 29, 2019, Pages 1-12]
  • Green investment Identification and Ranking of Green investment Factors [Volume 9, Issue 34, 2020, Pages 71-107]
  • Green investment Presenting a model for the development of green investment in smart production systems based on digital transformation in the automotive industry [Volume 13, Issue 52, 2024, Pages 835-856]
  • Green production Identification and Ranking of Green investment Factors [Volume 9, Issue 34, 2020, Pages 71-107]
  • Green production Presenting a model for the development of green investment in smart production systems based on digital transformation in the automotive industry [Volume 13, Issue 52, 2024, Pages 835-856]
  • Grid Matrix Model Evaluation Grid matrix model according to Sharp and Traynor ratio for assessing portfolio’s performance in selective model [Volume 1, پاییز 1391, 2012, Pages 125-146]
  • Grid Matrix Model Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [Volume 5, Issue 19, 2016, Pages 171-190]
  • Grid Matrix Model Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [Volume 11, Issue 41, 2022, Pages 219-248]
  • Gross Domestic Product The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Grossman model Factor affecting on health in the Organization of the Islamic Conference (OIC) Member Countries’ case (social – economic approach) [Volume 2, تابستان 1392, 2013, Pages 123-140]
  • Grounded Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [Volume 10, Issue 40, 2021, Pages 511-547]
  • Grounded Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
  • Grounded Theory Comprehensive Model of Credit Risk Management in the Banking System of Iran [Volume 6, Issue 24, 2017, Pages 55-82]
  • Grounded Theory Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [Volume 9, Issue 34, 2020, Pages 389-416]
  • Grounded Theory Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • Grounded Theory The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [Volume 11, Issue 41, 2022, Pages 551-575]
  • Grounded Theory Designing the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
  • Grounded Theory Modeling the financial behavior of momentum and random investors in crisis situations: Qualitative analysis based on grounded theory [Volume 12, Issue 47, 2023, Pages 563-582]
  • Grounded Theory Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [Volume 12, Issue 46, 2023, Pages 445-464]
  • Grounded Theory A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [Volume 12, Issue 46, 2023, Pages 657-682]
  • Grounded Theory investing in start-ups in order to achieve a resilient economy and economic defense [Volume 13, Issue 49, 2024, Pages 171-188]
  • Grounded Theory Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Grounded Theory Financial derivatives and risk management tools; Provide model and explanation by grounded theory method [Volume 14, Issue 54, 2025, Pages 107-128]
  • Grounded Theory Conceptual modeling of the sensitivity of the bank's financial resources to the economic periods of the country: qualitative analysis based on grounded theory [Volume 14, Issue 56, 2025, Pages 429-449]
  • Grounded Theory Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Grounded Theory Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Grounded Theory Presenting the tax capacity model of the country [Volume 15, Issue 57, 2026, Pages 427-452]
  • Grounded Theory Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Grounded Theory The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
  • Grounded theory of the foundation Presentation of Parsian Bank Brand Promotion Model Base on Grounded Theory with a Value Creation Approach [Volume 9, Issue 35, 2020, Pages 357-381]
  • Growth The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [Volume 5, Issue 20, 2016, Pages 145-164]
  • Growth and Value Companies The Impact of intellectual capital on Economic Value Added in Growth and Value companies [Volume 2, زمستان 1392, 2013, Pages 1-24]
  • Growth assets The Relationship of Earnings Management and Investment Opportunities with Emphasizing on Ownership Concentration [Volume 1, پاییز 1391, 2012, Pages 161-178]
  • Growth Investing Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 125-146]
  • Growth Opportunities Investigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [Volume 11, Issue 42, 2022, Pages 93-109]
  • Growth Opportunities Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [Volume 13, Issue 52, 2024, Pages 93-125]
  • Growth opportunity Factors affecting enterprise risk management in companies listed on the Tehran Stock Exchange [Volume 13, Issue 50, 2024, Pages 95-109]
  • Grullon's Four-Factor Model Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [Volume 9, Issue 36, 2020, Pages 271-291]
  • Guaranteed interest rate Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [Volume 13, Issue 49, 2024, Pages 251-278]
H
  • Hagan pattern Investigating the relationship between audit quality and growth and value stock return based on 6-factor model of Hagen [Volume 11, Issue 41, 2022, Pages 263-280]
  • Halo Error -Based Behavioral Biases A Model to Identify the Impact of Spiritual Intelligence on Emotional Intelligence and Its Role in Behavioral Bias Control (Based on Halo Error) and Its Role on Investor Decision Making [Volume 11, Issue 42, 2022, Pages 659-683]
  • Hawkes process The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 137-156]
  • Hawkes process The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Health Factor affecting on health in the Organization of the Islamic Conference (OIC) Member Countries’ case (social – economic approach) [Volume 2, تابستان 1392, 2013, Pages 123-140]
  • Health Insurance Impact of Climate Change Risk and Insurance Industry [Volume 12, Issue 46, 2023, Pages 559-582]
  • Healthy Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Hearding Behavior Investors ' Trading Behavior in stock Market Under Information Ambiguity Formality of Hearding Behavior [Volume 13, Issue 51, 2024, Pages 405-434]
  • Hedge Fund Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Hedger Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [Volume 3, تابستان 1393, 2014, Pages 187-198]
  • Hedging Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
  • Hedging effectiveness Exchange Rate Optimal Hedge Ratio by Gold Futures in Iran [Volume 3, زمستان 1393, 2014, Pages 1-24]
  • Hedging Strategies Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Hedging strategy Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [Volume 8, Issue 31, 2019, Pages 165-174]
  • Herd behavior The Relationship between Population Parameters with Herding Behavior of Investors in the Tehran Stock Exchange [Volume 6, Issue 24, 2017, Pages 203-214]
  • Herd Behavior of Decision on the Capital Market Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [Volume 12, Issue 48, 2023, Pages 171-192]
  • Herding Survey of the Herding behavior model in investment decision on emerging markets [Volume 16, Issue 63, 2027, Pages 23-39]
  • Herfindahl-Hirschman index Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model [Volume 9, Issue 36, 2020, Pages 317-334]
  • Herfindal Herishman Index Investigating the Impact of Diversification Strategy in Assets and Loans on Bank Risk [Volume 6, Issue 21, 2017, Pages 197-214]
  • Herfindal-Hirschman index Investigating the effect of risk and competitiveness indicators of the banking industry on the index of economic growth and consumer inflation in iran’s economy [Volume 12, Issue 48, 2023, Pages 1-20]
  • Heston model Power option pricing Under Heston model (Evidences of Tehran stock exchange) [Volume 9, Issue 33, 2020, Pages 241-257]
  • Heterogeneous agent model A heterogeneous agent pricing model and simulation investor’s behavior on big decline on Tehran stock exchange [Volume 10, Issue 40, 2021, Pages 683-706]
  • Heuristic A novel Meta-Heuristic method for solving an extended Markowitz Mean–Variance portfolio selection model [Volume 3, تابستان 1393, 2014, Pages 101-122]
  • Hierarchical Portfolio Optimization Using Hierarchical and Denotation Clustering in Tehran Stock Exchange. [Volume 9, Issue 34, 2020, Pages 333-354]
  • High co-moments Design and explanation of fractional multiresoloution capital asset pricing model with higher co-moments on Tehran stock exchange [Volume 6, Issue 21, 2017, Pages 215-232]
  • Higher Moments Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • High Frequency Data Information Content of Limit Order Book in Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 95-117]
  • High Frequency Data Market Depth and Noisy Prices: A Maximum Likelihood Approach [Volume 6, Issue 23, 2017, Pages 23-38]
  • High Frequency Data Stock Price Clustering and Factors Affecting on It in Iran Capital Market [Volume 7, Issue 26, 2018, Pages 297-312]
  • High Frequency Traders (HFTs) Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [Volume 5, Issue 20, 2016, Pages 95-122]
  • High frequency trading Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [Volume 10, Issue 40, 2021, Pages 471-484]
  • High-frequency Trading Presenting of High-frequency Trading System [Volume 4, پاییز 1394, 2015, Pages 89-110]
  • High-order torques The effect of high-order torques on market pricing efficiency [Volume 14, Issue 56, 2025, Pages 1-20]
  • High technology Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [Volume 10, Issue 40, 2021, Pages 171-203]
  • Historical Simulation Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Hodrick and Prescott Filter Examining the Effect of Shocks in Monetary and Fiscal Policy on Value Added of Industry and Mining Sector in Iran [Volume 6, Issue 24, 2017, Pages 117-138]
  • Hodrick - Prescott Filter Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [Volume 3, زمستان 1393, 2014, Pages 253-272]
  • Holding Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Holding Companies Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [Volume 4, بهار 1394, 2015, Pages 43-62]
  • Holding Companies Studying the Factors Affecting on the Investment Management in Holding Companies [Volume 8, Issue 32, 2019, Pages 331-346]
  • House Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [Volume 9, Issue 33, 2020, Pages 301-325]
  • House money effect The effect of prior performance of investors on stock price based on Prospect theory [Volume 6, Issue 23, 2017, Pages 39-54]
  • Housing Market Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Housing Market Investigating the Effect of Liquidity and Per capita Income on the Housing Market (Using a vector auto regression model) [Volume 10, Issue 40, 2021, Pages 149-169]
  • HS (Harmony) algorithm (HS) Ranking P/E Predictor Factors In Tehran Stock Exchange With Using The Harmony Search Meta Heuristic Algorithm [Volume 8, Issue 29, 2019, Pages 67-82]
  • Human Capital The Impact of intellectual capital on Economic Value Added in Growth and Value companies [Volume 2, زمستان 1392, 2013, Pages 1-24]
  • Human Capital Green Human Resource Management A Investment Approach and Sustainable Development [Volume 5, Issue 20, 2016, Pages 297-327]
  • Human Capital Impact of Foreign Direct Investment on Productivity Growth with Emphasis on Human Capital and Institutional Quality in Iran: An Application of Wavelet Analysis. [Volume 10, Issue 38, 2021, Pages 343-367]
  • Human Capital Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [Volume 11, Issue 42, 2022, Pages 189-205]
  • Human Capital The role of good government and human resource in attracting direct foreign investment and economical growth (a selection of developing countries) [Volume 13, Issue 50, 2024, Pages 263-286]
  • Human development Human Development, State and Investment Policies [Volume 7, Issue 25, 2018, Pages 179-188]
  • Human judgments Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
  • Human Resource The Impact of the Quality of Human Resources On attracting Foreign Direct Investment A Case Study of the South East Asian countries and Iran [Volume 5, Issue 19, 2016, Pages 235-254]
  • Human Resource Risk.Critical Risk Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle [Volume 11, Issue 44, 2022, Pages 23-50]
  • Hurst Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
  • Hurst Exponent Empirical analysis of fractal dimensions on cash return and price indices of listed companies of Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 79-93]
  • Hybrid Algorithm A novel Meta-Heuristic method for solving an extended Markowitz Mean–Variance portfolio selection model [Volume 3, تابستان 1393, 2014, Pages 101-122]
  • Hybridization Providing a Conceptual Model of Risk Management with a Resilience Approach [Volume 15, Issue 60, 2026, Pages 169-196]
  • Hybrid Model Weekly crude oil price forecasting by hybrid support vector machine model and Autoregressive Integrated Moving Average [Volume 4, تابستان 1394, 2015, Pages 145-160]
  • Hybrid Model Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [Volume 9, Issue 34, 2020, Pages 231-257]
  • Hybrid Model A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • Hybrid Model Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [Volume 13, Issue 50, 2024, Pages 135-157]
  • Hybrid Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
I
  • Ichimoku cloud Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 67-86]
  • ICT Innovative Technology Presentation a technology commercialization model in ICT Knowledge base companies [Volume 7, Issue 26, 2018, Pages 63-82]
  • Idea Commercialization The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
  • Idiosynchratic volatilities Idiosynchratic Volatilities and Future Stock Return based on Asset Pricing Model: an Attitude toward Risk Tolerance of Return [Volume 11, Issue 44, 2022, Pages 127-142]
  • Idiosyncratic Risk Puzzle Higher Moments and Idiosyncratic Volatility Puzzle [Volume 3, پاییز 1393, 2014, Pages 1-24]
  • Iindustry Growth Evaluation the Effects of Monetary and Fiscal Policy and Iindustry Growth on Changes of Tehran Security Exchange Index [Volume 6, Issue 22, 2017, Pages 49-64]
  • ILC Financial Marketing [Volume 2, تابستان 1392, 2013, Pages 1-14]
  • Illiquidity The Features of Financial Stress in Iran's Capital Market [Volume 7, Issue 26, 2018, Pages 237-258]
  • Illiquidity Risk Investigation of the variable of the illiquidity risk and the effect it’s on the excess of stock return in the stock market [Volume 1, پاییز 1391, 2012, Pages 27-46]
  • Image based marketing (GIF marketing) Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • Imitative behavior leverage decisions , economy policy uncertainty and peer-bank behavior in accepted banks of TSE [Volume 13, Issue 52, 2024, Pages 267-286]
  • Impact management information The impact of supporting minority shareholders and the majority stakeholder's patience on the relationship between managing information impact and corporate performance [Volume 10, Issue 39, 2021, Pages 227-247]
  • Imperialist Competitive Algorithm applying Imperialist competitive algorithm (ICA) for construction and optimization Portfolio [Volume 4, بهار 1394, 2015, Pages 19-42]
  • Improved Decision tree Optimal Portfolio Selection using Machine Learning Algorithms [Volume 12, Issue 48, 2023, Pages 511-538]
  • Improve Performance Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [Volume 13, Issue 51, 2024, Pages 665-688]
  • Improving Political Uncertainty The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Impulse Response Existing bubble stock test with Generalized Supremum Augmented Dickey-Fuller techniques and Impulse Response Function and analysis of Variance Decomposition [Volume 10, Issue 38, 2021, Pages 243-264]
  • Income Distribution Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
  • Income Distribution The impact of government expenditure and stock market on income distribution in selected MENA countries [Volume 13, Issue 50, 2024, Pages 187-200]
  • Income diversification Impact of Buffer capital changes on banks portfolio risk changes [Volume 8, Issue 32, 2019, Pages 271-290]
  • Income diversification The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • Income inequality Investigating the interactions of inequality income, employment and economic growth [Volume 9, Issue 33, 2020, Pages 283-299]
  • Income Inequality" Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [Volume 11, Issue 42, 2022, Pages 189-205]
  • Index Evaluation of long term relations between Tehran Stock Exchange index and macroeconomic variables [Volume 6, Issue 21, 2017, Pages 97-112]
  • Index Examining the impact of the Corona epidemic on the capital market price index in Iran [Volume 13, Issue 51, 2024, Pages 301-318]
  • Index tracking A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [Volume 4, پاییز 1394, 2015, Pages 53-70]
  • Index tracking The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [Volume 9, Issue 35, 2020, Pages 189-205]
  • Index tracking problem Tracking Stock Exchange Index with considering the limitation of loss aversion with using the new approach of Big Bang - Big Crunch [Volume 5, Issue 19, 2016, Pages 83-106]
  • Indirect costs Legal analysis of the fiscal regime of IPC upstream contracts in the oil and gas industry in Iran. [Volume 12, Issue 46, 2023, Pages 815-830]
  • Individual characteristics Providing a prediction model for investment decision based on the individual characteristics of investors [Volume 15, Issue 57, 2026, Pages 275-305]
  • Individual Investors An Investigation of Stock Selection Ability between Institutional and Individual Investors [Volume 2, بهار 1392, 2013, Pages 45-60]
  • Individual Investors Relation between “individual investors’ mental evaluations from product and brand” and “their preference to investing in stock” [Volume 3, تابستان 1393, 2014, Pages 199-218]
  • Individual Investors Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [Volume 6, Issue 22, 2017, Pages 131-146]
  • Individual Investors Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • Individual Investors Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Individual Investor's Behavior Role of Behavioral Finance In Understanding Individual Investor's Behavior (A Review of Empirical Evidences from Tehran Stock Exchange) [Volume 7, Issue 28, 2018, Pages 83-102]
  • Industrial agglomeration Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [Volume 10, Issue 40, 2021, Pages 511-547]
  • Industrial and mine projects Estimation of Net Present Value (NPV) in industrial and mine projects using General Regression Neural Network [Volume 4, Issue 16, 2015, Pages 241-256]
  • Industries index The effect of exchange rate volatilities and it's spillover effect on the index of Tehran Stock Exchange [Volume 6, Issue 21, 2017, Pages 1-14]
  • Industry Providin a model for university and industry intetaction based on Knowledge-based economy and investing research and development [Volume 10, Issue 38, 2021, Pages 539-569]
  • Industry 4.0 Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [Volume 8, Issue 31, 2019, Pages 23-48]
  • Industry 4.0 Assessment Process Model Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [Volume 8, Issue 31, 2019, Pages 23-48]
  • Industry 4.0 Readiness Criteria Development of a Suitable Readiness Assessment Framework for Firms and Industrial Parks for the Adoption of the Fundamental Components of the Fourth Industrial Revolution (I4.0) and Investment Development [Volume 8, Issue 31, 2019, Pages 23-48]
  • Industry and university Presenting of Investment Model for Interaction Between Industry and University with System Dynamic [Volume 2, زمستان 1392, 2013, Pages 41-70]
  • Industry Concentration The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • Industry Development Designing a balanced development model for the freight transport industry based on strategic capital management [Volume 10, Issue 38, 2021, Pages 199-221]
  • Industry Dynamism The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • Industry Features Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 193-212]
  • Industry Munificence The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • Inefficiency of investment The effect of forward-looking non-financial information (FNFI) on corporate investment efficiency & financing constraint [Volume 9, Issue 36, 2020, Pages 121-141]
  • Inflation Investigating the effect of risk and competitiveness indicators of banks on systemic risk with the marginal expected shortfall (MES) approach using the GMM model [Volume 9, Issue 36, 2020, Pages 317-334]
  • Inflation Presenting an artificial intelligence model based on fuzzy-hierarchical logic in order to measure the impact of organizational factors on Sepah Bank's investment deposit and assets by generalizing systems of simultaneous equations [Volume 13, Issue 52, 2024, Pages 189-218]
  • Inflation Investigating Effect of Exchange Rate and Inflation Uncertainty on the Banking Industry Performance Based on the Multivariate Generalized Autoregressive Conditional Heteroskedasticity (MGARCH) Model [Volume 13, Issue 49, 2024, Pages 489-506]
  • Inflation Accounting The identifying and investigating the factors of not applying inflation Impacts on the financial reporting in Iran [Volume 3, پاییز 1393, 2014, Pages 65-98]
  • Inflation Controlling Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [Volume 5, Issue 18, 2016, Pages 197-210]
  • Inflation-Corporate income tax-Private investment The Effect of Inflation on Private Investment [Volume 1, زمستان 1391, 2012, Pages 1-18]
  • Information and Financial Structure of Start-ups Investigating the Role of Asset Characteristics, Entrepreneurship and Information in Analyzing the Financial Structure of Startups [Volume 10, Issue 37, 2021, Pages 335-371]
  • Information-Based Model Option Pricing Based on Information-Based Model [Volume 16, Issue 61, 2027, Pages 1-26]
  • Information Clarity Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 99-124]
  • Information Content Information Content of Limit Order Book in Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 95-117]
  • Information Content of Financial Reporting Information Content of Financial Reporting and the development of interactive capability with stakeholders: Pygmalion Theory Test [Volume 11, Issue 44, 2022, Pages 75-102]
  • Information Disclosure Investigating the impact of corporate governance factors on economic growth in terms of information disclosure in companies listed on Tehran Bahadur Stock Exchange [Volume 14, Issue 55, 2025, Pages 503-530]
  • Information risk Mathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [Volume 11, Issue 44, 2022, Pages 577-602]
  • Information Salience Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • Information Systems Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [(Articles in Press)]
  • Information Technology Contracts" Identifying Risks of Outsourcing Information Technology Contracts in Government Organizations (Case Study: Level one Organozation In Tehran) [Volume 10, Issue 40, 2021, Pages 353-373]
  • Information technology investment Feasibility of information technology investment for the development of organizational intelligence [Volume 14, Issue 55, 2025, Pages 757-781]
  • Information Technology (IT) Evolution of Trading in Iran Capital Market A Gate to Entrance High Frequency Traders and Foreign Investors [Volume 5, Issue 20, 2016, Pages 95-122]
  • Informed trading Investor sentiment and prevalence of informed trading in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 19-38]
  • Info searching behavior An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Info validation behavior An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Infrastruc Strategic factors affecting investment in the freight industry [Volume 11, Issue 43, 2022, Pages 107-127]
  • Infrastructure Comprehensive Model of Credit Risk Management in the Banking System of Iran [Volume 6, Issue 24, 2017, Pages 55-82]
  • Infrest Rate Interest rate of the securities with fixed-income in Iran [Volume 4, پاییز 1394, 2015, Pages 1-18]
  • Initial Public Offering Design and Explanation of a Model for the Registration and Listing of company's shares to achieve the development of Tehran Stock Exchange based on 1404 vision of Islamic Republic of IRAN [Volume 5, Issue 20, 2016, Pages 67-94]
  • Initial Public Offering A study of structural factors on the output of unconventional Initial Public Offering in Tehran Stock Exchange [Volume 7, Issue 25, 2018, Pages 1-16]
  • Innovation Economy The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport [Volume 9, Issue 36, 2020, Pages 1-16]
  • Innovation Strategy Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [Volume 12, Issue 48, 2023, Pages 697-720]
  • Input/Output Production planning in parallel production systems such as banks: A DEA-based approach [Volume 2, بهار 1392, 2013, Pages 163-178]
  • Installment Option The Evaluation of Venture Capital as an Installment Option and Real Options [Volume 6, Issue 21, 2017, Pages 175-196]
  • Installment Option Installment Option Valuation by Least Squares with Checking the Solution Convergence [Volume 8, Issue 32, 2019, Pages 87-108]
  • Institutional investors Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk [Volume 1, تابستان 1391, 2012, Pages 1-18]
  • Institutional investors Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [Volume 1, تابستان 1391, 2012, Pages 81-96]
  • Institutional investors Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 147-160]
  • Institutional investors An Investigation of Stock Selection Ability between Institutional and Individual Investors [Volume 2, بهار 1392, 2013, Pages 45-60]
  • Institutional investors The Impact of Corporate Governance on the Relationship between Capital Structure and Firm Value in the Tehran Listed Firms by Using Structural Equation Modeling [Volume 3, بهار 1393, 2014, Pages 101-132]
  • Institutional investors Survey of Magnet Effect in Business Cycle and Investment [Volume 5, Issue 17, 2016, Pages 37-53]
  • Institutional investors The Relationship between Tax Evasion and Future Stock Price Crash Risk: Evidence from Companies Listed in Tehran Stock Exchange (TSE) [Volume 5, Issue 17, 2016, Pages 127-146]
  • Institutional investors The Study of the Relationship between Institutional Investors and Stock Price Synchronicity in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 17, 2016, Pages 165-186]
  • Institutional investors Synchoronization of the stock price and the role of institutional investors in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 71-84]
  • Institutional investors The Effect of Intangible Information on Institutional Investors Herding Behavior by Comparing The Results of Christie and Huang Model and Lakonishok, Shleifer and Vishny Model [Volume 6, Issue 23, 2017, Pages 171-188]
  • Institutional investors Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [Volume 8, Issue 29, 2019, Pages 297-314]
  • Institutional investors Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations [Volume 9, Issue 33, 2020, Pages 57-78]
  • Institutional investors Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Institutional Investors Horizon Investigating the effect of the effect of quality of internal controls on Dividend Policy With Emphasis on the moderating role of Institutional Investors Horizon [Volume 14, Issue 54, 2025, Pages 363-380]
  • Institutional Investor Trading Strategy Financial Reporting Quality, Investment Horizon، and Institutional Investor Trading Strategies [Volume 11, Issue 42, 2022, Pages 391-412]
  • Institutional Ownership Study of the relationship between governmental and institutional ownership with corporate social responsibility (Companies listed on the Tehran Stock Exchange) [Volume 5, Issue 17, 2016, Pages 55-74]
  • Institutional shareholders The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [Volume 7, Issue 28, 2018, Pages 297-312]
  • Institutional shareholders Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [Volume 12, Issue 46, 2023, Pages 299-322]
  • Institutional shareholders Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [Volume 12, Issue 48, 2023, Pages 171-192]
  • Insurance Company Performance Marketing-Based Management: The Semi-Hidden Real Performance of Insurance Companies in Iran Insurance Industry [Volume 12, Issue 45, 2023, Pages 505-524]
  • Insurance deposit Investigating the factors affecting the determination of deposit insurance premiums among Iranian banks listed on the Iranian stock exchange and OTC [Volume 10, Issue 39, 2021, Pages 375-394]
  • Insurance Industry Providing a customer portfolio management (CPM) model to improve customer relationship management (CRM) [Volume 12, Issue 47, 2023, Pages 1-20]
  • Insurance linked Securities Catastrophe Bonds Securitization in Iran's Insurance Industry [Volume 7, Issue 27, 2018, Pages 277-298]
  • Insurance Penetration Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [Volume 3, بهار 1393, 2014, Pages 65-82]
  • Insurance Securitization Catastrophe Bonds Securitization in Iran's Insurance Industry [Volume 7, Issue 27, 2018, Pages 277-298]
  • Insurer Risk Securitization in Catastrophic and Life Insurance Policies [Volume 5, Issue 18, 2016, Pages 17-33]
  • Intangible Business model Rightel Brand valuation [Volume 5, Issue 17, 2016, Pages 75-97]
  • Intangible Information The Effect of Intangible Information on Institutional Investors Herding Behavior by Comparing The Results of Christie and Huang Model and Lakonishok, Shleifer and Vishny Model [Volume 6, Issue 23, 2017, Pages 171-188]
  • Integer Programming Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [Volume 4, پاییز 1394, 2015, Pages 205-230]
  • Integral Transform Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [Volume 12, Issue 48, 2023, Pages 585-606]
  • Integrated Management Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Integrated marketing communications Designing and explaining the integrated marketing communication model in the financial and economic growth of the tourism industry [Volume 12, Issue 47, 2023, Pages 435-456]
  • Intellectual Capital Evaluation Grid matrix model according to Sharp and Traynor ratio for assessing portfolio’s performance in selective model [Volume 1, پاییز 1391, 2012, Pages 125-146]
  • Intellectual Capital The Impact of Disclose of Intellectual Capital Components on Financial Reporting Quality [Volume 1, زمستان 1391, 2012, Pages 105-132]
  • Intellectual Capital The Impact of intellectual capital on Economic Value Added in Growth and Value companies [Volume 2, زمستان 1392, 2013, Pages 1-24]
  • Intellectual Capital Ranking the stock Superior enterprises from intellectual capital position and it Comparison with the ranking based stock indexes [Volume 4, تابستان 1394, 2015, Pages 29-46]
  • Intellectual Capital Assessed valuation of intellectual capital and its relation to the performance of the capital market [Volume 7, Issue 26, 2018, Pages 259-276]
  • Intellectual Capital Designing a Model for Measuring the Impact of Intellectual Capital, Profit Quality, Audit Report and Capital Structure on Bankruptcy Risk of Tehran Stock Exchange Companies [Volume 12, Issue 46, 2023, Pages 613-634]
  • Intellectual Capital Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [Volume 12, Issue 48, 2023, Pages 141-170]
  • Intellectual Capital Comprehensive study of the factors affecting the profitability of commercial banks [Volume 14, Issue 53, 2025, Pages 641-661]
  • Intellectual Capital Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Intellectual Capital Components The Impact of Disclose of Intellectual Capital Components on Financial Reporting Quality [Volume 1, زمستان 1391, 2012, Pages 105-132]
  • Intellectual property Pattern Designing of Intellectual Property Securitization [Volume 4, Issue 16, 2015, Pages 147-172]
  • Intention to Investment The effect of the brand on investor behavior and perceived risk as Mediate [Volume 8, Issue 32, 2019, Pages 235-250]
  • Interbank Payment Systems Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Interest rate The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [Volume 8, Issue 32, 2019, Pages 21-36]
  • Interest rate" The Effect of Economic Uncertainty on Earnings Response Coefficient using two-factor Fama-McBeth Model [Volume 11, Issue 43, 2022, Pages 333-355]
  • Interest rate forecasting A comparative study between the effectiveness of ARIMA and ARFIMA models in predicting the interest rate and the treasury exchange rate in Iran [Volume 12, Issue 47, 2023, Pages 481-504]
  • Interest Rate Risk Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Interface System Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Intermediate and Distressed Companies Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Internal and external Investment in the oil industry Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [Volume 12, Issue 46, 2023, Pages 445-464]
  • Internal audit Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Internal Capital Markets Modeling Financing Plan of Holding Companies with approach of reducing Cost of Capital [Volume 4, بهار 1394, 2015, Pages 43-62]
  • Internal Control Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [Volume 12, Issue 48, 2023, Pages 489-510]
  • Internal Control Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
  • Internal Control Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Internal Controls Stock market reactions to earnings management, corporate risk and weak internal controls [Volume 11, Issue 42, 2022, Pages 563-578]
  • Internal Corporate Governance Mechanisms The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [Volume 13, Issue 52, 2024, Pages 299-324]
  • Internal dimensions of corporate governance The Relation of The Different Dimensions of Corporate Governance with Tax Avoidance in Accepted Companies on Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 229-244]
  • Internal Green Supply Chain Practices Investigating the effect of internal actions of the green supply chain on financial performance with the mediating role of environmental cooperation of the supply chain and green human resources management in the companies of the agriculture and rela [Volume 15, Issue 59, 2026, Pages 295-318]
  • Internal marketing Explaining the integrated model of internal marketing with an approach based on investment development in start-ups [Volume 14, Issue 53, 2025, Pages 491-510]
  • International Diversification Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • International economic announcements Investigation of Quick Reaction of Tehran Securities Exchange to International Economic Announcement Publications [Volume 2, بهار 1392, 2013, Pages 67-80]
  • International Financial Reporting Standard No. 13 (IFRS13) Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [Volume 13, Issue 52, 2024, Pages 63-92]
  • International Marketing Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • International portfolio The Effect of Portfolio Diversification on Value at Risk in Tehran Stock Exchange (TSE) [Volume 2, تابستان 1392, 2013, Pages 83-104]
  • International risk Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [Volume 11, Issue 41, 2022, Pages 303-332]
  • Internet Stock Trading The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Interpretive Structural Modeling The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [Volume 7, Issue 27, 2018, Pages 299-320]
  • Interpretive Structural Modeling A classification model of factors affecting application of corporate venture capital strategy: An Interpretive Structural Modeling approach [Volume 8, Issue 31, 2019, Pages 265-284]
  • Interpretive Structural Modeling A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • Interpretive Structural Modeling Assessment of the importance of influencing factors on popular behavior in mutual investment funds and the relationships between them based on interpretive structural modeling [Volume 16, Issue 62, 2027, Pages 171-191]
  • Interpretive Structural Modeling (ISM) Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Inventory Turnover Period Studying the Effect of the components of the cash conversion cycle and return on assets in abkame company. [Volume 2, زمستان 1392, 2013, Pages 89-104]
  • Investing Providin a model for university and industry intetaction based on Knowledge-based economy and investing research and development [Volume 10, Issue 38, 2021, Pages 539-569]
  • Investing Strategies Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [Volume 6, Issue 24, 2017, Pages 99-116]
  • Investment Activity Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [Volume 13, Issue 49, 2024, Pages 325-352]
  • Investment behavior An Analytical Modeling of Investments Decision-making Behavior in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 105-128]
  • Investment behavior Providing Investor Behavior Model for Investment Portfolio Risk Management [Volume 15, Issue 57, 2026, Pages 307-329]
  • Investment-cash flow sensitivity Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [Volume 3, تابستان 1393, 2014, Pages 25-46]
  • Investment Companies Investigation of capabilities of econometrist models in determination of value at risk in investment companies for determination of optimized portfolio in capital market of Iran [Volume 3, زمستان 1393, 2014, Pages 195-216]
  • Investment conditions uncertainty index Designing Investment conditions uncertainty index [Volume 11, Issue 41, 2022, Pages 119-144]
  • Investment Culture Investigation of risk perception mental model of investors of Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 195-216]
  • Investment decision An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [Volume 4, بهار 1394, 2015, Pages 127-150]
  • Investment decision Survey of the Herding behavior model in investment decision on emerging markets [Volume 16, Issue 63, 2027, Pages 23-39]
  • Investment Efficiency Stock Liquidity, Investment Efficiency, and Firm's Performance: Evidence from Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 179-196]
  • Investment Efficiency Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [Volume 6, Issue 24, 2017, Pages 187-202]
  • Investment Efficiency Effect of type of finance on investment efficiency with an emphasis on company value [Volume 7, Issue 28, 2018, Pages 103-126]
  • Investment Efficiency The investigation of the effect of risk disclosure on investment efficiency of accepted companies in Tehran stock exchange [Volume 8, Issue 31, 2019, Pages 355-372]
  • Investment Efficiency Relationship between Financial Constraint and Investment Efficiency and Working Capital Strategy [Volume 8, Issue 32, 2019, Pages 129-150]
  • Investment Efficiency Validation of Investment Efficiency Models Based on Agency Theory, Information Asymmetry, Managerial Entrenchment and Firm value maximization [Volume 10, Issue 38, 2021, Pages 287-318]
  • Investment Efficiency The moderating effect of social responsibility on the relationship between investment and performance with emphasis on factors based on agency theory [Volume 10, Issue 38, 2021, Pages 389-410]
  • Investment Efficiency Investigating the Relationship between Political Influence and Investment Efficiency of Listed Companies in Tehran Stock Exchange [Volume 11, Issue 42, 2022, Pages 57-71]
  • Investment Efficiency Investigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [Volume 11, Issue 42, 2022, Pages 93-109]
  • Investment Efficiency Application of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [Volume 11, Issue 42, 2022, Pages 413-434]
  • Investment Efficiency The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Investment Efficiency Presenting an Investment Efficiency Model Based on Managers' Behavioral Biases with Emphasis on the Role of Investment Sentiment [Volume 12, Issue 48, 2023, Pages 387-414]
  • Investment Efficiency Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [Volume 12, Issue 46, 2023, Pages 787-814]
  • Investment Efficiency Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [Volume 13, Issue 51, 2024, Pages 361-384]
  • Investment Efficiency Investigating the Impact of Political Communication on the Relationship between Investment Performance and Cost of Capital [Volume 13, Issue 52, 2024, Pages 41-62]
  • Investment Efficiency Investigating the Role of Financing by Narcissistic CEOs in the Investment Efficiency of Companies Listed on the Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 939-961]
  • Investment Evaluation Investment Project Valuation Using Real Option Approach(The Case of a 500 MV Power Generation Plant) [Volume 5, Issue 17, 2016, Pages 207-225]
  • Investment Factor Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [Volume 4, تابستان 1394, 2015, Pages 61-82]
  • Investment Firms Ownership of Investment Firms and Share Price of The Listed Firm [Volume 3, بهار 1393, 2014, Pages 157-168]
  • Investment Firms The Effect of Investment Firms Ownership on Earnings Overstatement: Test of Strategic Alignment and Efficient Monitoring Hypothesis [Volume 6, Issue 23, 2017, Pages 55-70]
  • Investment Functions Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
  • Investment Fund Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [Volume 10, Issue 37, 2021, Pages 103-139]
  • Investment Fundamentals Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [Volume 10, Issue 37, 2021, Pages 103-139]
  • Investment funds Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [Volume 3, بهار 1393, 2014, Pages 65-82]
  • Investment funds Ranking of mutual funds in Iran based on favorable and unfavorable risk criteria [Volume 6, Issue 24, 2017, Pages 215-230]
  • Investment Horizon Financial Reporting Quality, Investment Horizon، and Institutional Investor Trading Strategies [Volume 11, Issue 42, 2022, Pages 391-412]
  • Investment in agriculture Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Investment Inefficiency Assessment the Impact of Inefficient Investment Decisions on the Relationship between Conservatism and New Investment [Volume 9, Issue 36, 2020, Pages 61-82]
  • Investment in Technology Commercialization A New Investment Model in Technology Commercialization: Case Study of Islamic Azad University [Volume 5, Issue 20, 2016, Pages 1-24]
  • Investment Intention Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 141-170]
  • Investment Intention Modeling the combination of the theory of planned behavior and the personality Five-Factor Model on invest Intention of Micro shareholders to in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 465-481]
  • Investment Management Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [Volume 8, Issue 31, 2019, Pages 285-316]
  • Investment Management Education development model based on investment management approach in Mazandaran University [Volume 14, Issue 53, 2025, Pages 597-611]
  • Investment managers of mutual funds A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Investment Mutual funds Comparative Study of C-CAPM and CD-CAPM Models in investment Mutual funds of Iran [Volume 7, Issue 28, 2018, Pages 281-296]
  • Investment Objectives Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [Volume 6, Issue 24, 2017, Pages 99-116]
  • Investment Opportunity Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [Volume 1, تابستان 1391, 2012, Pages 81-96]
  • Investment Options Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [Volume 9, Issue 36, 2020, Pages 271-291]
  • Investment performance Testing portfolio strategies based on fundamental, technical and heuristically with behavioral objects and characteristics of Tehran stoke market investors [Volume 6, Issue 24, 2017, Pages 99-116]
  • Investment performance Develop a Model of Factors Affecting Investment Performance and Analyze and Compare with Structural Equation Methods and Data Panel [Volume 12, Issue 48, 2023, Pages 287-310]
  • Investment policy Investigating investment policy effect on objective achievement in personal account plan [Volume 9, Issue 35, 2020, Pages 169-187]
  • Investment portfolio optimization Optimizing the investment portfolio based on the approaches of the anteater optimization algorithm and the weed optimization algorithm and comparing it with traditional approaches. [Volume 13, Issue 49, 2024, Pages 507-536]
  • Investment Returns Investigating Credit Risk Assessment Using Indicators Affecting the Relationship between Financial Development and Economic Growth - Markov Switching Approach [Volume 13, Issue 51, 2024, Pages 55-78]
  • Investments The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Investment Sentiment Presenting an Investment Efficiency Model Based on Managers' Behavioral Biases with Emphasis on the Role of Investment Sentiment [Volume 12, Issue 48, 2023, Pages 387-414]
  • Investment Strategy presentation of new method for investment strategy in private section [Volume 3, پاییز 1393, 2014, Pages 259-289]
  • Investment Strategy A Performance Evaluation of Black Swan Strategy [Volume 5, Issue 18, 2016, Pages 161-177]
  • Investor based-brand equity The effect of the brand on investor behavior and perceived risk as Mediate [Volume 8, Issue 32, 2019, Pages 235-250]
  • Investor Behavior Analysis of Behavioral Reactions in Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 223-240]
  • Investor Behavior The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Investor Behavior The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Investor Decisions A Model to Identify the Impact of Spiritual Intelligence on Emotional Intelligence and Its Role in Behavioral Bias Control (Based on Halo Error) and Its Role on Investor Decision Making [Volume 11, Issue 42, 2022, Pages 659-683]
  • Investor Heterogeneity Prioritization of stock price bubble measuring factors with a behavioral approach [Volume 12, Issue 46, 2023, Pages 419-444]
  • Investor Personality The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [Volume 11, Issue 42, 2022, Pages 207-223]
  • Investor Personality Behaviors Investor behavior and bias resulting from of financial restatement [Volume 12, Issue 48, 2023, Pages 47-66]
  • Investor preferences Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Investors Emotional intelligence effect on the quality of decision making by investors in the stock exchange [Volume 5, Issue 17, 2016, Pages 99-112]
  • Investors Securitization in the Islamic Markets vs. Securitization in Major International one [Volume 5, Issue 18, 2016, Pages 1-15]
  • Investors Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
  • Investors Analysis and Evaluation of Effective Behavioral Biases in Investors' Decisions and Determining the Priority of Identified Categories from the Perspective of Experts using Demetel Technique and Analytic Hierarchy Process (AHP) [Volume 12, Issue 47, 2023, Pages 231-248]
  • Investors Interpretive structural modeling to improve the financial fragility of companies listed on the Iranian Stock Exchange with a screening approach [Volume 13, Issue 50, 2024, Pages 545-565]
  • Investors Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Investors Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Investors' Asymmetric Perceptions The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [Volume 10, Issue 40, 2021, Pages 375-399]
  • Investors behavior Spreading Commercial Rumors in Cyberspace: Evidence From the Tehran Stock Exchange (Phenomenological Method) [Volume 12, Issue 45, 2023, Pages 233-259]
  • Investors' Cognitive Biases Investor behavior and bias resulting from of financial restatement [Volume 12, Issue 48, 2023, Pages 47-66]
  • Investors 'Emotional Biases Investor behavior and bias resulting from of financial restatement [Volume 12, Issue 48, 2023, Pages 47-66]
  • Investors’ Emotional Features Explanation of the Role of Investors’ Emotional Inclination on the Stock Liquidity of Firms Listed on Tehran Stock Exchange [Volume 11, Issue 42, 2022, Pages 435-453]
  • Investors' Emotional Tendency The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [Volume 12, Issue 47, 2023, Pages 605-640]
  • Investors Loss Aversion Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • Investors' reaction Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [Volume 11, Issue 43, 2022, Pages 171-198]
  • Investors' Reactions Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • Investors Self-control Bias Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • I nvestors' T endencies and S hort- T erm and L ong- T erm H orizons Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Investors ' Trading Behavior Investors ' Trading Behavior in stock Market Under Information Ambiguity Formality of Hearding Behavior [Volume 13, Issue 51, 2024, Pages 405-434]
  • Iran New methods of financing football clubs in developed countries and the developing countries have a comparative study [Volume 4, بهار 1394, 2015, Pages 217-232]
  • Iran The Effect of Financial Depth on Stock Return: The Bounds Testing Approach [Volume 7, Issue 27, 2018, Pages 171-188]
  • Iran Assessing the effects of board structure and diversity on the performance and capability of companies in Iran: A case study of marketing capability in companies listed on the Tehran Stock Exchange [Volume 11, Issue 44, 2022, Pages 631-652]
  • Iran Model of Resilience of Free Zones in Promotion of National Economy of Iran [Volume 13, Issue 49, 2024, Pages 189-200]
  • Iran Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [Volume 13, Issue 52, 2024, Pages 245-266]
  • Iran Investigating the effect of credit creation in the banking sector on financial fragility in Iran [Volume 14, Issue 54, 2025, Pages 523-540]
  • Iran Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • Iran's Stock Exchange Cultural factors and risk-taking power of investment companies in Iran's stock exchange [Volume 8, Issue 30, 2019, Pages 153-172]
  • Iran Banking System Validating the network policy making model in the field of digital banking in Iran [Volume 13, Issue 50, 2024, Pages 413-430]
  • Iran Capital Market Bank opacity and efficiency of stock prices [Volume 10, Issue 39, 2021, Pages 123-142]
  • Iranian Banks Liquidity Trap in Iranian Banks (Based on Indexing of Key Ratios) [Volume 9, Issue 34, 2020, Pages 1-13]
  • Iranian Capital Market Geopolitical risk and financing behavior of companies: Evidence from the Iranian capital market [Volume 14, Issue 55, 2025, Pages 209-226]
  • Iranian Stock Market Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
  • Iranian Stock Market Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Iran Merchandise Exchange Empirically examining of the effect of week days on future contracts market of Bahar Azadi Coin in Tehran Merchandise Exchange [Volume 2, تابستان 1392, 2013, Pages 29-44]
  • Iran National Steel Company Identifying factors affecting capital budgeting decisions (case study: Iran National Steel Company) [Volume 15, Issue 59, 2026, Pages 455-472]
  • Iran oil Industry Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [Volume 12, Issue 46, 2023, Pages 445-464]
  • Iran's capital market Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [Volume 13, Issue 49, 2024, Pages 397-420]
  • Iran's capital market Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Iran’s new petroleum contracts Comparative Analysis of the Financial Regime of New Petroleum Contracts, Known as IPC, and Buyback Trade in Terms of Costs [Volume 13, Issue 49, 2024, Pages 217-230]
  • Iran Stock Exchange Investigating the role of principles of ethics and auditing professional behavior in applying creative accounting to investors [Volume 12, Issue 45, 2023, Pages 437-452]
  • Iran Stock Exchange Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [Volume 13, Issue 52, 2024, Pages 785-810]
  • Irregularity Identification of Iranian capital market irregularities based on metacombination and fuzzy Delphi [Volume 13, Issue 52, 2024, Pages 759-783]
  • Islam Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [Volume 12, Issue 47, 2023, Pages 249-268]
  • Islamic Azad University of Hormozgan Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [Volume 11, Issue 42, 2022, Pages 523-541]
  • Islamic Azad University Science and Technology Park A New Investment Model in Technology Commercialization: Case Study of Islamic Azad University [Volume 5, Issue 20, 2016, Pages 1-24]
  • Islamic Conference member countries Factor affecting on health in the Organization of the Islamic Conference (OIC) Member Countries’ case (social – economic approach) [Volume 2, تابستان 1392, 2013, Pages 123-140]
  • Islamic corporate governance Ranking Iranian banks according to corporate governance based on banks documents [Volume 7, Issue 26, 2018, Pages 199-220]
  • Islamic countries Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [Volume 13, Issue 52, 2024, Pages 245-266]
  • Islamic Finance Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Islamic Financial Instruments Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Islamic Financial Instruments (SUKUK) The Role of Securitization in Countries’ Economic Growth and Development (Focus on Need to Deployment of Securitization Market in IRAN) [Volume 4, Issue 16, 2015, Pages 221-240]
  • Islamic financial securities (Sukuk) The Securitization of Insurances In the Leading Industries (Based On Sukuk Models) [Volume 5, Issue 19, 2016, Pages 1-24]
  • Islamic financial securities (Sukuk) Identifying Determinants of Corporate Credit Rating [Volume 5, Issue 19, 2016, Pages 25-52]
  • Islamic Financial System Development Examining the relationship between development of Islamic Financial Systems and Foreign Direct Investment [Volume 7, Issue 28, 2018, Pages 141-158]
  • Islamic financing Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [Volume 12, Issue 48, 2023, Pages 99-140]
  • Islamic Fintech Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Islamic republic of iran broadcasting Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [Volume 7, Issue 28, 2018, Pages 217-232]
  • Islamic securities Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [Volume 12, Issue 45, 2023, Pages 1-25]
  • Islamic securities Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [Volume 12, Issue 48, 2023, Pages 99-140]
  • Islamic Treasury bills Price modeling of Islamic treasury bills based on securitization [Volume 5, Issue 18, 2016, Pages 51-65]
  • Islamic Treasury bills Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • ISO 9001 Effects of Quality Management Systems on the financial performance of the Companies listed in Tehran Stock Exchange [Volume 1, زمستان 1391, 2012, Pages 195-214]
  • Issuer Risk Securitization in Catastrophic and Life Insurance Policies [Volume 5, Issue 18, 2016, Pages 17-33]
  • Istanbul Stock Exchange Evaluating the Relationship between Tehran Stock Exchange and Istanbul Stock Exchange: Causality and Co-Integration [Volume 8, Issue 29, 2019, Pages 1-12]
  • Istanbul Stock Exchange The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 273-287]
  • Itraday Data Presenting of High-frequency Trading System [Volume 4, پاییز 1394, 2015, Pages 89-110]
J
  • Judgment and Decision Making The effect of a coherent presentation model of financial statements on investors' judgment and decisions in comparison with the model presented by the Tehran Stock Exchange and the auditing organization using a quasi-experimental approach [Volume 12, Issue 46, 2023, Pages 203-224]
  • Jump The effect of size and intensity of price jumps on forecasting index volatility in Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 137-156]
  • Jump diffusion market Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [Volume 8, Issue 31, 2019, Pages 165-174]
  • Jump–diffusion stochastic processes Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [Volume 10, Issue 38, 2021, Pages 571-590]
K
  • Kahart Four-Factor Model Explaining the Role of Investors' Sentiment in Capital Asset Pricing [Volume 13, Issue 50, 2024, Pages 1-17]
  • Kalman Filter The profitability of pairs trading strategy based on linear state-space models and the Kalman filter in Tehran Stock Exchange [Volume 10, Issue 37, 2021, Pages 57-75]
  • Kalman Filter Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [Volume 13, Issue 51, 2024, Pages 279-300]
  • Keyword Capital structure Analysis of capital increase of public joint stock companies in Iranian law. [Volume 13, Issue 52, 2024, Pages 287-298]
  • Keyword: Company size Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [Volume 13, Issue 51, 2024, Pages 157-176]
  • Keyword: Dcapm The evalution of DCAPM,ACAPM model standard capital cost [Volume 12, Issue 48, 2023, Pages 671-696]
  • Keywords: Banking Productivity Modeling the Relationship between Efficiency, Risk and Capital in the Iranian Banking System [Volume 10, Issue 40, 2021, Pages 227-240]
  • Keywords: Behavioral Bias Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Keywords: Behavioral Finance Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • Keywords: behavior herding Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Keywords: Brand Value The Impact of Performance Criteria on Brand Value In the automotive industry [Volume 12, Issue 47, 2023, Pages 541-562]
  • Key words: Covid-19 Examining the impact of the Corona epidemic on the capital market price index in Iran [Volume 13, Issue 51, 2024, Pages 301-318]
  • Keywords: Crisis Identify and examine the process of impact of the most important variables affecting the banking crisis over time [Volume 12, Issue 47, 2023, Pages 379-410]
  • Key words: Currency Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [Volume 12, Issue 45, 2023, Pages 297-319]
  • Keywords: digital transformation Digital transformation in corporate banking: theoretical approach and behavioral analysis [Volume 11, Issue 44, 2022, Pages 603-630]
  • Keywords: ethics Providing a model of investment ethics for managers in the financial crisis with a qualitative approach [Volume 11, Issue 43, 2022, Pages 309-331]
  • Keywords: Financial Indices Predicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
  • Keywords: financing structure Modeling risk in accordance with the financing structure in the money market based on probabilistic decision theory [Volume 10, Issue 37, 2021, Pages 297-317]
  • Keywords Fiscal Discipline Designing a Model for Fiscal Discipline of Companies Listed in the Tehran Stock Exchange Using Logistic Regression [Volume 12, Issue 45, 2023, Pages 27-51]
  • Keywords Investment Efficiency Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • Keywords: Investment freedom Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [Volume 12, Issue 47, 2023, Pages 583-604]
  • Keywords: Investor behavior Presentation a model for Identifying Human Influencing Investors' Behavior in the Iranian Capital Market [Volume 10, Issue 40, 2021, Pages 549-575]
  • Keywords: Level of risk disclosure in annual financial reporting Explaining the effect of financial reporting concepts on the level of risk disclosure in annual financial reporting in companies listed on the Tehran Stock Exchange [Volume 10, Issue 38, 2021, Pages 455-473]
  • Keywords: liquidity management Factors affecting liquidity management in pharmaceutical companies: Bayesian averaging approach [Volume 12, Issue 45, 2023, Pages 73-93]
  • Keywords: Managers 'Behavioral Bias The effect of recognizing managers 'behavioral biases on investors' emotional tendencies through the gray hierarchical analysis process [Volume 12, Issue 47, 2023, Pages 605-640]
  • Keywords: Managers' overconfidence Investigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [Volume 11, Issue 42, 2022, Pages 93-109]
  • Keywords: Market Orientation Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [Volume 12, Issue 48, 2023, Pages 697-720]
  • Keywords: market reaction Stock market reactions to earnings management, corporate risk and weak internal controls [Volume 11, Issue 42, 2022, Pages 563-578]
  • Keywords: "Market Timing" Investigating the role of market timing as a model and investment strategy on the performance of capital market professionals [Volume 12, Issue 47, 2023, Pages 641-662]
  • Keywords: Meta-innovative models Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Keywords: Meta-innovative models Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Keywords: Model presentation ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [Volume 12, Issue 47, 2023, Pages 457-480]
  • Keywords: Momentum Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • Key words: Perceived portfolio returns The Impact of Perceived Portfolio Returns on Investor Decisions - The underlying psychological mechanism [Volume 12, Issue 45, 2023, Pages 419-435]
  • Key Words: Price Bubbles Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [Volume 9, Issue 36, 2020, Pages 415-433]
  • Key words: Reactivity Spillover Effect On Different industries For Capital Market [Volume 9, Issue 34, 2020, Pages 277-293]
  • Keywords: shareholder value creation Clarifying the model of influential criteria in production growth with the approach of shareholders' value creation [Volume 12, Issue 48, 2023, Pages 745-758]
  • Keywords: Technical analysis efficiency Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [Volume 10, Issue 40, 2021, Pages 621-644]
  • Keywords: Vector autoregression Investing in the oil and gas industry using estimates of crude oil and natural gas consumption in Iran by VECM model [Volume 9, Issue 34, 2020, Pages 109-126]
  • Kl divergence metric Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
  • Knock-in Options Appraisal Exotic Barrier Options in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 205-222]
  • Knock- out Options Appraisal Exotic Barrier Options in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 205-222]
  • Knowledge-Based and Start-up Companies Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
  • Knowledge Based Companies Presentation a technology commercialization model in ICT Knowledge base companies [Volume 7, Issue 26, 2018, Pages 63-82]
  • Knowledge-based economy Providin a model for university and industry intetaction based on Knowledge-based economy and investing research and development [Volume 10, Issue 38, 2021, Pages 539-569]
  • Knowledge-based Firms A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Kupiec test Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 287-312]
  • Kurtosis Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 115-128]
  • Kurtosis Higher Moments and Idiosyncratic Volatility Puzzle [Volume 3, پاییز 1393, 2014, Pages 1-24]
  • Kurtosis Model Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [Volume 8, Issue 31, 2019, Pages 249-264]
L
  • Labor Investment Inefficiency The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies in Tehran Stock Exchange [Volume 13, Issue 49, 2024, Pages 231-250]
  • Lag (ARDL) Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [Volume 8, Issue 32, 2019, Pages 291-314]
  • Law Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 707-727]
  • Leading Industries Determination and Ranking of Leading Industries for the loan and facility paid by the banks (Emphasis on Financial Index) [Volume 6, Issue 21, 2017, Pages 15-40]
  • League championship algorithm Extracting Stock Multi-order Rules via Employing a Network Structure and Backward Q-Learning [Volume 8, Issue 30, 2019, Pages 115-138]
  • Lean Manufacturing Identification and Ranking of Green investment Factors [Volume 9, Issue 34, 2020, Pages 71-107]
  • Learning algorithm Agent-oriented modeling for credit risk analysis [Volume 4, پاییز 1394, 2015, Pages 71-88]
  • Leasing risks Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing [Volume 6, Issue 24, 2017, Pages 21-38]
  • Least Square Installment Option Valuation by Least Squares with Checking the Solution Convergence [Volume 8, Issue 32, 2019, Pages 87-108]
  • Legal Customers Modeling Customers Credit Rating Based on Life Cycle and Financial Ratios: Approach of Discriminant Analysis [Volume 12, Issue 46, 2023, Pages 25-41]
  • Legault model An application of Altman-levalle and legault-Veronneau models for prediction of continuity and bankruptcy in accepted companies in TSE (Tehran Stock Exchange) [Volume 1, زمستان 1391, 2012, Pages 19-46]
  • Lend Tech Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Level of forward-looking information disclosure Forward-looking information Measurement and its relationship of the level and tone with the futures liquidity of the firms [Volume 14, Issue 56, 2025, Pages 347-372]
  • Level of investment Review is research affect Tobin q ratio and Revenue growth rate on the level of investment in listed companies in Tehran Stock Exchange [Volume 1, بهار 1391, 2012, Pages 83-98]
  • Leverage Provide a model for assessing credit risk using structural models and debt combinations [Volume 14, Issue 53, 2025, Pages 201-236]
  • Leverage Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Leverage deficit Earnings Quality, Leverage Deficit (Surplus), and Financing Policy in companies listed in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 151-170]
  • Levy process Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Life & catastrophic insurance Risk Securitization in Catastrophic and Life Insurance Policies [Volume 5, Issue 18, 2016, Pages 17-33]
  • Life Cycle corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [Volume 12, Issue 46, 2023, Pages 323-348]
  • Life Cycle Designing target leverage model over the life cycle of the company [Volume 12, Issue 45, 2023, Pages 485-504]
  • Life cycle management Identification of the indicators of the life cycle management model for the development of banking services Case Study: Parsian Bank)) [Volume 10, Issue 39, 2021, Pages 419-437]
  • Life insurance Impact of Climate Change Risk and Insurance Industry [Volume 12, Issue 46, 2023, Pages 559-582]
  • Life insurance Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [Volume 13, Issue 49, 2024, Pages 251-278]
  • Life insurance Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Life settlements Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Lifestyle Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Lightning Cream Algorithm Support Vector Machine Regression Algorithm Decision Tree Algorithm Presenting and explaining a model to create the value of the company according to the role of accounting standards management, financial reporting quality and audit quality using meta-innovative models [Volume 13, Issue 50, 2024, Pages 239-262]
  • Liquidity Buffer Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Liquidity criteria Measurment of stock liquidity criteria surrounding capital raising decisions [Volume 2, زمستان 1392, 2013, Pages 105-120]
  • Liquidity management Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [Volume 9, Issue 34, 2020, Pages 41-54]
  • Liquidity Risk Management Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Liquidity Risk Management Mutual Fund Liquidity Risk Management Tools [Volume 12, Issue 47, 2023, Pages 355-378]
  • Liquidity Timing A model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
  • Listed Pharmaceutical Companies in the OTC and Stock Market of Iran Network Analysis of Stock Prices Case Study: Listed Pharmaceutical Companies in the OTC and Stock Market of Iran [Volume 8, Issue 29, 2019, Pages 171-188]
  • Liu’s Theoretical framework The Impact of Excess Cash Holding on Liquidity Risk by Using Liu’s Theoretical framework [Volume 10, Issue 39, 2021, Pages 355-373]
  • LMS Day of the Week Effect in Stock Returns by using Least Mean Square (LMS) Algorithm Regression [Volume 1, تابستان 1391, 2012, Pages 19-34]
  • Loan Contract Accrual Quality Assessment Model in Banking Industry [Volume 7, Issue 28, 2018, Pages 247-264]
  • Loan repayment losses Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [Volume 12, Issue 48, 2023, Pages 311-328]
  • Locally Stationary Process Locally Stationary Wavelet Process and Its Application in Consumer Price Index [Volume 1, بهار 1391, 2012, Pages 67-82]
  • Locally Stationary Wavelet Process Locally Stationary Wavelet Process and Its Application in Consumer Price Index [Volume 1, بهار 1391, 2012, Pages 67-82]
  • Logistic model Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [Volume 10, Issue 37, 2021, Pages 241-254]
  • Logit and probit regression Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Long-term debt ratio The effect of leverage ratios customers on credit risk in Iranian Banks using mixed effects model (fixed and random) [Volume 9, Issue 35, 2020, Pages 49-64]
  • Long Term Horizon The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • Lookback options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
  • Loser Explain momentum and its sources in Tehran stock exchange [Volume 2, تابستان 1392, 2013, Pages 141-154]
  • Loss Aversion Coefficient The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 285-307]
M
  • M41 Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Machiavellian personality The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [Volume 8, Issue 30, 2019, Pages 229-250]
  • Machine learning Credit Risk Modeling of Cryptocurrency Market Using Machine Learning: Application to Money Laundering Detection in Bitcoin Transactions [Volume 14, Issue 55, 2025, Pages 531-556]
  • Machine learning Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Machine learning Predicting the Financial Solvency of Insurance Companies under Economic Stress Scenarios Using Machine Learning Algorithms [Volume 16, Issue 64, 2027, Pages 621-644]
  • Macroeconomic conditions Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [Volume 10, Issue 40, 2021, Pages 621-644]
  • Macroeconomic variables The relationships between market beta with macroeconomic variables and accounting information [Volume 3, تابستان 1393, 2014, Pages 47-66]
  • Macroeconomic variables Evaluation of long term relations between Tehran Stock Exchange index and macroeconomic variables [Volume 6, Issue 21, 2017, Pages 97-112]
  • Macroeconomic variables Expression and design a model to forecast the exchange rate shocks and stress testing of the currency in Iran [Volume 6, Issue 24, 2017, Pages 251-274]
  • Macroeconomic variables Investigating micro and macro factors affecting business risk in listed companies on the Tehran Stock Exchange [Volume 13, Issue 51, 2024, Pages 193-212]
  • Macroeconomic variables Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [Volume 13, Issue 51, 2024, Pages 279-300]
  • Macroeconomic variables Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • MAD Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [Volume 13, Issue 52, 2024, Pages 347-372]
  • Magnets effect Effect of induced magnetic domain price fluctuations in the Tehran Stock Exchange [Volume 5, Issue 17, 2016, Pages 21-36]
  • Malliavin calculus Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [Volume 8, Issue 31, 2019, Pages 165-174]
  • Malmquist Productivity Index Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • Management Content analysis of financial risk management research in Iranian banks [Volume 13, Issue 51, 2024, Pages 255-278]
  • Management Characteristic Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Management Characteristics Explaining the role of personality and structural characteristics of management on the competitiveness in the market of products of companies listed on the Tehran Stock Exchange: Emphasis on data mining models and data envelopment analysis [Volume 12, Issue 48, 2023, Pages 21-46]
  • Management Compensation Plans Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [Volume 2, پاییز 1392, 2013, Pages 167-192]
  • Management Disorders The Impact of Managers' Personality Disorders on Financial Reporting Management and Stakeholder Investment Management [Volume 13, Issue 52, 2024, Pages 421-445]
  • Management Optimism The Relationship of Management Optimism and Earnings Smoothing between Banks Listed in Tehran Stock Exchange and OTC [Volume 6, Issue 22, 2017, Pages 179-196]
  • Management turnover The Association between Management turnovers With Default Risk and Corporate Performance [Volume 4, پاییز 1394, 2015, Pages 183-204]
  • Managerial Efficiency Investigating the Relation between Political Management and Managerial efficiency on Tax aggressiveness reporting in Iran capital market [Volume 13, Issue 49, 2024, Pages 353-374]
  • Managerial Empowerment Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [Volume 6, Issue 24, 2017, Pages 231-250]
  • Managerial Financial Literacy Identification of effective components in the formation of financial literacy of corporate executives using the phenomenological approach. [Volume 10, Issue 37, 2021, Pages 255-272]
  • Managerial Overconfidence The Survey on Mediator Role of Intangible Assets in Managerial Overconfidence and Capital Return (ROIC) [Volume 9, Issue 33, 2020, Pages 163-178]
  • Managers Factor Effect on Financial Analysts trust to Manager [Volume 2, پاییز 1392, 2013, Pages 35-54]
  • Managers Providing a model of investment ethics for managers in the financial crisis with a qualitative approach [Volume 11, Issue 43, 2022, Pages 309-331]
  • Managers Ability Investigating the impact of moderating the CEO duality and institutional shareholders on the relationship between managerial ability and lack of transparency of company information [Volume 12, Issue 46, 2023, Pages 299-322]
  • Managers' Decision Making Investigating the effect of financial-behavioral factors on investors' decisions from the perspective of managers of investment companies in Iran Stock Exchange [Volume 13, Issue 52, 2024, Pages 785-810]
  • Managers'expectations stickiness The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Managers Power The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [Volume 12, Issue 46, 2023, Pages 395-418]
  • Managers' social capital Examining the Impact of Managers' Social Capital on Bank Risks [Volume 12, Issue 48, 2023, Pages 245-262]
  • Marginal Expected Shortfall (MES) Systemic risk assessment models: a better approach in Iranian financial institutions [Volume 12, Issue 47, 2023, Pages 177-190]
  • Marginal value of cash The association between excess Cash holding and shareholder value: The case of Tehran security exchange [Volume 3, زمستان 1393, 2014, Pages 55-74]
  • Market-based Characteristics Earning Attributes Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • Market-based Performance Marketing-Based Management: The Semi-Hidden Real Performance of Insurance Companies in Iran Insurance Industry [Volume 12, Issue 45, 2023, Pages 505-524]
  • Market Depth Market Depth and Noisy Prices: A Maximum Likelihood Approach [Volume 6, Issue 23, 2017, Pages 23-38]
  • Market efficiency Effect of natural and legal persons trading in the occurrence of price bubbles in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 151-166]
  • Market efficiency Empirical analysis of fractal dimensions on cash return and price indices of listed companies of Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 79-93]
  • Market Efficiently Speed of Adjustment Scurities Prices, A Method for Evaluating of Investors Overreaction & Underreaction and Financial Markets Efficiently: Approches, Models and Results [Volume 4, تابستان 1394, 2015, Pages 95-124]
  • Market Factors Bankruptcy Detection in Different Time Horizons Based on Macroeconomic and Firm Factors and Distance to Default Based on Black and Scholes Pricing Model [Volume 12, Issue 47, 2023, Pages 411-434]
  • Market Fluctuations Explain the shocks and fluctuations of the foreign exchange market and how to transfer these shocks to other markets [Volume 12, Issue 46, 2023, Pages 485-504]
  • Market inefficiency Analysing Investors’ overreaction to the Accruals (Accrulas Anomoly) in Tehran Stock Exchange [Volume 4, تابستان 1394, 2015, Pages 161-174]
  • Marketing-Based Indicators Marketing-Based Management: The Semi-Hidden Real Performance of Insurance Companies in Iran Insurance Industry [Volume 12, Issue 45, 2023, Pages 505-524]
  • Marketing communications Designing a quality model of integrated marketing communications for specialized banks in Iran [Volume 12, Issue 45, 2023, Pages 453-484]
  • Marketing strategy Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
  • Marketing strategy Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [Volume 12, Issue 48, 2023, Pages 697-720]
  • Marketing strategy Native Marketing Model in Times of Recession [Volume 14, Issue 56, 2025, Pages 121-166]
  • Market liquidity risk An Investigation of Affecting Factors in Bid Ask Spread as a Measure for Information Asymmetry [Volume 3, زمستان 1393, 2014, Pages 25-40]
  • Market Making Interest rate of the securities with fixed-income in Iran [Volume 4, پاییز 1394, 2015, Pages 1-18]
  • Market microstructure Research the effects of market microstructure on the stock price in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 31-44]
  • Market monitoring Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 1-18]
  • Market paradigms Psychological entropy theory in behavioral finance [Volume 3, پاییز 1393, 2014, Pages 239-258]
  • Market Price Index Simulation of Model Changes by Exchange Rates and Gold Price on the Tehran Stock Exchange Performance with System Dynamics Approach [Volume 7, Issue 25, 2018, Pages 17-38]
  • Market Return Appraising the Herding Behavior on Institutional Investors with Christie and Huang Model in Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 147-160]
  • Market Return Investigation of Effect Market Return on Stock Return [Volume 2, پاییز 1392, 2013, Pages 1-20]
  • Market risk Performance test to calculate the risk of classical general [Volume 2, تابستان 1392, 2013, Pages 105-122]
  • Market risk The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Market risk Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [Volume 10, Issue 39, 2021, Pages 103-122]
  • Market risk Provide a model for measuring the effects of banking risks on the stability of the banking system [Volume 11, Issue 41, 2022, Pages 471-494]
  • Market risk The contagiousness of the risk of financial distress in Iranian banks with a dynamic conditional turbulence approach [Volume 12, Issue 45, 2023, Pages 159-179]
  • Market separation Providing a new performance model for building trust and systematic confidence to play in the Iranian capital market (Using Vickor model focusing on independence in the game of personal investors from institutional investors) [(Articles in Press)]
  • Market states Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • Market structure The Effect of Changes in the Banking Industry Structure on Firms Investment [Volume 9, Issue 35, 2020, Pages 101-119]
  • Market timing Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
  • Market value Ranking the stock Superior enterprises from intellectual capital position and it Comparison with the ranking based stock indexes [Volume 4, تابستان 1394, 2015, Pages 29-46]
  • Market value The Impact of Financial Decisions on Valuation of Firms with Excess Cash flow and Firms with Low Investment Opportunities in TSE [Volume 5, Issue 17, 2016, Pages 147-164]
  • Market Value" The impact of business model innovation on financial performance of petrochemical company [Volume 10, Issue 39, 2021, Pages 609-622]
  • Market Value Added Strategic Performance Analysis [Volume 2, زمستان 1392, 2013, Pages 157-174]
  • Markov chain Monte Carlo (MCMC) Investigation of the role of macroeconomic variables in Tehran Stock Exchange uncertainty using risk filtering, MCMC simulation and ARDL approaches. [Volume 13, Issue 49, 2024, Pages 1-26]
  • Markov chain Monte Carlo (MCMC) Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [Volume 13, Issue 52, 2024, Pages 631-651]
  • Markov model Developing a model for predicting the Tehran Stock Exchange index using a combination of artificial neural network and Markov hidden model [Volume 13, Issue 50, 2024, Pages 135-157]
  • Markov model The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Markov regime change Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [Volume 13, Issue 49, 2024, Pages 421-440]
  • Markov regime switching GARCH The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [Volume 6, Issue 24, 2017, Pages 151-166]
  • Markov Regime Switching GARCH model Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [Volume 9, Issue 33, 2020, Pages 109-127]
  • Markov Switching The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Markov Switching Investigating the Factors Affecting Foreign Direct Investment in Iran by Markov Switching Method [Volume 15, Issue 58, 2026, Pages 65-85]
  • Markov-switching GARCH Forecasting fluctuations of gold coin futures price on Iran mercantile exchange using parametric methods [Volume 9, Issue 34, 2020, Pages 185-210]
  • Markowitz A novel Meta-Heuristic method for solving an extended Markowitz Mean–Variance portfolio selection model [Volume 3, تابستان 1393, 2014, Pages 101-122]
  • Markowitz investment theory The Investigating of Exchange Rate Volatility Impact on Stock Market Price Efficiency and Optimization of Investment Portfolio [Volume 8, Issue 31, 2019, Pages 225-248]
  • Markowitz Model Robust model for optimal portfolio selection [Volume 3, تابستان 1393, 2014, Pages 67-84]
  • Markowitz Model Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm [Volume 3, پاییز 1393, 2014, Pages 125-164]
  • Markowitz Model Promotion of Effective Level of Investment Management in Iran Capital Market using Artificial Neural Network and Fuzzy Logic [Volume 8, Issue 31, 2019, Pages 285-316]
  • Markowitz Model Hybrid Portfolio Optimization using Analytic Hierarchy Process (AHP), Combined Compromise Solution (CoCoSo) and Markowitz Model (Case study of Tehran Stock Exchange) [Volume 12, Issue 48, 2023, Pages 539-558]
  • Marsh and Merton model Dividend Policy Prediction by Multivariable and Univariate Neural Network Models [Volume 7, Issue 26, 2018, Pages 169-184]
  • Mass Behavior Prioritization of stock price bubble measuring factors with a behavioral approach [Volume 12, Issue 46, 2023, Pages 419-444]
  • Mass Behavior Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Mass Media Designing an investment development model in the Tehran Stock Exchange based on the central role of Islamic Republic of Iran Broadcasting, IRIB. [Volume 7, Issue 28, 2018, Pages 217-232]
  • Maturity Effect The effect of maturity date, trade volume and open interests on gold coin future price volatility [Volume 3, بهار 1393, 2014, Pages 169-186]
  • Maximum likelihood method Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Maximum Rural Entrepreneurship Development Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [Volume 12, Issue 48, 2023, Pages 193-216]
  • MCDM presentation of new method for investment strategy in private section [Volume 3, پاییز 1393, 2014, Pages 259-289]
  • Mean Reversion A Performance Evaluation of Black Swan Strategy [Volume 5, Issue 18, 2016, Pages 161-177]
  • Mean reversion price The Study of Mean reversion in Tehran Stock Exchange with unit root test [Volume 1, زمستان 1391, 2012, Pages 87-104]
  • Mean-variance Mean-Variance test based on theoretical framework of downside risk using VAR [Volume 6, Issue 22, 2017, Pages 29-48]
  • Measuring (determining) fair value Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [Volume 13, Issue 52, 2024, Pages 63-92]
  • Mehr Eghtesad bank Identifying the influential macro factors in the creation of non-performing loans by the method of theme analysis, the case study of Bank Mehr Eghtesad [Volume 13, Issue 50, 2024, Pages 477-499]
  • Mental evaluations Relation between “individual investors’ mental evaluations from product and brand” and “their preference to investing in stock” [Volume 3, تابستان 1393, 2014, Pages 199-218]
  • Merger Developing a model for pricing brand value in capital supply companies: merger and acquisition strategy [Volume 13, Issue 49, 2024, Pages 201-216]
  • Merger Disputation of merger and acquisition of commercial companies and its comparison with similar legal concepts [Volume 13, Issue 51, 2024, Pages 213-238]
  • Merger The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • Meta Analysis Meta-analysis of the effect of financial indicators on credit rating [Volume 14, Issue 54, 2025, Pages 505-522]
  • Meta-synthesis Identifying the Effective Factors on developing a model for Supervision and Regulation of Financial Markets using Meta-Synthesis Approach [Volume 10, Issue 39, 2021, Pages 189-225]
  • Meta-synthesis Identifying the Dimensions, Features and Requirements of the Risk Management Framework Using Meta-Synthesis Method (Case Study: Agricultural Conversion Industries) [Volume 12, Issue 48, 2023, Pages 489-510]
  • Meta-synthesis A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • Meta-synthesis qualitative analysis method Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [Volume 13, Issue 52, 2024, Pages 63-92]
  • Methodology Comprehensive Model of Credit Risk Management in the Banking System of Iran [Volume 6, Issue 24, 2017, Pages 55-82]
  • Methodology Q Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • Metro Station The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [Volume 10, Issue 40, 2021, Pages 103-118]
  • MEVT Evaluating Extreme Dependence between Tehran security exchange and international Stock Markets Using multivariate Extreme Value Theory (MEVT) [Volume 7, Issue 27, 2018, Pages 241-256]
  • MGARCH Investigating Effect of Exchange Rate and Inflation Uncertainty on the Banking Industry Performance Based on the Multivariate Generalized Autoregressive Conditional Heteroskedasticity (MGARCH) Model [Volume 13, Issue 49, 2024, Pages 489-506]
  • MGARCH Model Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
  • MGARCH Model Contagion risk of turbulence caused by the release of good and bad news in the accepted banks of Tehran Stock Exchange with MGARCH model approach [Volume 16, Issue 61, 2027, Pages 27-44]
  • MGARCH multivariate models The Investigating of Exchange Rate Volatility Impact on Stock Market Price Efficiency and Optimization of Investment Portfolio [Volume 8, Issue 31, 2019, Pages 225-248]
  • Mic-mack Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Micro and Macro Participations of Financial System The Designing A model of Financial Decisions of Micro and Macro Financial Participations of financial system to Development Financial Markets in Iran [Volume 9, Issue 36, 2020, Pages 143-179]
  • Micro Credits Fund Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [Volume 6, Issue 24, 2017, Pages 231-250]
  • Micro investors The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [Volume 8, Issue 32, 2019, Pages 217-234]
  • Micro structure Prices The Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [Volume 11, Issue 43, 2022, Pages 61-81]
  • Mild Explosive Behavior Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [Volume 9, Issue 33, 2020, Pages 301-325]
  • Minimum variance hedge ratio Exchange Rate Optimal Hedge Ratio by Gold Futures in Iran [Volume 3, زمستان 1393, 2014, Pages 1-24]
  • Mission-based Regulation, Risk-Based Supervision, Universal Banking, Concentration Risk, Specialized banks Comparative Analysis of the Banking Regulatory Framework in Iran: Critique of the Mission-Oriented Model in Light of Inclusive Banking and Risk-Based Supervision [Volume 16, Issue 64, 2027, Pages 531-548]
  • Mixed Approach Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [Volume 13, Issue 51, 2024, Pages 461-484]
  • Mixed Approach Bank business model with emphasis on social economic factors [Volume 16, Issue 63, 2027, Pages 277-297]
  • Mixed (Economic-Accounting) Approach Portfolio Performance Assessment Based on a Mixed (Economic-Accounting) Approach and Data Envelopment Analysis (DEA) [Volume 9, Issue 36, 2020, Pages 197-210]
  • Mixed-method research Design and validation of the digital currency issuing model for cross-border payments in Central Bank of Iran [(Articles in Press)]
  • MLD index" Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [Volume 11, Issue 42, 2022, Pages 189-205]
  • MLP Comparing the Predictive Power of Multilayer Perceptron (MLP) and Multiple Linear Regression in Estimating the Yield of Islamic Treasury Bonds [(Articles in Press)]
  • Mobile messenger networks Designing mobile Messenger networks to develop debt markets ( Case study : Ministry of Economic Affairs and Finance ) [Volume 12, Issue 45, 2023, Pages 1-25]
  • Model Validation a Model of Financial Empowerment Based on Financial Therapy Approaches [Volume 10, Issue 40, 2021, Pages 577-597]
  • Model Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Model Design Designing a balanced development model for the freight transport industry based on strategic capital management [Volume 10, Issue 38, 2021, Pages 199-221]
  • Model Fitting " Design and validation of an integrated marketing communication model in Stock Exchange [Volume 13, Issue 49, 2024, Pages 77-100]
  • Modeling Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [Volume 7, Issue 27, 2018, Pages 321-338]
  • Model presentation Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
  • Modern Portfolio Theory A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Momentum Explain momentum and its sources in Tehran stock exchange [Volume 2, تابستان 1392, 2013, Pages 141-154]
  • Momentum Return Momentum:Evidence from Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 1-20]
  • Momentum The Investigation of the Role of Momentum and Investors' Sentiments on the Herding Behavior in Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 147-159]
  • Momentum Speculative bubble and stock return [Volume 8, Issue 29, 2019, Pages 159-170]
  • Momentum Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • Momentum Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • Momentum" Investigating excess returns in single- criterion and combined momentum-based investment strategies in Tehran Stock Exchange [Volume 16, Issue 61, 2027, Pages 131-152]
  • Momentum of the price Review and test the momentum phenomenon in terms of up and down market [Volume 1, پاییز 1391, 2012, Pages 47-62]
  • Momentum Profits The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [Volume 7, Issue 28, 2018, Pages 297-312]
  • Momentum Spread Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • Monetary and Fiscal Policy Shocks Examining the Effect of Shocks in Monetary and Fiscal Policy on Value Added of Industry and Mining Sector in Iran [Volume 6, Issue 24, 2017, Pages 117-138]
  • Monetary Disorders Investigating the Relationship between Acquired Factors and Monetary Disorders (Case Study: Banks of Tehran Stock Exchange) [Volume 13, Issue 51, 2024, Pages 239-254]
  • Monetary freedom Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [Volume 12, Issue 47, 2023, Pages 583-604]
  • Monetary policy Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [Volume 5, Issue 18, 2016, Pages 197-210]
  • Monetary policy Evaluation the Effects of Monetary and Fiscal Policy and Iindustry Growth on Changes of Tehran Security Exchange Index [Volume 6, Issue 22, 2017, Pages 49-64]
  • Monetary policy The Effects of Governmental Monetary Policy Changes on Investment in Islamic Countries [Volume 8, Issue 32, 2019, Pages 21-36]
  • Monetary Policy Efficiency The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Money Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 255-268]
  • Money Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 269-284]
  • Money Flow Index(MFI) Optimizing technical indicator rules [Volume 6, Issue 22, 2017, Pages 197-213]
  • Money laundering detection Credit Risk Modeling of Cryptocurrency Market Using Machine Learning: Application to Money Laundering Detection in Bitcoin Transactions [Volume 14, Issue 55, 2025, Pages 531-556]
  • Money Laundering Risk The role of organizational risk management in the money laundering risk of organizations [Volume 13, Issue 51, 2024, Pages 79-96]
  • Money Markey Styles of Financial Regulation in Iran & U.K [Volume 6, Issue 22, 2017, Pages 147-164]
  • Money Scripts financial literacy and Money Scripts in the context of financial therapy concepts [Volume 16, Issue 62, 2027, Pages 105-123]
  • Monte Carlo simulation Investment Project Valuation Using Real Option Approach(The Case of a 500 MV Power Generation Plant) [Volume 5, Issue 17, 2016, Pages 207-225]
  • Monte Carlo simulation The Evaluation of Venture Capital as an Installment Option and Real Options [Volume 6, Issue 21, 2017, Pages 175-196]
  • Monte Carlo simulation Installment Option Valuation by Least Squares with Checking the Solution Convergence [Volume 8, Issue 32, 2019, Pages 87-108]
  • Monte Carlo simulation Portfolio VaR Modelling using EVT-Pair-Copulas Approach [Volume 13, Issue 49, 2024, Pages 51-76]
  • Monte Carlo simulation Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Monte Corlo Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Mosaic theory Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [Volume 12, Issue 46, 2023, Pages 787-814]
  • Most shareholder endurance The impact of supporting minority shareholders and the majority stakeholder's patience on the relationship between managing information impact and corporate performance [Volume 10, Issue 39, 2021, Pages 227-247]
  • Moving average Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 67-86]
  • Moving Average – Tehran Stock Exchange An Optimization of Moving Average Stock Price in Tehran Stock Exchange: Meta-heuristic approach Adaptive Improved Genetic Algorithm [Volume 7, Issue 25, 2018, Pages 127-148]
  • MSV Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [Volume 13, Issue 52, 2024, Pages 347-372]
  • Multi criteria decision making Fuzzy Multi Criteria Decision Making Model for Prioritizing the Investment Methods in Technology Transfer in Shipping Industries [Volume 1, پاییز 1391, 2012, Pages 179-198]
  • Multi-criteria decision making Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [Volume 8, Issue 31, 2019, Pages 339-354]
  • Multi-criteria decision making Designing a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
  • Multi-currency hedging Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Multi-group modeling Extracting the Customer's Behavioral Finance Model in Iran’s Development Banking using multi-group modeling technique (Case Study: Bank of Industry and Mine) [Volume 9, Issue 35, 2020, Pages 313-336]
  • MULTIMOORA_FG Evaluating stock liquidity with its quantitative and cryptic qualitative measures by means of MULTIMOORA fuzzy group decision making [Volume 5, Issue 17, 2016, Pages 1-19]
  • Multi nomial Logistic Analysis A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • Multinomial Logistic Regression (MLR) Model Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Multi objective optimization A Model for Core-Satellite Investment in Tehran Stock Exchange Using the Hybrid Approach of Exact and Heuristic Algorithms [Volume 4, پاییز 1394, 2015, Pages 53-70]
  • Multi- objective optimization Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [Volume 4, پاییز 1394, 2015, Pages 111-134]
  • Multi-order rule Extracting Stock Multi-order Rules via Employing a Network Structure and Backward Q-Learning [Volume 8, Issue 30, 2019, Pages 115-138]
  • Multi-period portfolio optimization "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Multiple Attribute Decision Making Developing a Decision Support System for Enterprise Risk Management in Tanavar Co. [Volume 4, پاییز 1394, 2015, Pages 205-230]
  • Multiple Attribute Decision Making (MADM) Ranking Tehran Stock Exchange brokerage based on criteria of settlement risk from settlement guarantee fund (SGF) in Central Security Depository of Iran (CSDI) [Volume 5, Issue 20, 2016, Pages 25-38]
  • MULTI SPECIFIC DECISIONS Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • Multivariate Cloud Overflow of parallel markets of Tehran Stock Exchange over the trading industries of the stock exchange. [Volume 11, Issue 44, 2022, Pages 453-474]
  • Multi variate GARCH Multivariate GARCH models". Journal of business and economic statistic Value at Risk and Spillover effect estimate using MGARCH [Volume 1, زمستان 1391, 2012, Pages 215-228]
  • Multivariate GARCH model Exchange Rate Optimal Hedge Ratio by Gold Futures in Iran [Volume 3, زمستان 1393, 2014, Pages 1-24]
  • Multivariate GARCH model Evaluation of multivariate GARCH models in estimating the Values at Risk (VaR) of currency, stock and gold markets [Volume 9, Issue 34, 2020, Pages 15-39]
  • Multivariate neural network Dividend Policy Prediction by Multivariable and Univariate Neural Network Models [Volume 7, Issue 26, 2018, Pages 169-184]
  • Mutual Fund Families Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
  • Mutual fund performance The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [Volume 12, Issue 46, 2023, Pages 395-418]
  • Mutual Funds Measuring Risk Excesses in Iran’s Mutual Funds industry [Volume 1, تابستان 1391, 2012, Pages 117-140]
  • Mutual Funds A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Mutual Funds Testing the application of inflows (outflows) of mutual funds in the assessment and prioritization of asset pricing models [Volume 9, Issue 35, 2020, Pages 239-254]
  • Mutual Funds Appraising the Relationship between Age and Total Assets of Mutual Funds and their Efficiency by Using Data Envelopment Analysis Approach (DEA) [Volume 9, Issue 36, 2020, Pages 335-352]
  • Mutual Funds Mutual Fund Liquidity Risk Management Tools [Volume 12, Issue 47, 2023, Pages 355-378]
  • Mutual Funds The impact of personality phases of managers of mutual funds on smart money by considering the moderating role of manager's financial intelligence [Volume 13, Issue 50, 2024, Pages 371-390]
  • Mutual Investment Funds Examining the Picking and Timing skills of managers of mutual investment funds in Iran: Panel Smooth Transition Regression (PSTR) [Volume 15, Issue 60, 2026, Pages 141-167]
  • MV Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [Volume 13, Issue 52, 2024, Pages 347-372]
N
  • Nadaraya–Watson nonparametric estimation Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [Volume 10, Issue 38, 2021, Pages 571-590]
  • NARDL Investigating the Asymmetric Relationship between Oil Price and the Covid-19 Pandemic with Trading Value on the Stock Exchange [Volume 12, Issue 47, 2023, Pages 191-216]
  • National economy Model of Resilience of Free Zones in Promotion of National Economy of Iran [Volume 13, Issue 49, 2024, Pages 189-200]
  • National Elections The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies in Tehran Stock Exchange [Volume 13, Issue 49, 2024, Pages 231-250]
  • National Iranian Gas Company Designing a market-oriented and relationship-oriented organizational culture model using the Delphi method to evaluate the performance of financial management in the National Iranian Gas Company. [Volume 13, Issue 52, 2024, Pages 147-187]
  • National Iranian South Oil Company Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Natural selection The Application of Ecology Theories in Finance [Volume 8, Issue 29, 2019, Pages 137-158]
  • Negative skewness of stock returns Explaining the effect of default risk on the risk of falling stock prices in Tehran Stock Exchange [Volume 12, Issue 47, 2023, Pages 505-520]
  • Nelson-Siegel model Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • Net Asset Value Relationship between Stock price & NAV [Volume 2, زمستان 1392, 2013, Pages 25-40]
  • Net Asset Value (NAV) The designing and presentation a model of the use of power resources in measuring the performance of mutual funds and the quality of financial reporting [Volume 12, Issue 46, 2023, Pages 395-418]
  • Net financial expense The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [Volume 6, Issue 22, 2017, Pages 165-178]
  • Net Present Value Estimation of Net Present Value (NPV) in industrial and mine projects using General Regression Neural Network [Volume 4, Issue 16, 2015, Pages 241-256]
  • Net Profit Ratio The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [Volume 10, Issue 40, 2021, Pages 283-303]
  • Net share value The Relationship between Net Share Value and Trade Value of Companies Listed On Tehran Stock Exchange in Securities Market Boom and Bust Cycles [Volume 6, Issue 24, 2017, Pages 39-54]
  • Net turnover capital Effect of type of finance on investment efficiency with an emphasis on company value [Volume 7, Issue 28, 2018, Pages 103-126]
  • Network analysis Network Analysis of Stock Prices Case Study: Listed Pharmaceutical Companies in the OTC and Stock Market of Iran [Volume 8, Issue 29, 2019, Pages 171-188]
  • Network Analysis Process Topological analysis of accounting risks based on network theory [Volume 13, Issue 49, 2024, Pages 375-396]
  • Network Analysis Process Prioritization of Effective Factors in Measuring the Quality of Earning According to Specific Market Conditions Using the Network Analysis Process (ANP) and Density-Based Spatial Clustering of Applications with Noise [Volume 14, Issue 54, 2025, Pages 571-590]
  • Network linkages Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [Volume 13, Issue 52, 2024, Pages 1-40]
  • Neural Network Credit risk management in the banking system - A comparative approach of Data Envelopment Analysis and Neural Network and Logistic Regression [Volume 1, تابستان 1391, 2012, Pages 35-62]
  • Neural Network A novel approach to fulfill active portfolio management and automatic stock trading based on feature selection algorithm [Volume 4, بهار 1394, 2015, Pages 107-126]
  • Neural Network Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 107-128]
  • Neural Network Designing a hybrid intelligent model for predicting the Financial Richness [Volume 9, Issue 34, 2020, Pages 211-229]
  • Neural Network Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [Volume 9, Issue 34, 2020, Pages 231-257]
  • Neuroeconomic Neuro finance, Perspective of Behavioral Finance [Volume 2, پاییز 1392, 2013, Pages 21-34]
  • Neurofinance Neuro finance, Perspective of Behavioral Finance [Volume 2, پاییز 1392, 2013, Pages 21-34]
  • Neurosience Neuro finance, Perspective of Behavioral Finance [Volume 2, پاییز 1392, 2013, Pages 21-34]
  • New Banking New Customer Oriented Banking: Approaches, Challenges and Patterns [Volume 12, Issue 46, 2023, Pages 583-612]
  • New Business Provide a Three-Dimensional Model of Investing and Developing New Conversion Industries Businesses Focusing on Strengthening E-Marketing (Case Study: Zanjan Province) [Volume 11, Issue 42, 2022, Pages 279-319]
  • New communication technologies Identify the relationship between indicators affecting the development of debt markets and a variety of new communication technologies Using scientometrics system (Case study: Ministry of Economic Affairs and Finance) [Volume 12, Issue 48, 2023, Pages 99-140]
  • New Product Creation Investigating the relationship between market orientation in order to create and develop new products on the company's financial performance (focusing on Iran Dairy Company (Pegah)) [Volume 12, Issue 48, 2023, Pages 697-720]
  • New Product Development (NPD) Identifying and investigating the factors affecting investment in new product development in the area of supervisory financial technologies (Case study of Tejarat Bank) [Volume 11, Issue 41, 2022, Pages 163-194]
  • News Marketing Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • No Arbitrage bounds The Evaluation of Venture Capital as an Installment Option and Real Options [Volume 6, Issue 21, 2017, Pages 175-196]
  • Noise Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
  • Non-Dominated Sorting improved multi-objective Genetic Algorithm II (NSGA-II) Selection of optimal portfolio by using improved Non-Dominated Sorting Genetic Algorithm and Evolutionary Algorithm Strength Pareto By taking risk on the basis of conditional value at risk [Volume 7, Issue 28, 2018, Pages 69-82]
  • Non Executive Directors The Relationship between Tax Evasion and Future Stock Price Crash Risk: Evidence from Companies Listed in Tehran Stock Exchange (TSE) [Volume 5, Issue 17, 2016, Pages 127-146]
  • Non-financial risk Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry) [Volume 13, Issue 50, 2024, Pages 73-93]
  • Non-life insurance Impact of Climate Change Risk and Insurance Industry [Volume 12, Issue 46, 2023, Pages 559-582]
  • Nonlinear Autoregressive Distributed Lag (NARDL), Exchange Rate Flexibility Investigating the Asymmetric Effects of Exchange Rate Flexibility on the Stock Price Index in Iran [Volume 16, Issue 61, 2027, Pages 267-292]
  • Nonlinear marginal cost Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [Volume 10, Issue 37, 2021, Pages 23-36]
  • Nonlinear Programming Stock portfolio optimization using reliability approach [Volume 9, Issue 36, 2020, Pages 435-450]
  • Nonparametric method Nonparametric model test by using adaptive group LASSO method to identify the effective features in predicting the expected returns of stock portfolios [Volume 11, Issue 44, 2022, Pages 315-334]
  • Non-radial Model Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [Volume 10, Issue 37, 2021, Pages 23-36]
  • No-trade region An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 17-30]
  • NSGAII, PSO, Portfolio Optimization, Machine Learning Combining Metaheuristic Algorithms and Machine Learning for Investment Portfolio Management Based on Medium-Term Forecasting of Stock Market Index Data [Volume 16, Issue 64, 2027, Pages 221-254]
  • Nuclear Talks Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [Volume 6, Issue 24, 2017, Pages 1-20]
  • Numerical differentiation Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [Volume 10, Issue 38, 2021, Pages 571-590]
O
  • Objective stability of components of profit Investigating the subjective and objective persistence of earnings components and Investors' Pricing in Pharmaceutical Companies Suspected of Fraud [Volume 11, Issue 43, 2022, Pages 171-198]
  • Object-Oriented Programming Agent-based modeling in financial markets [Volume 3, زمستان 1393, 2014, Pages 139-158]
  • Oil Explain the lived experience of investors from the effects of oil, dollar and gold prices on the capital market and their behavioral biases [Volume 12, Issue 45, 2023, Pages 297-319]
  • Oil and Gas The process of Technology Selection in the Upstream Oil and Gas Industry of Iran in terms of Spillover Effect from the perspective of Economic Profit [Volume 13, Issue 49, 2024, Pages 299-324]
  • Oil and Gas Industry Investigating production sharing agreement as a way to attract investment in Iran's oil industry [Volume 11, Issue 42, 2022, Pages 507-521]
  • Oil Revenues Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [Volume 8, Issue 32, 2019, Pages 291-314]
  • Oil Sanctions Presenting a model of how sanctions affect the investment chain until the exploitation of Iran's oil industry using the Grounded Theory [Volume 12, Issue 46, 2023, Pages 445-464]
  • Omega Ratio Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [Volume 5, Issue 19, 2016, Pages 171-190]
  • Oncology Identifying the factors affecting financial toxicity and designing a financial toxicity paradigm pattern based on grounded theory [Volume 12, Issue 46, 2023, Pages 139-158]
  • Online advertising Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • OPA Explaining the Role of Core Competency on Stock Price Synchronicity [Volume 14, Issue 55, 2025, Pages 373-401]
  • OPEC Crude Oil Market Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [Volume 9, Issue 33, 2020, Pages 109-127]
  • OPEC Oil Prices Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [Volume 11, Issue 41, 2022, Pages 195-218]
  • OPEC Organization and the OECD Feasibility study of the pricing of crude oil by OPEC and OECD countries using game theory in the form of a win– win [Volume 3, تابستان 1393, 2014, Pages 123-150]
  • Open Interests The effect of maturity date, trade volume and open interests on gold coin future price volatility [Volume 3, بهار 1393, 2014, Pages 169-186]
  • Operating income The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [Volume 6, Issue 22, 2017, Pages 165-178]
  • Operating profit The relationship between financing variables, the ratio of R & D to operating profit and corporate financial crisis [Volume 8, Issue 32, 2019, Pages 195-216]
  • Operating Profitibility Test of Five factors Model; Evidence from Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 221-236]
  • Operational budgeting The application of interpretive structural modeling in designing a model for operational budgeting: A case of Ghadir Investment Company [Volume 7, Issue 27, 2018, Pages 299-320]
  • Operational risk management Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks [Volume 8, Issue 32, 2019, Pages 171-194]
  • Operational Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • Operational risk management obstacles Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks [Volume 8, Issue 32, 2019, Pages 171-194]
  • Operational risks Identification, describing & prioritization of operational risk management execution obstacles in Iranian banks [Volume 8, Issue 32, 2019, Pages 171-194]
  • Operational risks Predicting Network linkages of banking system distress based on operational risks and behavioral finance components [Volume 13, Issue 52, 2024, Pages 1-40]
  • Operational risks Development of A Comprehensive Multi-Criteria Decision-Making Model in Managing the Operational Risks of Banking System [Volume 13, Issue 52, 2024, Pages 911-938]
  • Optimal Allocation of Financial Resources Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Optimal Capital Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Optimal Decision Providing a comprehensive model of decision making based on the attitudes and behavior of investors using structural equation modeling [Volume 10, Issue 40, 2021, Pages 305-330]
  • Optimal Investment Identify of factors affecting the integration of telecommunications technological infrastructure for optimal investment [Volume 12, Issue 47, 2023, Pages 155-176]
  • Optimal Model Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • Optimization An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 17-30]
  • Optimization Fuzzy Portfolio Optimization using Meta-heuristic Unconscious Search Algorithm [Volume 8, Issue 32, 2019, Pages 251-270]
  • Optimization Portfolio Optimization Using Hierarchical and Denotation Clustering in Tehran Stock Exchange. [Volume 9, Issue 34, 2020, Pages 333-354]
  • Optimization Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Optimization Dynamic Optimization of Investment Portfolio under Liquidity with Benchmark Process [Volume 12, Issue 46, 2023, Pages 43-69]
  • Optimization Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [Volume 13, Issue 50, 2024, Pages 39-72]
  • Optimization Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Optimization Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Optimization methods Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Optimization of Financing Chain Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [Volume 13, Issue 51, 2024, Pages 665-688]
  • Optimize Portfolio Selection Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 259-275]
  • Optimizing rule Optimizing technical indicator rules [Volume 6, Issue 22, 2017, Pages 197-213]
  • Optimum Hedge Ratio Feasibility of Currency hedging for exporter and importer companies by Using the Iran Mercantile Exchange Coin futures contract [Volume 6, Issue 23, 2017, Pages 85-104]
  • Optimum Portfolio A Pattern for Portfolio Optimization in A Speculative Bubble Condition According to Mental Accounting [Volume 8, Issue 30, 2019, Pages 191-210]
  • Optimum Portfolio Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [Volume 8, Issue 31, 2019, Pages 249-264]
  • Option Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Optional disclosure of asset sales The Impact of Optional Disclosure of Asset Sales on the Financial Performance [Volume 13, Issue 50, 2024, Pages 521-544]
  • Options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
  • Options Pricing Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [Volume 12, Issue 48, 2023, Pages 585-606]
  • Ordinary Least Squares Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Organic Behavior Theory Investigating Life Cycle Patterns on Financial Behavior with Organic Approach Theory Approach [Volume 14, Issue 54, 2025, Pages 1-18]
  • Organizational Culture. partial least squares approach Modeling the dimensions of organizational culture on corporate tax morale [Volume 12, Issue 46, 2023, Pages 159-182]
  • Organizational entrepreneurship Scientometrics studies the impact of business model innovation on financial performance [Volume 11, Issue 41, 2022, Pages 49-73]
  • Organizational narcissism of managers Investigation of the relationship between the organizational narcissism of managers with financial crises within the framework of the narcissism approach [Volume 10, Issue 38, 2021, Pages 1-23]
  • Organizational Performance The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Organizational risk management The role of organizational risk management in the money laundering risk of organizations [Volume 13, Issue 51, 2024, Pages 79-96]
  • Organization Capital The Impact of intellectual capital on Economic Value Added in Growth and Value companies [Volume 2, زمستان 1392, 2013, Pages 1-24]
  • OTC of Iran The comparative study of earning management and liquidity of stocks between the listed firms of Tehran stock exchange and OTC of Iran [Volume 7, Issue 27, 2018, Pages 1-20]
  • Overeaction¸ Representativeness heuristics ¸Winner and loser portfolio ¸ Market Value¸ Prior return Initial public offering (IPO) price Short-term Overreaction: The Effect of price and other factors in Tehran Stock Exchange [Volume 3, پاییز 1393, 2014, Pages 47-64]
  • Over Investment Assessment the Impact of Inefficient Investment Decisions on the Relationship between Conservatism and New Investment [Volume 9, Issue 36, 2020, Pages 61-82]
  • Overreaction Price Limit Effects on Stock Prices Behavior: A Contrarian Investment Strategy Approach [Volume 1, زمستان 1391, 2012, Pages 61-86]
  • Overreaction Capital market anomalies and Portfolio – selection Strategies in the Tehran stock market [Volume 2, تابستان 1392, 2013, Pages 15-28]
  • Overreaction Examination of investor reaction to unexpected economic and political events in Tehran stock market [Volume 2, پاییز 1392, 2013, Pages 55-72]
  • Overreaction Investor sentiment under representativeness heuristic: The case of Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 53-66]
  • Overreaction Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [Volume 9, Issue 33, 2020, Pages 79-92]
  • Overreaction Investigating the effect of underreaction and overreaction on Iran's capital market risk [Volume 13, Issue 52, 2024, Pages 711-726]
  • Overr reaction Speed of Adjustment Scurities Prices, A Method for Evaluating of Investors Overreaction & Underreaction and Financial Markets Efficiently: Approches, Models and Results [Volume 4, تابستان 1394, 2015, Pages 95-124]
  • Oversight Framework Review the monitoring of modern financial technology and digital currency [Volume 9, Issue 35, 2020, Pages 153-168]
  • Over Threshold Method Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Over& Under reaction Analysis of Behavioral Reactions in Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 223-240]
  • Ownership concentration The Relationship of Earnings Management and Investment Opportunities with Emphasizing on Ownership Concentration [Volume 1, پاییز 1391, 2012, Pages 161-178]
  • Ownership concentration Study of the relationship between governmental and institutional ownership with corporate social responsibility (Companies listed on the Tehran Stock Exchange) [Volume 5, Issue 17, 2016, Pages 55-74]
  • Ownership concentration Investigating specific cases on the balance sheet approach of financing from the point of view of agency theory [Volume 8, Issue 29, 2019, Pages 297-314]
  • Ownership decisions Explaining the role of ownership decisions on the influence of industrial factors on stock prices [Volume 16, Issue 61, 2027, Pages 45-61]
  • Ownership Dispersion Developing a model of abnormal audit report lag: origins and consequences [Volume 13, Issue 52, 2024, Pages 395-420]
  • Ownership of goverment Role of Government in Financial Reporting Quality: (Test of Efficient Monitoring Hypothesis) [Volume 14, Issue 54, 2025, Pages 161-190]
  • Ownership of investment companies The Influence of Ownership of Investment Company on Financial Reporting Quality: A Test of Efficient Monitoring Hypothesis [Volume 12, Issue 46, 2023, Pages 107-137]
  • Ownership Structure Investigation of ownership structure effect on risk at manufacturing company in exchange [Volume 2, تابستان 1392, 2013, Pages 45-62]
  • Ownership Structure An Analysis of Capital Structure and Ownership structure Resulted from Fraudulent Behaviors: The Role of Moderating Factors [Volume 13, Issue 52, 2024, Pages 811-834]
  • Ownership Structure CEO power and stock price crash risk: The moderator role Of ownership structure [Volume 12, Issue 46, 2023, Pages 817-832]
  • Ownership Structure Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
P
  • Pagan and Sossounov Methods Comparison of Predicted Tehran Stock Exchange Cycles using ANFIS, MLP, RBF and PNN Networks based on PSO Algorithm [Volume 10, Issue 37, 2021, Pages 215-239]
  • Pairs trading strategy Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Pair trading Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [Volume 10, Issue 40, 2021, Pages 471-484]
  • Panel data The day of the week effect on the stock market return in the stock exchange of Tehran [Volume 1, بهار 1391, 2012, Pages 1-12]
  • Panel data Investigation of Economic Effects of Energy Carriers Price Increases on the Composition of Consumption Expenditures of Urban Households [Volume 3, زمستان 1393, 2014, Pages 233-252]
  • Panel data The Relationship between Tax Evasion and Future Stock Price Crash Risk: Evidence from Companies Listed in Tehran Stock Exchange (TSE) [Volume 5, Issue 17, 2016, Pages 127-146]
  • Panel data Investigation of Relationship between Corporate Governance and Cash Flow with Firms’ Investment Efficiency [Volume 6, Issue 24, 2017, Pages 187-202]
  • Panel data Designing Investment conditions uncertainty index [Volume 11, Issue 41, 2022, Pages 119-144]
  • Panel data Investigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
  • Panel data Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
  • Panel data The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Panel data Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [Volume 13, Issue 51, 2024, Pages 361-384]
  • Panel data Measuring the relationship between investors' sentiment index and research and development costs with the company's financial performance [Volume 14, Issue 54, 2025, Pages 229-248]
  • Panel data The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
  • Panel Data Method The relationships between market beta with macroeconomic variables and accounting information [Volume 3, تابستان 1393, 2014, Pages 47-66]
  • Panel Integration Approach Assessing the effects of the financial sector on entrepreneurship level in Iran and selected Islamic countries: A panel co-integration approach with cross-sectional dependence [Volume 13, Issue 52, 2024, Pages 245-266]
  • Panel Smooth Transition Regression (PSTR) The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • PAPRIKA Technique The Position of Balanced Scorecard in Stock Selection Decision Making Using PAPRIKA Technique [Volume 9, Issue 34, 2020, Pages 295-315]
  • Paradigmatic Content Analysis Content Paradigmatic Analysis of Financial Performance Deficiencies: A Case of Abadan Oil Refining Company (Qualitative and quantitative approach) [Volume 9, Issue 34, 2020, Pages 389-416]
  • Paradigmatic model Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • Pareto principle Designing a model for measuring the critical risk of human resources in the capital market based on fuzzy FMEA method and Pareto principle [Volume 11, Issue 44, 2022, Pages 23-50]
  • Parsian bank Presentation of Parsian Bank Brand Promotion Model Base on Grounded Theory with a Value Creation Approach [Volume 9, Issue 35, 2020, Pages 357-381]
  • Particle Swarm Algorithm usefulness of meta-heuristic algorithms on optimizing of the integrated risk in banking system [Volume 13, Issue 50, 2024, Pages 159-186]
  • Particle Swarm Algorithm Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [Volume 13, Issue 52, 2024, Pages 219-243]
  • Particle swarm optimization Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [Volume 13, Issue 51, 2024, Pages 23-54]
  • Particle Swarm Optimization Algorithm Earnings Per Share Forecast: the Combination of Artificial Neural Networks and Particle Swarm Optimization Algorithm [Volume 2, تابستان 1392, 2013, Pages 63-82]
  • Pastor and Stambaugh market liquidity risk factor Fama and French Three-factor Model and Liquidity Risk: Evidence from Tehran Stock Exchange Market [Volume 1, تابستان 1391, 2012, Pages 97-116]
  • Pattern design Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Pay Yar Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Peak Over Threshold (POT) approach Application of Extreme Value Theory in Value at Risk forecasting [Volume 3, زمستان 1393, 2014, Pages 159-180]
  • PEG Effect Predicting of Equity Premium: Empirical Evidence from PEG Models [Volume 6, Issue 23, 2017, Pages 129-152]
  • PEG Model Predicting of Equity Premium: Empirical Evidence from PEG Models [Volume 6, Issue 23, 2017, Pages 129-152]
  • Pension Plans Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [Volume 3, تابستان 1393, 2014, Pages 1-24]
  • P/E ratio The Effect of trading volume and high P/E ratio on the price bubble in Tehran stock exchange market [Volume 2, زمستان 1392, 2013, Pages 71-88]
  • P/E ratio Modeling the estimation of the price bubble probability in the capital market :Evidence from Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 371-387]
  • Per Capita Income Investigating the Effect of Liquidity and Per capita Income on the Housing Market (Using a vector auto regression model) [Volume 10, Issue 40, 2021, Pages 149-169]
  • Perceived Benefits The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Perceived Environmental Uncertainties The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Perceived Investment Value Investigation of Financial Advisors Competencies Role in Perceived Investment Value InTehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 103-124]
  • Perceived Investors Investors Reaction to the Disclosure of CEO Compensation [Volume 9, Issue 33, 2020, Pages 209-226]
  • Perceived Risk The effect of the brand on investor behavior and perceived risk as Mediate [Volume 8, Issue 32, 2019, Pages 235-250]
  • Percentage of Board of Directors’share Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [Volume 2, پاییز 1392, 2013, Pages 167-192]
  • Perceptual Errors Studying the Effects of the Locus of Control on the Perceptual Errors in the Decision Making of the Investors in the Tehran Stock Exchange [Volume 1, پاییز 1391, 2012, Pages 105-124]
  • Perceptual Errors Investigating the Relationship between Political Rumors and Perceptual Error of Tehran Stock Exchange Investors by Considering the Intermediary Variable of Biographical Characteristics of Investors by Structural Equation Modeling [Volume 9, Issue 33, 2020, Pages 1-36]
  • Performance Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Performance The moderating effect of environmental uncertainty and the existence of business ties on the relationship between social capital and performance in Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 645-663]
  • Performance Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [Volume 12, Issue 48, 2023, Pages 415-446]
  • Performance Criteria Analyzing the Relationship between Risk and Performance Criteria with Emphasis on the Role of Risk Management Effectiveness in Companies Listed on Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 397-414]
  • Performance Criteria The Impact of Performance Criteria on Brand Value In the automotive industry [Volume 12, Issue 47, 2023, Pages 541-562]
  • Performance evaluation Identifying the relative efficiency of banks, using the data envelopment analysis and fuzzy multi-attribute decision-making approach (Case Study: The Bank accepted in the Tehran Stock Exchange) [Volume 2, پاییز 1392, 2013, Pages 85-104]
  • Performance evaluation Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [Volume 5, Issue 19, 2016, Pages 171-190]
  • Performance evaluation Impact of portfolio diversification on the performance of holding companies based on modern and modernized theories of portfolios [Volume 9, Issue 36, 2020, Pages 211-231]
  • Performance evaluation Evaluation of financial efficiency with non-radial model and fuzzy data and inputs and outputs with nonlinear marginal margin with data envelopment analysis technique [Volume 10, Issue 37, 2021, Pages 23-36]
  • Performance evaluation Providing a model for evaluating the performance and position of banks based on the innovation of financial technology services [Volume 12, Issue 47, 2023, Pages 521-540]
  • Performance evaluation Evaluating the performance of private sector banks in Iran based on financial ability indicators using the fuzzy multi-criteria decision making method [Volume 13, Issue 52, 2024, Pages 507-525]
  • Performance evaluation Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • Performance measurement model Portfolio optimization with a degree of stock risk adjustment based on performance measurement model [Volume 15, Issue 58, 2026, Pages 23-42]
  • Performance Prediction Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • Perpetual Sukuk Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Personal account plan Investigating investment policy effect on objective achievement in personal account plan [Volume 9, Issue 35, 2020, Pages 169-187]
  • Personal Banking Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [Volume 9, Issue 33, 2020, Pages 93-107]
  • Personal financial needs An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [Volume 4, بهار 1394, 2015, Pages 127-150]
  • Personality Traits Evaluate Capital market analyst’s personality traits as a third dimension to their success [Volume 6, Issue 22, 2017, Pages 87-100]
  • PESTLE Framework Presentation a technology commercialization model in ICT Knowledge base companies [Volume 7, Issue 26, 2018, Pages 63-82]
  • Petrochemical and Chemical Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Pharmaceutical Companies Factors affecting liquidity management in pharmaceutical companies: Bayesian averaging approach [Volume 12, Issue 45, 2023, Pages 73-93]
  • Pharmaceutical industry Evaluation and ranking of factors affecting the profitability of pharmaceutical companies listed on the Tehran Stock Exchange using a hybrid model of fuzzy hierarchical analysis process [Volume 10, Issue 38, 2021, Pages 487-498]
  • Pharmaceutical industry Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry) [Volume 13, Issue 50, 2024, Pages 73-93]
  • Pharmaceutical industry Credit rating modeling of pharmaceutical companies in Iran [Volume 13, Issue 52, 2024, Pages 469-505]
  • PIC Financial Marketing [Volume 2, تابستان 1392, 2013, Pages 1-14]
  • Pivot Price Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [Volume 9, Issue 36, 2020, Pages 99-119]
  • Policy Network Validating the network policy making model in the field of digital banking in Iran [Volume 13, Issue 50, 2024, Pages 413-430]
  • Political communication Investigating the Impact of Political Communication on the Relationship between Investment Performance and Cost of Capital [Volume 13, Issue 52, 2024, Pages 41-62]
  • Political communication Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Political Connection Modeling and Identifying Hierarchy of the Effective Measures of Negative Criteria Skewness on Stock Returns and the Extra Sigma of Stock Price Crash Risk in the Tehran Stock Exchange with Panel Data Approach [Volume 9, Issue 34, 2020, Pages 417-438]
  • Political Connection Modeling and Identifying Hierarchy of the Effective Measures of DUVOL Criteria and the period of falling stock prices in Tehran Stock Exchange with Panel Data Approach [Volume 10, Issue 38, 2021, Pages 105-134]
  • Political connections The Impact of Political Connections on Stock Price Crash Risk with an Emphasize on Product Market Competition in Tehran Stock Exchange listed companies [Volume 8, Issue 29, 2019, Pages 275-296]
  • Political factors Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Political management Investigating the Relation between Political Management and Managerial efficiency on Tax aggressiveness reporting in Iran capital market [Volume 13, Issue 49, 2024, Pages 353-374]
  • Political marketing Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
  • Political Risk Comparing Analysis the Effect of Political Riske on Stock Market Developing in Selected Countries [Volume 4, پاییز 1394, 2015, Pages 135-156]
  • Political Risk Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL [Volume 11, Issue 41, 2022, Pages 303-332]
  • Political Risk Provide a model for measuring the effects of banking risks on the stability of the banking system [Volume 11, Issue 41, 2022, Pages 471-494]
  • Political Risk Comparative study of corporate investment, financing decisions and political risk: Evidence from Tehran Stock Exchange [Volume 13, Issue 49, 2024, Pages 397-420]
  • Political Uncertainty The effectiveness test of customer concentration on cash holdings adjustment speed in listed companies in Tehran Stock Exchange [Volume 13, Issue 49, 2024, Pages 231-250]
  • Popular Behavior Assessment of the importance of influencing factors on popular behavior in mutual investment funds and the relationships between them based on interpretive structural modeling [Volume 16, Issue 62, 2027, Pages 171-191]
  • Portfolio Efficiency Portfolio Performance Assessment Based on a Mixed (Economic-Accounting) Approach and Data Envelopment Analysis (DEA) [Volume 9, Issue 36, 2020, Pages 197-210]
  • Portfolio Management Efficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
  • Portfolio performance Comparative between Portfolio based on New & Past Grid Models [Volume 2, پاییز 1392, 2013, Pages 193-212]
  • Portfolio performance An Investigation of methods to reduce transaction costs in Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 17-30]
  • Portfolio performance Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [Volume 11, Issue 41, 2022, Pages 219-248]
  • Portfolio Rebalancing Portfolio Rebalancing Model based on Fuzzy Decision Theory [Volume 2, زمستان 1392, 2013, Pages 255-270]
  • Portfolio Rebalancing The effect of investment horizon on optimum portfolio rebalancing frequency in portfolios of stocks listed on Tehran Stock Exchange with short-selling [Volume 7, Issue 28, 2018, Pages 175-196]
  • Portfolio risk Premium Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [Volume 4, تابستان 1394, 2015, Pages 61-82]
  • Portfolio Risk Spending Explaining the Role of Investors' Sentiment in Capital Asset Pricing [Volume 13, Issue 50, 2024, Pages 1-17]
  • Portfolio selection problem Solving portfolio selection problem using Dantzig-Wolfe algorithm [Volume 8, Issue 30, 2019, Pages 1-18]
  • Portofolio Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
  • Post Modern Portfolio Measures Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [Volume 5, Issue 19, 2016, Pages 171-190]
  • Postmodern Portfolio Theory The Application of Downside Risk and Arbitrage Pricing Model in Risk Assessment (Financial Marketing Approach to Iran's Petrochemical Industry) [Volume 11, Issue 41, 2022, Pages 495-509]
  • Postmodern Portfolio Theory Assessing the various risks of the Iranian petrochemical industry [Volume 12, Issue 47, 2023, Pages 335-354]
  • Post Modern Portfolio Theory Evolutionary multi-objective (3 or 4) optimization portfolio using fuzzy logic in Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 259-275]
  • POT Evaluating Extreme Dependence between Tehran security exchange and international Stock Markets Using multivariate Extreme Value Theory (MEVT) [Volume 7, Issue 27, 2018, Pages 241-256]
  • Predicated Risk Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [Volume 8, Issue 31, 2019, Pages 249-264]
  • Predicated Yield Discuss Optimal Portfolio Efficiency in terms of Kurtosis Model in Phase environment [Volume 8, Issue 31, 2019, Pages 249-264]
  • Predicting Profitability The Impact of Agency Costs on Predicting Profitability [Volume 7, Issue 25, 2018, Pages 285-295]
  • Prediction ARIMA and ARFIMA Prediction of Persian Gulf Gas-Oil F.O.B [Volume 2, پاییز 1392, 2013, Pages 213-230]
  • Prediction Predicting bankruptcy of companies listed on the Stock Exchange using the artificial neural network [Volume 7, Issue 26, 2018, Pages 277-296]
  • Prediction Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [Volume 9, Issue 34, 2020, Pages 231-257]
  • Prediction Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
  • Prediction Application of Genetic Algorithm, Particle Swarm and Artificial Neural Networks in Predicting Profit Manipulation [Volume 13, Issue 52, 2024, Pages 613-630]
  • Prediction of Stock Price – Optimal Length of Time Periods An Optimization of Moving Average Stock Price in Tehran Stock Exchange: Meta-heuristic approach Adaptive Improved Genetic Algorithm [Volume 7, Issue 25, 2018, Pages 127-148]
  • Premium risk Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 251-269]
  • Prevalent Quantitative & Cryptic Qualitative Measures Evaluating stock liquidity with its quantitative and cryptic qualitative measures by means of MULTIMOORA fuzzy group decision making [Volume 5, Issue 17, 2016, Pages 1-19]
  • Price Bubble Effect of natural and legal persons trading in the occurrence of price bubbles in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 151-166]
  • Price Bubble Modeling the estimation of the price bubble probability in the capital market :Evidence from Tehran Stock Exchange [Volume 9, Issue 34, 2020, Pages 371-387]
  • Price Bubble Prioritization of stock price bubble measuring factors with a behavioral approach [Volume 12, Issue 46, 2023, Pages 419-444]
  • Price Clustering Stock Price Clustering and Factors Affecting on It in Iran Capital Market [Volume 7, Issue 26, 2018, Pages 297-312]
  • Price Cojumps The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Price Direction Forecast Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 107-128]
  • Price fluctuations Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [Volume 9, Issue 34, 2020, Pages 41-54]
  • Price Forecast Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 107-128]
  • Price of insurance Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Price threshold Provide an innovative model of fluctuation of the daily trading volume of shares in Tehran Stock Exchange; Central Bank Financial and Monetary Policy [Volume 10, Issue 40, 2021, Pages 57-77]
  • Price to Earning Ratio Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 125-146]
  • Price-to-Income and Market-to-Book ratio Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Printing Technology Prioritizing of printing technology for Investment by Fuzzy TOPSIS [Volume 9, Issue 33, 2020, Pages 37-56]
  • Prioritization of Indicators Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [Volume 13, Issue 51, 2024, Pages 665-688]
  • Prior Period Adjustments Designing a Model for Fiscal Discipline of Companies Listed in the Tehran Stock Exchange Using Logistic Regression [Volume 12, Issue 45, 2023, Pages 27-51]
  • Private sector banks Evaluating the performance of private sector banks in Iran based on financial ability indicators using the fuzzy multi-criteria decision making method [Volume 13, Issue 52, 2024, Pages 507-525]
  • Privatization A New Approach to the Financial and Managerial Angles of Privatization Challenges in Iran Using Foundation Data Theory (Grounded Theory) [Volume 12, Issue 46, 2023, Pages 657-682]
  • Probability of Default Agent-oriented modeling for credit risk analysis [Volume 4, پاییز 1394, 2015, Pages 71-88]
  • Probability of Default Provide a model for assessing credit risk using structural models and debt combinations [Volume 14, Issue 53, 2025, Pages 201-236]
  • Product Competitive Market The effect of capital structure on firm efficiency and product competitive market of Listed Companies in Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 283-299]
  • Product Diversification Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • Product Diversification A comprehensive review of inter-relationship among capital structure, free cash flow, diversification and firms’ performance (Tehran Stock Exchange) [Volume 5, Issue 20, 2016, Pages 223-242]
  • Product Fluctuations Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [Volume 5, Issue 18, 2016, Pages 197-210]
  • Production Planning Production planning in parallel production systems such as banks: A DEA-based approach [Volume 2, بهار 1392, 2013, Pages 163-178]
  • Production sharing agreement Investigating production sharing agreement as a way to attract investment in Iran's oil industry [Volume 11, Issue 42, 2022, Pages 507-521]
  • Productivity Efficiency and Productivity in Tehran Stock Exchange based on Diversification Strategy [Volume 5, Issue 18, 2016, Pages 229-251]
  • Productivity Application of AHP and fuzzy logic in analysis of impact Physical and human investment in promoting of industrial productivity [Volume 9, Issue 36, 2020, Pages 17-35]
  • Productivity Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • Product knowledge Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA) [Volume 10, Issue 39, 2021, Pages 585-608]
  • Product Market Competition Identify the impact of free cash flows on the relationship between non-financial performance in product market and company's future capital expenditure [Volume 7, Issue 25, 2018, Pages 99-126]
  • Product Market Competition The Impact of Political Connections on Stock Price Crash Risk with an Emphasize on Product Market Competition in Tehran Stock Exchange listed companies [Volume 8, Issue 29, 2019, Pages 275-296]
  • Product market competitiveness The role of the competitive strength of the surplus product market on the persistence of abnormal stock returns after the first and last quarterly earnings announcement based on information asymmetry theory. [Volume 16, Issue 61, 2027, Pages 229-245]
  • Professional Doubt Investigating factors affecting auditors' behavioral bias with a combined method [Volume 13, Issue 52, 2024, Pages 653-686]
  • Professional ethics Presenting a conceptual model of influencing factors on the development of the professional ethics of auditors of the state tax affairs administration [Volume 16, Issue 61, 2027, Pages 63-82]
  • Professional ethics principles of auditor Investigating the role of principles of ethics and auditing professional behavior in applying creative accounting to investors [Volume 12, Issue 45, 2023, Pages 437-452]
  • Professionalism The relationship between decision-making Models and investors’ expectations of risk and return invest in financial tools: The Markuitz model Approach [Volume 4, Issue 16, 2015, Pages 173-190]
  • Profitability The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [Volume 5, Issue 20, 2016, Pages 145-164]
  • Profitability Evaluation and ranking of factors affecting the profitability of pharmaceutical companies listed on the Tehran Stock Exchange using a hybrid model of fuzzy hierarchical analysis process [Volume 10, Issue 38, 2021, Pages 487-498]
  • Profitability Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
  • Profitability Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [Volume 13, Issue 51, 2024, Pages 157-176]
  • Profitability Comprehensive study of the factors affecting the profitability of commercial banks [Volume 14, Issue 53, 2025, Pages 641-661]
  • Profitability Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Profitability Providing a model to increase the profitability of small and medium businesses based on digital transformation [Volume 15, Issue 60, 2026, Pages 197-248]
  • Profitability Factor Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [Volume 4, تابستان 1394, 2015, Pages 61-82]
  • Profitability growth in Capital Bank Explain the Effects of Loan Losses and Deposit Costs on the Growth of Bank Profitability [Volume 12, Issue 48, 2023, Pages 311-328]
  • Profitability of cryptocurrencies The effect of cryptocurrency profitability on the amount of deposits attracted and loans paid by banks using the DID approach [Volume 14, Issue 53, 2025, Pages 529-549]
  • Profit Management Investigation Institutional Investors Effect on Company Value Based on Managers Opportunities Behavior [Volume 1, تابستان 1391, 2012, Pages 81-96]
  • Profit volatilities Investigating the effects of investors' sentiments on stocks valuation [Volume 10, Issue 39, 2021, Pages 283-303]
  • Prolongation of proceedings Designing a Risk of tax arrears model with a tax litigation approach [Volume 11, Issue 44, 2022, Pages 335-361]
  • PROMETEE Analyzing and prioritizing rural people tendency to costing the subsidies in rural construction and developing project [Volume 5, Issue 19, 2016, Pages 145-170]
  • Promethee Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [Volume 8, Issue 31, 2019, Pages 339-354]
  • Promethee Comparing the superiority of Glomar stock using multi-criteria decision-making models, Taxonomy and PROMETHEE [Volume 10, Issue 38, 2021, Pages 45-60]
  • Promotion Model of Resilience of Free Zones in Promotion of National Economy of Iran [Volume 13, Issue 49, 2024, Pages 189-200]
  • Promotion of Technological Innovation Presenting an industrial agglomeration model to promote technological innovation in Iranian industries (with an investment approach) and the need to use it [Volume 10, Issue 40, 2021, Pages 511-547]
  • Property investor Influence of Behavioral finance factors on the decisions of individual investors [Volume 6, Issue 24, 2017, Pages 275-292]
  • Prospect Ratio Comparing Efficiency of Performance Evaluation Measures Based on Post Modern Portfolio Theory in Ranking Portfolio formed by Grid Strategy Model [Volume 5, Issue 19, 2016, Pages 171-190]
  • Prospect theory Forecasting Investors Trading Behavior: Evidence from Prospect Theory [Volume 4, پاییز 1394, 2015, Pages 19-32]
  • Prospect theory The effect of prior performance of investors on stock price based on Prospect theory [Volume 6, Issue 23, 2017, Pages 39-54]
  • Prospect theory The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 285-307]
  • Prospect theory Assessing the Impact of Managers' Agency Motivation on Investment Portfolio Selection in the Framework of prospect Theory [Volume 13, Issue 49, 2024, Pages 153-170]
  • Prospect theory A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • Prosperity and Recession Financial stress and economic dynamic in iran (An Application of the Markov Switch Model and neural networks) [Volume 11, Issue 43, 2022, Pages 83-106]
  • PSO Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • PSO Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
  • PSTR Threshold effect in the relationship between investor sentiment and stock market returns: a PSTR specification [Volume 12, Issue 47, 2023, Pages 135-154]
  • Psycho-behavioral factors Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Psychological and behavioral variables Examining the role of psychological, behavioral, technical and political variables on the decision making of shareholders in the stock market [(Articles in Press)]
  • Psychological characteristics Providing a prediction model for investment decision based on the individual characteristics of investors [Volume 15, Issue 57, 2026, Pages 275-305]
  • Psychological empowerment Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [Volume 12, Issue 48, 2023, Pages 193-216]
  • Psychological entropy Psychological entropy theory in behavioral finance [Volume 3, پاییز 1393, 2014, Pages 239-258]
  • Psychology Identifying the factors affecting financial toxicity and designing a financial toxicity paradigm pattern based on grounded theory [Volume 12, Issue 46, 2023, Pages 139-158]
  • Public Debt Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Public Policy-making Validating the network policy making model in the field of digital banking in Iran [Volume 13, Issue 50, 2024, Pages 413-430]
  • Public private partnership Investigating the key success factors of BOT method in financing service projects and presenting an operational model [Volume 12, Issue 47, 2023, Pages 317-334]
  • Public-private partnership Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [Volume 7, Issue 27, 2018, Pages 125-140]
  • Pulic Model Ranking the stock Superior enterprises from intellectual capital position and it Comparison with the ranking based stock indexes [Volume 4, تابستان 1394, 2015, Pages 29-46]
  • Purchase Intention Modeling of purchase intention for stock market individual investors [Volume 14, Issue 55, 2025, Pages 347-371]
  • Pygmalion Theory Test Information Content of Financial Reporting and the development of interactive capability with stakeholders: Pygmalion Theory Test [Volume 11, Issue 44, 2022, Pages 75-102]
Q
  • Q Analysis Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
  • Q Tobin The impact of ownership concentration and dividend policy on the financial performance and capital structure of banks [Volume 10, Issue 40, 2021, Pages 283-303]
  • Q_TOBIN Examining the Impact of Corporate Social Responsibility on Investment - Cash Flow Sensitivity [Volume 6, Issue 21, 2017, Pages 41-58]
  • Q_TOBIN The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 232-249]
  • Qualitative approach Identification of effective components in the formation of financial literacy of corporate executives using the phenomenological approach. [Volume 10, Issue 37, 2021, Pages 255-272]
  • Qualitative Disclosure Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • Qualitative Method Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [Volume 11, Issue 42, 2022, Pages 523-541]
  • Qualitative Method ارایه مدل مناسب برای تاب‌آوری مالی کسب‌وکار کارآفرینانه با رویکرد مدیریت ریسک [Volume 12, Issue 47, 2023, Pages 457-480]
  • Qualitative Method Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
  • Qualitative Model of Behavioral Finance The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Qualitative study Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
  • Quality Factor Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Quality of management performance Quality of Management Performance, Information Confidence and market Confidence [Volume 13, Issue 50, 2024, Pages 309-331]
  • Quantile regression Investigating the Simultaneous Relationship between Credit and Liquidity Risks and Their Impacts on Financial Stability of Banks; A Quintile Regression Approach [Volume 7, Issue 25, 2018, Pages 299-316]
  • Quantile regression Investigating the Impact of Financial Freedom and Investment on Tax Evasion: A Quantile Regression Approach [Volume 12, Issue 47, 2023, Pages 583-604]
  • Quantile regression Investigating the Effect of Investors' Behavioral Tendencies on Stock Market Liquidity: (Quantile Regression Approach) [Volume 13, Issue 50, 2024, Pages 111-133]
  • Quarterly_Error predicted profit on the possibility of revision in profit prediction [Volume 8, Issue 31, 2019, Pages 49-70]
R
  • Ramadan effect Research in Effect of Lunar Calendar Events on Stock Returns and Daily Trading Volume in Tehran Stock Exchange [Volume 2, تابستان 1392, 2013, Pages 195-212]
  • Random Forest Algorithm Optimal short-term prediction of initial supply yields using bat and random forest algorithms [Volume 12, Issue 45, 2023, Pages 133-158]
  • Random Forest Stock Migration Predicting the factors affecting on the transfer (Migration) of value Firms with financial health in the Tehran Stock Exchange by using the nonlinear algorithm of random forest [Volume 12, Issue 46, 2023, Pages 183-201]
  • Random process Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [Volume 10, Issue 39, 2021, Pages 515-539]
  • Random time Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Random Walk The Study of Mean reversion in Tehran Stock Exchange with unit root test [Volume 1, زمستان 1391, 2012, Pages 87-104]
  • Random Walk Empirically examining of the effect of week days on future contracts market of Bahar Azadi Coin in Tehran Merchandise Exchange [Volume 2, تابستان 1392, 2013, Pages 29-44]
  • Random Walk Empirical analysis of fractal dimensions on cash return and price indices of listed companies of Tehran Stock Exchange [Volume 5, Issue 18, 2016, Pages 79-93]
  • Ranking Ranking P/E Predictor Factors In Tehran Stock Exchange With Using The Harmony Search Meta Heuristic Algorithm [Volume 8, Issue 29, 2019, Pages 67-82]
  • Ranking Stock Portfolio Selection Using Dempster-Shafer Evidence Theory [Volume 8, Issue 32, 2019, Pages 109-128]
  • Rate of return Forecasting Tehran’s bourse price index using return-based fuzzy time series [Volume 1, زمستان 1391, 2012, Pages 175-194]
  • Rate of return Emotional intelligence effect on the quality of decision making by investors in the stock exchange [Volume 5, Issue 17, 2016, Pages 99-112]
  • Rate of Return on Assets Factors Influencing the Performance of Acquisition Companies [Volume 12, Issue 45, 2023, Pages 115-131]
  • Rate of Return on Equity Factors Influencing the Performance of Acquisition Companies [Volume 12, Issue 45, 2023, Pages 115-131]
  • Rate of Return on Investment Creating the balance between sources and uses of pension plans by Using the Actuarial knowledge [Volume 3, تابستان 1393, 2014, Pages 1-24]
  • Rate of Return Stock Test the effectiveness of internal and external methods of financing on the real total returns of stock [Volume 7, Issue 26, 2018, Pages 185-198]
  • Ratings Ranking Tehran Stock Exchange brokerage based on criteria of settlement risk from settlement guarantee fund (SGF) in Central Security Depository of Iran (CSDI) [Volume 5, Issue 20, 2016, Pages 25-38]
  • R&D Identifying And Investigating Key Factors Affecting Financial Management Capability of R&D In High-Tech Aerospace Industries [Volume 10, Issue 40, 2021, Pages 171-203]
  • R&D Identifying and investigating the factors affecting investment in new product development in the area of supervisory financial technologies (Case study of Tejarat Bank) [Volume 11, Issue 41, 2022, Pages 163-194]
  • R&D in Industries Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • R&D Return Rate Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • Real Earning Management The comparative study of earning management and liquidity of stocks between the listed firms of Tehran stock exchange and OTC of Iran [Volume 7, Issue 27, 2018, Pages 1-20]
  • Real Earning Management The Impact of Real Earning Management on Investors' Asymmetric Perceptions in the Capital Market: Examination of the moderating role of Excess Stock Price Volatility [Volume 10, Issue 40, 2021, Pages 375-399]
  • Real Earnings Management Provide a Earnings Management forecasting model using ant colony and particle swarm algorithm algorithms [Volume 13, Issue 52, 2024, Pages 219-243]
  • Real Estate Market Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [Volume 5, Issue 18, 2016, Pages 197-210]
  • Realized GARCH Model (RGARCH) Evaluation of RGARCH Model to Estimate the Conditional Variance of Tehran Stock Exchange Index [Volume 9, Issue 33, 2020, Pages 129-145]
  • Real Market A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Real options The Evaluation of Venture Capital as an Installment Option and Real Options [Volume 6, Issue 21, 2017, Pages 175-196]
  • Real options Role of Investment Opportunities Set (IOS) in Companies Financing Policy [Volume 8, Issue 29, 2019, Pages 83-100]
  • Real Profit Management Provide a model to explain the relationship between real profit management, financial leverage, dividends paid and company value [Volume 14, Issue 55, 2025, Pages 655-674]
  • Real Value of money Investigating the Short-Term and Long-Term Effects of Real Currency Value on Iran's Stock Exchange [Volume 8, Issue 32, 2019, Pages 291-314]
  • Rebalancing strategy comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • Rebellion Overflow Overflow of parallel markets of Tehran Stock Exchange over the trading industries of the stock exchange. [Volume 11, Issue 44, 2022, Pages 453-474]
  • Recipe Trading Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 1-18]
  • Refah Bank Evaluating and Prioritizing of the Risk of Money Laundering Criteria (Case Study: Refah Bank) [Volume 8, Issue 31, 2019, Pages 209-224]
  • Refah.K Bank Analysis of Personal Banking Business pattern (Refah.k bank Case Study) [Volume 9, Issue 33, 2020, Pages 93-107]
  • Reference point The survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 285-307]
  • Reference Point in Prospect Theory A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • Regime-switching The Effect of Economic and Financial Regime-switching on Equity Premium Puzzle In Fuzzy Logic Framework: The Evidence from Iran [Volume 6, Issue 23, 2017, Pages 153-170]
  • Regime switching models Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Registered intangible assets Investigating the relationship between intangible assets and financial performance of listed companies in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 243-262]
  • Regression Day of the Week Effect in Stock Returns by using Least Mean Square (LMS) Algorithm Regression [Volume 1, تابستان 1391, 2012, Pages 19-34]
  • Regression Evaluating the Sequrity Selection Skill and Market timing Ability of Iranian Mutual Fund Managers [Volume 7, Issue 25, 2018, Pages 61-82]
  • Regression Evaluating the impact of systematic risk on the stock returns of companies listed on the iran stock exchange using an optimal model based on rough set, regression and arbitrage pricing theory [Volume 13, Issue 52, 2024, Pages 373-394]
  • Regression Comparing the Predictive Power of Multilayer Perceptron (MLP) and Multiple Linear Regression in Estimating the Yield of Islamic Treasury Bonds [(Articles in Press)]
  • Regret aversion A comparative survey on behavioral factors on financial assets investment [Volume 4, پاییز 1394, 2015, Pages 33-52]
  • Regret aversion Behavioral factors affecting on investors behavior in Iran different cultures [Volume 9, Issue 35, 2020, Pages 121-132]
  • Regtech Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Regulation The use of stress testing in regulatory and supervisory perspectives [Volume 5, Issue 19, 2016, Pages 213-234]
  • Regulation Styles of Financial Regulation in Iran & U.K [Volume 6, Issue 22, 2017, Pages 147-164]
  • Regulation styles Styles of Financial Regulation in Iran & U.K [Volume 6, Issue 22, 2017, Pages 147-164]
  • Regulatory Financial Technology (Regtech) Identifying and investigating the factors affecting investment in new product development in the area of supervisory financial technologies (Case study of Tejarat Bank) [Volume 11, Issue 41, 2022, Pages 163-194]
  • Reinforcement learning Extracting Stock Multi-order Rules via Employing a Network Structure and Backward Q-Learning [Volume 8, Issue 30, 2019, Pages 115-138]
  • Reinsurance Capacity Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [Volume 3, بهار 1393, 2014, Pages 65-82]
  • Reinvestment Strategy comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • Related party transactions The role of earnings management in the effect of related party transactions, financial crisis and firm size on tax avoidance [Volume 13, Issue 52, 2024, Pages 549-572]
  • Relative Strength Index Usefulness Assessment of Technical Analysis of World Gold Prices (Approach to the Directional Indicators or Oscillators) [Volume 3, بهار 1393, 2014, Pages 43-64]
  • Relative Strength Index(RSI) Optimizing technical indicator rules [Volume 6, Issue 22, 2017, Pages 197-213]
  • Religious behavior of managers Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [Volume 9, Issue 34, 2020, Pages 127-147]
  • Religious months The religious months effect on the stock market return, volatility and volume in the stock exchange of Tehran [Volume 1, پاییز 1391, 2012, Pages 1-26]
  • Religious orientation Investigating The Effect Of Orientation Of Religion On Financial Decision Makers' Ethical Approaches [Volume 9, Issue 34, 2020, Pages 127-147]
  • Rent House Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [Volume 9, Issue 33, 2020, Pages 301-325]
  • Representativeness A comparative survey on behavioral factors on financial assets investment [Volume 4, پاییز 1394, 2015, Pages 33-52]
  • Representativeness Heuristic Investor sentiment under representativeness heuristic: The case of Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 53-66]
  • Required Rate of Return Investigating the effects of investors' sentiments on stocks valuation [Volume 10, Issue 39, 2021, Pages 283-303]
  • Rescale Range Analysis Fractal Analysis of Tehran Stock Exchange Index With RS Method [Volume 1, پاییز 1391, 2012, Pages 63-80]
  • Research Foresight of education and research in the Iranian tax system - with an economic approach [Volume 9, Issue 36, 2020, Pages 371-395]
  • Research activities EVALUATION OF INVESTMENT IN RESEARCH ACTIVITIES [Volume 2, بهار 1392, 2013, Pages 61-66]
  • Research & Development Providing an Applicable Model to Calculate the Return & Spillover of Research & Development in Iran's Selected Industries [Volume 4, تابستان 1394, 2015, Pages 1-14]
  • Research Function EVALUATION OF INVESTMENT IN RESEARCH ACTIVITIES [Volume 2, بهار 1392, 2013, Pages 61-66]
  • Research Items EVALUATION OF INVESTMENT IN RESEARCH ACTIVITIES [Volume 2, بهار 1392, 2013, Pages 61-66]
  • Residual earning The Effect of Net Financial Expenses on the Company’s Value Using Residual Income Model in the Capital Market [Volume 6, Issue 22, 2017, Pages 165-178]
  • Residual Income Model (RIM) The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • Residual risk Option Hedging in Jump-Diffusion Markets by Malliavin Calculus [Volume 8, Issue 31, 2019, Pages 165-174]
  • Resilient Economy Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [Volume 7, Issue 28, 2018, Pages 127-140]
  • Resistance Economics Presentation a technology commercialization model in ICT Knowledge base companies [Volume 7, Issue 26, 2018, Pages 63-82]
  • Resistance Economics investing in start-ups in order to achieve a resilient economy and economic defense [Volume 13, Issue 49, 2024, Pages 171-188]
  • Resistive Economy Examining the potential of the energy exchange in performance resistive economic policies and transparency in capital market information [Volume 4, بهار 1394, 2015, Pages 167-194]
  • Resistive Economy Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [Volume 7, Issue 28, 2018, Pages 127-140]
  • Resource allocation Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Resources Causes increased past maturity and delayed debt real customers bank mellat branches of Tehran [Volume 2, زمستان 1392, 2013, Pages 137-156]
  • Return The day of the week effect on the stock market return in the stock exchange of Tehran [Volume 1, بهار 1391, 2012, Pages 1-12]
  • Return Efficiency compared to ARIMA and ARFIMA models for modeling and prediction of Tehran Price Index (TEPIX) [Volume 1, تابستان 1391, 2012, Pages 63-80]
  • Return Analysis of the Relationships Between Capital Structure and Cumulative Abnormal Returns (case Study :Tehran securities Exchange) [Volume 1, تابستان 1391, 2012, Pages 141-152]
  • Return The religious months effect on the stock market return, volatility and volume in the stock exchange of Tehran [Volume 1, پاییز 1391, 2012, Pages 1-26]
  • Return Studying the Return of value and Growth Stock Based on the ratio of Book Value/MARKET Value (Case: Publicly Traded Companies) [Volume 2, پاییز 1392, 2013, Pages 105-130]
  • Return The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Return Portfolio Rebalancing Model based on Fuzzy Decision Theory [Volume 2, زمستان 1392, 2013, Pages 255-270]
  • Return Return Momentum:Evidence from Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 1-20]
  • Return Constant Conditional Correlation Volatility Transmission Model with Long Memory Effect, evidence from Tehran and Dubai Stock Market [Volume 3, پاییز 1393, 2014, Pages 25-46]
  • Return Exchange Rate Optimal Hedge Ratio by Gold Futures in Iran [Volume 3, زمستان 1393, 2014, Pages 1-24]
  • Return Analysis of factors affecting expected stock returns based on the implied cost of capital [Volume 4, تابستان 1394, 2015, Pages 125-144]
  • Return comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • Return The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [Volume 6, Issue 24, 2017, Pages 151-166]
  • Return predicted profit on the possibility of revision in profit prediction [Volume 8, Issue 31, 2019, Pages 49-70]
  • Return Investor sentiment and prevalence of informed trading in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 19-38]
  • Return Dispersion Conditioned Effect Pricing of Return Dispersion [Volume 7, Issue 28, 2018, Pages 197-216]
  • Return Distribution Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
  • Return Investing Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 125-146]
  • Return moment Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Return of Banks and Credit Institutions Industry Index Investigating Effect of Exchange Rate and Inflation Uncertainty on the Banking Industry Performance Based on the Multivariate Generalized Autoregressive Conditional Heteroskedasticity (MGARCH) Model [Volume 13, Issue 49, 2024, Pages 489-506]
  • Return on Asset Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [Volume 7, Issue 28, 2018, Pages 127-140]
  • Return Predictability Style Investing and Return Predictability [Volume 2, زمستان 1392, 2013, Pages 121-136]
  • Return Predictability Liquidity and Information Efficiency in Cryptocurrencies Market [Volume 10, Issue 39, 2021, Pages 465-482]
  • Return prediction Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Revenue growth rate Review is research affect Tobin q ratio and Revenue growth rate on the level of investment in listed companies in Tehran Stock Exchange [Volume 1, بهار 1391, 2012, Pages 83-98]
  • Reverse Profits The Relationship between Winners and Losses of Portfolios based on Stockholding Rates by Institutional Investors with Momentum and Reverse Profits [Volume 7, Issue 28, 2018, Pages 297-312]
  • Revised Sharp ratio The Revised Sharp Method Examination Based on Value at Risk for Evaluation of Tehran Stock Exchange Companies [Volume 1, زمستان 1391, 2012, Pages 133-150]
  • Risk Portfolio Rebalancing Model based on Fuzzy Decision Theory [Volume 2, زمستان 1392, 2013, Pages 255-270]
  • Risk comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • Risk Minimizing portfolio variance with the limitations of (L) [Volume 6, Issue 21, 2017, Pages 81-96]
  • Risk Investigating the relationship between the forward P/E, Earning growth and risk [Volume 6, Issue 21, 2017, Pages 145-160]
  • Risk Investigating the Impact of Diversification Strategy in Assets and Loans on Bank Risk [Volume 6, Issue 21, 2017, Pages 197-214]
  • Risk Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing [Volume 6, Issue 24, 2017, Pages 21-38]
  • Risk The Relation Between one Economic Events with the Concepts of Changing Regime about Returns, Risk and Liquidity in Stock Market [Volume 6, Issue 24, 2017, Pages 151-166]
  • Risk The Features of Financial Stress in Iran's Capital Market [Volume 7, Issue 26, 2018, Pages 237-258]
  • Risk Identify, rank and allocate critical risk the stages of public – Private partnership by Delphi technique in the context of resistance economy (case study: water and sewage industry Guilan Province) [Volume 7, Issue 27, 2018, Pages 125-140]
  • Risk The effect of risk control on the relationship between firm value and benefit components using the model Easton and Pae in companies listed on the Tehran Stock Exchange [Volume 7, Issue 28, 2018, Pages 159-174]
  • Risk Presentation of a model for the active optimization of stock portfolios using value at risk exposure; Application of Convergence Variance Difference Models Approach Based on Algorithm DE Approach [Volume 8, Issue 30, 2019, Pages 37-50]
  • Risk The Impact of Investor’s Perception of Risk on Portfolio Management (Case Study: Active Investor’s Mashhad Stock brokers) [Volume 8, Issue 30, 2019, Pages 73-92]
  • Risk Presenting an Integrated Management Model for Electronic Supply chain of Product and its Effect on Company’ Performance (Case Study: National Iranian South Oil Company) [Volume 9, Issue 34, 2020, Pages 55-70]
  • Risk Portfolio optimization by using the Copula Approach and multivariate conditional value at risk in Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 205-226]
  • Risk Presenting a crowdfunding risk model in fintech-based businesses. [Volume 12, Issue 46, 2023, Pages 733-756]
  • Risk Topological analysis of accounting risks based on network theory [Volume 13, Issue 49, 2024, Pages 375-396]
  • Risk Testing the Fractal Market Hypothesis with the Markov Regime Change Model: A Possible Combination and Convergence [Volume 13, Issue 49, 2024, Pages 421-440]
  • Risk Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [Volume 13, Issue 50, 2024, Pages 39-72]
  • Risk usefulness of meta-heuristic algorithms on optimizing of the integrated risk in banking system [Volume 13, Issue 50, 2024, Pages 159-186]
  • Risk Content analysis of financial risk management research in Iranian banks [Volume 13, Issue 51, 2024, Pages 255-278]
  • Risk Providing Investor Behavior Model for Investment Portfolio Risk Management [Volume 15, Issue 57, 2026, Pages 307-329]
  • Risk-Adjusted Return Return Momentum:Evidence from Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 1-20]
  • Risk Appetite Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Risk Apptite Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Risk Assessment usefulness of meta-heuristic algorithms on optimizing of the integrated risk in banking system [Volume 13, Issue 50, 2024, Pages 159-186]
  • Risk Assessment Identifying and explaining mutual relationships of investment risks in public-private partnership projects in the oil industry [Volume 13, Issue 52, 2024, Pages 573-594]
  • Risk conditions Investigating and measuring the factors affecting the efficiency indicators of technical analysis in the Iranian stock market;Generalized Torque Model (GMM) approach [Volume 10, Issue 40, 2021, Pages 621-644]
  • Risk Criteria Analyzing the Relationship between Risk and Performance Criteria with Emphasis on the Role of Risk Management Effectiveness in Companies Listed on Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 397-414]
  • Risk Disclosure Tone A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • Risk factors Identifying and ranking the risk factors affecting the leasing industry case study of AHP in the company mellat leasing [Volume 6, Issue 24, 2017, Pages 21-38]
  • Risk Filtration Investigation of the role of macroeconomic variables in Tehran Stock Exchange uncertainty using risk filtering, MCMC simulation and ARDL approaches. [Volume 13, Issue 49, 2024, Pages 1-26]
  • Risk Management Effectiveness Analyzing the Relationship between Risk and Performance Criteria with Emphasis on the Role of Risk Management Effectiveness in Companies Listed on Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 397-414]
  • Risk management model Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry) [Volume 13, Issue 50, 2024, Pages 73-93]
  • Risk-neutral measure Estimation the risk-neutral processes in jump–diffusion models of gold coin future contracts in Iran Mercantile Exchange [Volume 10, Issue 38, 2021, Pages 571-590]
  • Risk Propensity The relationship between decision-making Models and investors’ expectations of risk and return invest in financial tools: The Markuitz model Approach [Volume 4, Issue 16, 2015, Pages 173-190]
  • Risk return Investigation of ownership structure effect on risk at manufacturing company in exchange [Volume 2, تابستان 1392, 2013, Pages 45-62]
  • Risks and hardships A game-theoretical approach to evaluating foreign direct investment in the manufacturing sector due to the economic and social index [Volume 8, Issue 31, 2019, Pages 71-94]
  • Risk Scoring؛ Risk Evaluation Identification, Analysis and Evaluation Risk's of Subsidiaries in Holdings [Volume 10, Issue 37, 2021, Pages 373-394]
  • Risk sensitivity Integrated Optimal Risk-Based Liquidity Management Model Design in Specialized Holdings of Social Security Investment Corporation (SHASTA) [Volume 9, Issue 34, 2020, Pages 41-54]
  • Risk taking The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [Volume 8, Issue 32, 2019, Pages 217-234]
  • Risk taking Investigating the effect of underreaction and overreaction on Iran's capital market risk [Volume 13, Issue 52, 2024, Pages 711-726]
  • Risk-taking The Impact of risk-taking on performance according to financial constraints of companies [Volume 12, Issue 47, 2023, Pages 217-230]
  • Risk-taking Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [Volume 12, Issue 48, 2023, Pages 637-670]
  • Risk tolerance Risk-taking and setting financial goals (short-term and long-term) for investors from a neurosocial perspective based on testosterone measurements [Volume 14, Issue 56, 2025, Pages 373-386]
  • Risk tolerance level The Demographical Factors Role in Explanation of Retail Investors’ Financial Risk-Tolerance and Their Risk-Taking Behavior [Volume 8, Issue 32, 2019, Pages 217-234]
  • Risk transmission Systemic risk transmission in Iranian financial markets [Volume 11, Issue 41, 2022, Pages 429-443]
  • ROA Effect of type of finance on investment efficiency with an emphasis on company value [Volume 7, Issue 28, 2018, Pages 103-126]
  • ROA Investigating the Effect of “BMI” Policies By “Resistive Economy” Approach on Increasing of “Return On Asset” Index [Volume 7, Issue 28, 2018, Pages 127-140]
  • ROA The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 232-249]
  • Robust Cipra method Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [Volume 8, Issue 30, 2019, Pages 173-190]
  • Robust Economy Designing Joint Investment Fund to increase the capacity of the insurance reinsurance [Volume 3, بهار 1393, 2014, Pages 65-82]
  • Robust Estimation Investigating the Nonlinear Relationship between CEO Power and Capital Structure [Volume 9, Issue 35, 2020, Pages 65-83]
  • ROC Credit Risk Modeling: Spline based logistic regression Survival approach [Volume 9, Issue 34, 2020, Pages 167-184]
  • ROE Effect of type of finance on investment efficiency with an emphasis on company value [Volume 7, Issue 28, 2018, Pages 103-126]
  • ROE The Effect of Financial Strategies on Financial Performance in Chemical, Rubber, and Plastic Industries Compared to Total Companies Accepted in Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 232-249]
  • Rolling Window Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • Rough Set Optimal Portfolio Selection using Machine Learning Algorithms [Volume 12, Issue 48, 2023, Pages 511-538]
  • Rough Set Evaluating the impact of systematic risk on the stock returns of companies listed on the iran stock exchange using an optimal model based on rough set, regression and arbitrage pricing theory [Volume 13, Issue 52, 2024, Pages 373-394]
  • Rough Theory Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [Volume 10, Issue 37, 2021, Pages 103-139]
  • Round Numbers Stock Price Clustering and Factors Affecting on It in Iran Capital Market [Volume 7, Issue 26, 2018, Pages 297-312]
  • Route Analysis Modeling the Relationship between Efficiency, Risk and Capital in the Iranian Banking System [Volume 10, Issue 40, 2021, Pages 227-240]
  • RSS index Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [Volume 10, Issue 37, 2021, Pages 273-296]
  • Runs Test Effect of natural and legal persons trading in the occurrence of price bubbles in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 151-166]
  • Rural Development Analyzing and prioritizing rural people tendency to costing the subsidies in rural construction and developing project [Volume 5, Issue 19, 2016, Pages 145-170]
  • Rural Entrepreneurship Development Ecosystem Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [Volume 12, Issue 48, 2023, Pages 193-216]
  • Rural Investment Development of rural entrepreneurship model by studying the mediating role of rural empowerment based on investment approach [Volume 12, Issue 48, 2023, Pages 193-216]
  • Rural Women Survey the Effects of Micro Finance Credits Fund on the Rural Women’s Managerial Empowerment (Case Study: Alamout Region) [Volume 6, Issue 24, 2017, Pages 231-250]
S
  • Saffron futures contract Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Sales Growth Rate Strategic Performance Analysis [Volume 2, زمستان 1392, 2013, Pages 157-174]
  • Sanctions The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Savara method Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
  • Scenario analysis Application of stress test models in risk management [Volume 8, Issue 29, 2019, Pages 115-136]
  • Search fund model Feasibility study of entrepreneurship through acquisition (ETA) using the study and explanation of effective factors in the Iranian market [Volume 11, Issue 42, 2022, Pages 637-658]
  • Secondary market Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Securities Using Stress Test in Securitization Process [Volume 4, Issue 16, 2015, Pages 1-26]
  • Securitisation The Role of Securitization in Countries’ Economic Growth and Development (Focus on Need to Deployment of Securitization Market in IRAN) [Volume 4, Issue 16, 2015, Pages 221-240]
  • Securitization Examining the Effects of Securitization Process on Credit Risk and Banking Stability: Empirical Evidence from Commercial Banks in Iran [Volume 4, Issue 16, 2015, Pages 75-88]
  • Securitization Design of dividends receivable backed securities [Volume 4, Issue 16, 2015, Pages 89-110]
  • Securitization Brand benefit bonds, as a financial instrument for companies with human capital and intellectual properties [Volume 4, Issue 16, 2015, Pages 111-124]
  • Securitization Pattern Designing of Intellectual Property Securitization [Volume 4, Issue 16, 2015, Pages 147-172]
  • Securitization Securitization in the Islamic Markets vs. Securitization in Major International one [Volume 5, Issue 18, 2016, Pages 1-15]
  • Securitization Risk Securitization in Catastrophic and Life Insurance Policies [Volume 5, Issue 18, 2016, Pages 17-33]
  • Securitization Asset Securitization in leasing industry [Volume 5, Issue 18, 2016, Pages 35-50]
  • Securitization Price modeling of Islamic treasury bills based on securitization [Volume 5, Issue 18, 2016, Pages 51-65]
  • Securitization The Securitization of Insurances In the Leading Industries (Based On Sukuk Models) [Volume 5, Issue 19, 2016, Pages 1-24]
  • Securitization Identifying Determinants of Corporate Credit Rating [Volume 5, Issue 19, 2016, Pages 25-52]
  • Securitization Clarification of the Factors Affecting Finance through Assets Securitization to the Agricultural Bank [Volume 8, Issue 31, 2019, Pages 273-392]
  • Securitization Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Securitizing of loans Loan Securities with Credit Risk Coverage Approach [Volume 7, Issue 25, 2018, Pages 83-98]
  • Security of Investment Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Self-esteem Analyzing the Influence of Self-Esteem and Financial Knowledge on the Financial Behavior (Case study: brokerage of real investors of Eghtesade Novin Bank) [Volume 7, Issue 27, 2018, Pages 59-78]
  • Self-esteem Financial management and Dungeon Kruger's (self-help) [Volume 8, Issue 30, 2019, Pages 139-152]
  • Self-image An Investigation into the effects of Investors’ Financial Literacy on Securities Investment Decisions [Volume 4, بهار 1394, 2015, Pages 127-150]
  • Self-regression mapping (VAR) Investigating the interactions of inequality income, employment and economic growth [Volume 9, Issue 33, 2020, Pages 283-299]
  • SEM Studying the Factors Affecting on the Investment Management in Holding Companies [Volume 8, Issue 32, 2019, Pages 331-346]
  • Semi-absolute deviation Fuzzy Portfolio Optimization using Meta-heuristic Unconscious Search Algorithm [Volume 8, Issue 32, 2019, Pages 251-270]
  • Semi-structured interview Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • Semi-structured interview Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Semi-structured interview Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Sensitivity analysis The Fuzzy Mean-Entropy Portfolio Model : Sensitivity Analysis, Transaction Costs Based on Credibility Theory [Volume 8, Issue 29, 2019, Pages 257-274]
  • Sensitivity of Cash flow -cash Cash Flow Sensitivity Analysis on the Impact of Financial Constraints Based on the Bao Model [Volume 3, زمستان 1393, 2014, Pages 181-194]
  • Sepah Bank Presenting an artificial intelligence model based on fuzzy-hierarchical logic in order to measure the impact of organizational factors on Sepah Bank's investment deposit and assets by generalizing systems of simultaneous equations [Volume 13, Issue 52, 2024, Pages 189-218]
  • Service Chain A New Investment Model in Technology Commercialization: Case Study of Islamic Azad University [Volume 5, Issue 20, 2016, Pages 1-24]
  • Services marketing mix factors Identification and ranking of the marketing mix of services in the banking industry focusing on financial services & Investment using DEMATEL [Volume 11, Issue 44, 2022, Pages 203-218]
  • Services projects Investigating the key success factors of BOT method in financing service projects and presenting an operational model [Volume 12, Issue 47, 2023, Pages 317-334]
  • Set Theory Developed Using Model (ERST) Applying Rough Developed theoretical Models (ERST), Interpretation-Structural Analysis (ISM) and Decision Tree (CART) for Help Auditors to Identify Fraud in the Financial Statements of Companies Listed on the Stock Exchange of Iran [Volume 9, Issue 33, 2020, Pages 179-208]
  • SFA The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • Shadow Banking The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Shadow economy The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Shannon Entropy Comparing the superiority of Glomar stock using multi-criteria decision-making models, Taxonomy and PROMETHEE [Volume 10, Issue 38, 2021, Pages 45-60]
  • Shannon Entropy Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [Volume 12, Issue 47, 2023, Pages 249-268]
  • Shapely Value Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Shareholders Investigating some corporate governance mechanisms and its effect on stock value and projected income in companies listed on the stock exchange [Volume 11, Issue 43, 2022, Pages 357-371]
  • Shareholder value The association between excess Cash holding and shareholder value: The case of Tehran security exchange [Volume 3, زمستان 1393, 2014, Pages 55-74]
  • Shareholder Value Perspective Identify the dimensions of the ethical foundations model in accounting education and rank them [Volume 12, Issue 47, 2023, Pages 291-316]
  • Share Ownership Ownership of Investment Firms and Share Price of The Listed Firm [Volume 3, بهار 1393, 2014, Pages 157-168]
  • Share Price and Stock Exchange Ownership of Investment Firms and Share Price of The Listed Firm [Volume 3, بهار 1393, 2014, Pages 157-168]
  • Sharpe ratio Robust model for optimal portfolio selection [Volume 3, تابستان 1393, 2014, Pages 67-84]
  • Sharp index Comparative between Portfolio based on New & Past Grid Models [Volume 2, پاییز 1392, 2013, Pages 193-212]
  • Sharp index Designing an Inference System for Expert System to Assess and Select Investment Fund in Iran Based on Fund Features: The Rough Theory Approach [Volume 10, Issue 37, 2021, Pages 103-139]
  • Sharp Model Minimizing portfolio variance with the limitations of (L) [Volume 6, Issue 21, 2017, Pages 81-96]
  • Sharp Ratio Evaluation Grid matrix model according to Sharp and Traynor ratio for assessing portfolio’s performance in selective model [Volume 1, پاییز 1391, 2012, Pages 125-146]
  • Sharp Ratio The Revised Sharp Method Examination Based on Value at Risk for Evaluation of Tehran Stock Exchange Companies [Volume 1, زمستان 1391, 2012, Pages 133-150]
  • Sharp Ratio Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 67-86]
  • Short Term Horizon The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • Short-term returns Optimal short-term prediction of initial supply yields using bat and random forest algorithms [Volume 12, Issue 45, 2023, Pages 133-158]
  • Simulated annealing Forecasting Tehran’s bourse price index using return-based fuzzy time series [Volume 1, زمستان 1391, 2012, Pages 175-194]
  • Simulation Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [Volume 13, Issue 49, 2024, Pages 123-152]
  • Simultaneous Equations System The investigation of relationship between stock liquidity and Stock price synchronicity using the simultaneous equations system in the accepted companies in the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 257-276]
  • Single and Multiple Bubbles Measuring multiple bubbles in the housing sector (land and rent house): A recursive unit root test approach [Volume 9, Issue 33, 2020, Pages 301-325]
  • Six Factors Model of Robert.A Haugen Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 125-146]
  • Size Factor Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Size of Company Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 99-124]
  • Size Sffect Predicting of Equity Premium: Empirical Evidence from PEG Models [Volume 6, Issue 23, 2017, Pages 129-152]
  • Small and Medium Enterprises (SMEs) Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
  • SME's The role of government in financing and developing investment in small and medium-sized businesses [Volume 9, Issue 35, 2020, Pages 277-288]
  • Social banking A Systemic Model of Social Banking Innovation Process with a Digital Transformation Approach [Volume 16, Issue 62, 2027, Pages 33-59]
  • SOCIAL BUSINESSES Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Social Capital The moderating effect of environmental uncertainty and the existence of business ties on the relationship between social capital and performance in Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 645-663]
  • Social Capital Social capital, Sticky Dividend and investment efficiency [Volume 11, Issue 44, 2022, Pages 297-314]
  • Social Capital Social capital and investment efficiency [Volume 12, Issue 45, 2023, Pages 53-71]
  • Social Capital Social Capital and Financial Leverage [Volume 12, Issue 46, 2023, Pages 1-23]
  • Social Capital Designing and explaining the model of the role of genetic capital and social capital of individuals on their economic and financial success in the Iranian capital market [Volume 14, Issue 54, 2025, Pages 591-625]
  • Social Cognitive Theory The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Social commerce A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • Social marketing Designing a Business Marketing Model with a Social and Political Approach and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
  • Social network Evaluate the Ability of Social Networks to Predict the Direction and Stock Prices in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 107-128]
  • Social responsibility Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • Sock Exchange Investigation of the variable of the illiquidity risk and the effect it’s on the excess of stock return in the stock market [Volume 1, پاییز 1391, 2012, Pages 27-46]
  • Solvency Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
  • Space-State models The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • SPEA2 algorithm Two-objective optimization of petrochemical portfolio with Strength Pareto Evolutionary Algorithm (SPEA2) by different approaches in portfolio selection [Volume 13, Issue 52, 2024, Pages 347-372]
  • Special Purpose Vehicle Risk Securitization in Catastrophic and Life Insurance Policies [Volume 5, Issue 18, 2016, Pages 17-33]
  • Specific Stock Returns Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Spectral risk Investigating the Power of Explaining Spectral, Coherent, Deviation and Artificial Neural Networks risk criterias and Their Application in Selecting the Optimal Investment Basket in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 287-312]
  • Speculation Behavior Prioritization of stock price bubble measuring factors with a behavioral approach [Volume 12, Issue 46, 2023, Pages 419-444]
  • Speed of adjustment The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • Speed of Adjustment Price Speed of Adjustment Scurities Prices, A Method for Evaluating of Investors Overreaction & Underreaction and Financial Markets Efficiently: Approches, Models and Results [Volume 4, تابستان 1394, 2015, Pages 95-124]
  • Speed of Price Adjustment Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [Volume 9, Issue 33, 2020, Pages 79-92]
  • Spillover Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [Volume 11, Issue 41, 2022, Pages 195-218]
  • Spillover The process of Technology Selection in the Upstream Oil and Gas Industry of Iran in terms of Spillover Effect from the perspective of Economic Profit [Volume 13, Issue 49, 2024, Pages 299-324]
  • Spiritual intelligence cultural intelligence Providing a model for evaluating and measuring the impact of types of intelligence on investor decisions [Volume 10, Issue 39, 2021, Pages 439-464]
  • Sports Clubs Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Spot Markets The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 273-287]
  • Spot price Examining the Relationship Between Spot Price of an Underlying Asset and Cost of Carry of Gold Coin Futures in Iran Mercantile Exchange (IME) [Volume 3, تابستان 1393, 2014, Pages 187-198]
  • Square (LMS) Algorithm Day of the Week Effect in Stock Returns by using Least Mean Square (LMS) Algorithm Regression [Volume 1, تابستان 1391, 2012, Pages 19-34]
  • Stages of financial distress The Evaluate ability of Altman adjusted Model to Prediction Stages of Financial Distress Newton and Bankruptcy [Volume 3, بهار 1393, 2014, Pages 83-100]
  • Stakeholder integration Stakeholder Integration and Financial Performance: The Mediating Role of Environmental Sustainability Orientation [Volume 10, Issue 39, 2021, Pages 541-562]
  • Stakeholder relationship capability Stakeholder Relationship Capability and Investment Efficiency: A Mosaic Homology Theory Test [Volume 12, Issue 46, 2023, Pages 787-814]
  • Startup Review the monitoring of modern financial technology and digital currency [Volume 9, Issue 35, 2020, Pages 153-168]
  • Start-ups investing in start-ups in order to achieve a resilient economy and economic defense [Volume 13, Issue 49, 2024, Pages 171-188]
  • Startups The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
  • State’s economic and investment Policies Human Development, State and Investment Policies [Volume 7, Issue 25, 2018, Pages 179-188]
  • Statistical Arbitrage Statistical Arbitrage Strategy Based on Factor Models of Prices in Iran's stock exchange market [Volume 8, Issue 32, 2019, Pages 37-50]
  • Statistical Arbitrage The profitability of pairs trading strategy based on linear state-space models and the Kalman filter in Tehran Stock Exchange [Volume 10, Issue 37, 2021, Pages 57-75]
  • Statistical Process Control Optimization of High-frequency Pair Trading Algorithm Using a Combination of Genetic Algorithm and Fuzzy Statistical Quality Control [Volume 10, Issue 40, 2021, Pages 471-484]
  • Sticky dividend Social capital, Sticky Dividend and investment efficiency [Volume 11, Issue 44, 2022, Pages 297-314]
  • Stochastic Differential Equations Application of Geometric Brownian motion in prediction of gold price and currency rate [Volume 8, Issue 30, 2019, Pages 251-270]
  • Stochastic Dominance Criteria Calendar Effects in the Tehran Stock Exchange Approach to Stochastic Dominance Criteria [Volume 4, Issue 16, 2015, Pages 125-146]
  • Stochastic Optimization Stock portfolio optimization using reliability approach [Volume 9, Issue 36, 2020, Pages 435-450]
  • Stochastic Volatility Latent Volatility Modeling and Bayesian Analysis of stochastic Volatility of Intraday Data of Tehran Stock Exchange Index Based on Markov Monte Carlo Chain [Volume 13, Issue 51, 2024, Pages 543-566]
  • Stochastic volatility (SV) Comparing Between Multivariate Volatility Models in Estimation of Exchange Rate and Stock Index Relationship [Volume 3, پاییز 1393, 2014, Pages 201-222]
  • Stock Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [Volume 9, Issue 36, 2020, Pages 415-433]
  • Stock and Securities Prediction of stock price bubble drop in Tehran Stock Exchange (conditional Volatility approach) [Volume 9, Issue 36, 2020, Pages 415-433]
  • Stock discount Relationship between Stock price & NAV [Volume 2, زمستان 1392, 2013, Pages 25-40]
  • Stock dividend Measurment of stock liquidity criteria surrounding capital raising decisions [Volume 2, زمستان 1392, 2013, Pages 105-120]
  • Stock Exchange Efficiency Testing the Effectiveness of Capital Market Efficiency through Investment Mediator Variables on Earnings Management Quality of Companies Listed in Iranian Stock Exchange [Volume 11, Issue 44, 2022, Pages 261-279]
  • Stock Exchange Index Correlation Analysis of Stock Exchange Index, Oil price, Exchange Rate and Gold price: A Wavelet Decomposition Method [Volume 2, پاییز 1392, 2013, Pages 131-148]
  • Stock Exchange Organization. Stock return volatility Effect of Exchange approved transactional recipes on the liquidity of Stocks listed companies in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 1-18]
  • Stock expected return Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 115-128]
  • Stock Investors The effect of financial literacy on Machiavellian personality of Tehran exchange market investors [Volume 8, Issue 30, 2019, Pages 229-250]
  • Stock liquidity risk An Investigation of Affecting Factors in Bid Ask Spread as a Measure for Information Asymmetry [Volume 3, زمستان 1393, 2014, Pages 25-40]
  • Stock Market Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Stock Market Designing a model for forecasting the return of the stock index (with emphasis on neural network combined models and long-term memory models) [Volume 9, Issue 34, 2020, Pages 231-257]
  • Stock Market compare time series stock markets and bit coin and effect markets returns with fractal approach [Volume 10, Issue 38, 2021, Pages 411-428]
  • Stock Market Investigating the Asymmetric Relationship between Oil Price and the Covid-19 Pandemic with Trading Value on the Stock Exchange [Volume 12, Issue 47, 2023, Pages 191-216]
  • Stock Market Contagious topological dynamics in the Iranian stock market [Volume 13, Issue 49, 2024, Pages 279-298]
  • Stock Market The impact of government expenditure and stock market on income distribution in selected MENA countries [Volume 13, Issue 50, 2024, Pages 187-200]
  • Stock Market Modeling of purchase intention for stock market individual investors [Volume 14, Issue 55, 2025, Pages 347-371]
  • Stock Market Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Stock Market Systemic risk spillover between OPEC crude oil, Tehran Stock Exchange index and exchange rate [Volume 15, Issue 58, 2026, Pages 1-22]
  • Stock Market Investigating risk management and securing investment in oil and gas companies active in the Tehran Stock Exchange market [Volume 15, Issue 58, 2026, Pages 615-628]
  • Stock Market Development Comparing Analysis the Effect of Political Riske on Stock Market Developing in Selected Countries [Volume 4, پاییز 1394, 2015, Pages 135-156]
  • Stock Market Development The interaction between stock market development and moral hazard and adverse selection asymmetric information Based on Probability of Informed Trade [Volume 14, Issue 56, 2025, Pages 387-412]
  • Stock Market Development and Banking Development Investigate the Relationship between Financial Development and Cost of Equity [Volume 8, Issue 31, 2019, Pages 95-110]
  • Stock markets The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • Stock Market Volatility Price Limit Effects on Stock Prices Behavior: A Contrarian Investment Strategy Approach [Volume 1, زمستان 1391, 2012, Pages 61-86]
  • Stock Market Volatility Economic Cycle and Symmetric Volatility of Financial Market Returns: Study of Emerging Economies [Volume 8, Issue 29, 2019, Pages 189-206]
  • Stock Portfolio Minimizing portfolio variance with the limitations of (L) [Volume 6, Issue 21, 2017, Pages 81-96]
  • Stock Portfolio Stock portfolio optimization using reliability approach [Volume 9, Issue 36, 2020, Pages 435-450]
  • Stock Portfolio Combining Multi-Criteria Decision Making and Mathematical Optimization as a Basis for Capital Decision Making [Volume 13, Issue 50, 2024, Pages 19-38]
  • Stock Portfolio Analysis of the emotional behavior of risk-taking and risk-averse investors in the stock portfolio [Volume 15, Issue 60, 2026, Pages 265-290]
  • Stock portfolio optimization Optimization of Network-Based Matrix Investment Portfolio and Comparison with Fuzzy Neural Combination Pattern and Genetic Algorithm(ANFIS) [Volume 9, Issue 36, 2020, Pages 293-315]
  • Stock portfolio optimization Simulating the dynamics of the economy and optimizing the portfolio and reducing risk using operating systems [Volume 14, Issue 56, 2025, Pages 167-186]
  • Stock portfolio returns Analysis and Evaluation of Effective Behavioral Biases in Investors' Decisions and Determining the Priority of Identified Categories from the Perspective of Experts using Demetel Technique and Analytic Hierarchy Process (AHP) [Volume 12, Issue 47, 2023, Pages 231-248]
  • Stock Price Network Analysis of Stock Prices Case Study: Listed Pharmaceutical Companies in the OTC and Stock Market of Iran [Volume 8, Issue 29, 2019, Pages 171-188]
  • Stock Price Management of Downside risk and Upside risk with exchange rates and stock prices [Volume 10, Issue 39, 2021, Pages 85-102]
  • Stock Price Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [Volume 10, Issue 39, 2021, Pages 515-539]
  • Stock Price The Designing Early Warning System of Financial Crisis Outbreak in Tehran Stock Exchange by Decision Tree [Volume 10, Issue 40, 2021, Pages 35-55]
  • Stock Price Examining the impact of the Corona epidemic on the capital market price index in Iran [Volume 13, Issue 51, 2024, Pages 301-318]
  • Stock Price Simulating the dynamics of the economy and optimizing the portfolio and reducing risk using operating systems [Volume 14, Issue 56, 2025, Pages 167-186]
  • Stock Price The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Stock Price Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • Stock Price Adjustment Rate corporate governance and Stock Price Adjustment Rate with emphasis on the life cycle [Volume 12, Issue 46, 2023, Pages 323-348]
  • Stock price crash Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk [Volume 1, تابستان 1391, 2012, Pages 1-18]
  • Stock Price Crash Risk The Impact of Political Connections on Stock Price Crash Risk with an Emphasize on Product Market Competition in Tehran Stock Exchange listed companies [Volume 8, Issue 29, 2019, Pages 275-296]
  • Stock Price Crash Risk Investigation the Impact of Earning Smoothing and Financial Information Transparency on Stock Price Crash Risk [Volume 10, Issue 39, 2021, Pages 51-68]
  • Stock Price Crash Risk To Investigate Relation between Business Strategies and Overvalued Equity on Stock ‎Price Crash Risk with regard to intermediate role of companies’ ownership [Volume 10, Issue 39, 2021, Pages 143-159]
  • Stock Price Crash Risk Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [Volume 11, Issue 44, 2022, Pages 51-73]
  • Stock Price Crash Risk Providing a Model of the Relationship between the Financial Statements Comparability and Stock Price Crash Risk with Moderating role of the Audit Committee. [Volume 12, Issue 46, 2023, Pages 249-270]
  • Stock Price Crash Risk CEO power and stock price crash risk: The moderator role Of ownership structure [Volume 12, Issue 46, 2023, Pages 817-832]
  • Stock price crash risks Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
  • Stock price forecasting عنوان مقاله / English Daily Stock Price Movement Prediction Using Sentiment text mining of social network and data mining of Technical indicators [Volume 10, Issue 40, 2021, Pages 451-469]
  • Stock Price Index Investigating the Asymmetric Effects of Exchange Rate Flexibility on the Stock Price Index in Iran [Volume 16, Issue 61, 2027, Pages 267-292]
  • Stock Price Synchronicity The Study of the Relationship between Institutional Investors and Stock Price Synchronicity in Listed Companies in Tehran Stock Exchange [Volume 5, Issue 17, 2016, Pages 165-186]
  • Stock Price Synchronicity The investigation of relationship between stock liquidity and Stock price synchronicity using the simultaneous equations system in the accepted companies in the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 257-276]
  • Stock Price Synchronicity Stock Price Synchronicity and Herd Behavior of Decision on the Capital Market: Testing Moderating Role of Institutional Shareholders [Volume 12, Issue 48, 2023, Pages 171-192]
  • Stock Price Synchronicity Explaining effect of financial criteria on the stock prices synchronicity [Volume 16, Issue 61, 2027, Pages 173-192]
  • Stock price synchronization Investigating the Relationship between the Principle of Conformity and Stock Price Synchrony with Emphasis on Environmental Uncertainty [Volume 14, Issue 55, 2025, Pages 243-258]
  • Stock Price Valuation Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
  • S tock P ricing Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Stock Return Investigation of Effect Market Return on Stock Return [Volume 2, پاییز 1392, 2013, Pages 1-20]
  • Stock Return Comparing of the Effects of EVA (Economic Value Added), EVA Spread and EVA Momentum on Stock Return [Volume 5, Issue 18, 2016, Pages 67-77]
  • Stock Return The Effect of Financial Depth on Stock Return: The Bounds Testing Approach [Volume 7, Issue 27, 2018, Pages 171-188]
  • Stock Return Modelling of capital market returns fluctuations for Tehran Price Index Return: MRS-FI-TGARCH and FI-TGARCH models [Volume 7, Issue 27, 2018, Pages 321-338]
  • Stock Return Heavenly Bodies and the Performance of the Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 225-240]
  • Stock Return Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 241-256]
  • Stock Return Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 251-269]
  • Stock Return Threshold effect in the relationship between investor sentiment and stock market returns: a PSTR specification [Volume 12, Issue 47, 2023, Pages 135-154]
  • Stock Return Prediction of Stock Price Based on Fundamental, Technical and Economic Factors [Volume 13, Issue 51, 2024, Pages 1-22]
  • Stock Return The effects of fat-tail return distribution on the relationship between the prospect theory value and future return [Volume 14, Issue 56, 2025, Pages 71-93]
  • Stock Returns The relationship between concentration, mark-up and stock returns (Case Study: Tehran Stock Exchange) [Volume 2, تابستان 1392, 2013, Pages 155-176]
  • Stock Returns Effect of exchange rate pass on Stock Returns in Tehran Stock Exchange [Volume 5, Issue 19, 2016, Pages 191-212]
  • Stock Returns The Effect of Uncertainty of Macroeconomic Indices on Tehran Stock Exchange Returns with the Approach of Randomized Fluctuations Models with Time Variations [Volume 6, Issue 23, 2017, Pages 1-22]
  • Stock Returns Informational uncertainty a criterion to explain stock returns (Behavioral Approach) [Volume 7, Issue 26, 2018, Pages 131-148]
  • Stock Returns Investigating the moderating role of institutional investors ownership percentage on the relationship between investors' emotional tendencies, stock returns and stock price fluctuations [Volume 9, Issue 33, 2020, Pages 57-78]
  • Stock Returns Explaining the Effective Factors of Stock Returns Using the Investment Options Approach [Volume 9, Issue 36, 2020, Pages 271-291]
  • Stock Returns Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [Volume 10, Issue 37, 2021, Pages 273-296]
  • Stock Returns Granger causality analysis in mean patterns to measure the number of lags of the cross-correlation between the standard residuals of returns and trading volume in crisis situation [Volume 13, Issue 51, 2024, Pages 513-541]
  • Stock Returns Evaluating the impact of systematic risk on the stock returns of companies listed on the iran stock exchange using an optimal model based on rough set, regression and arbitrage pricing theory [Volume 13, Issue 52, 2024, Pages 373-394]
  • Stock Returns Asymmetric Co-integration based on Nonlinear ARDL: Evidence from Tehran Stock Exchange [Volume 13, Issue 52, 2024, Pages 595-612]
  • Stock Returns The Ability to Predict Stock Returns Using Micro and Macro Indices: a Comparison of Two Regression Methods, Midas and Generalized Formulas. [Volume 15, Issue 59, 2026, Pages 49-72]
  • Stock Returns Origins and consequences related to the amount of balanced corporate sustainability reporting [Volume 15, Issue 60, 2026, Pages 341-367]
  • Stock right Measurment of stock liquidity criteria surrounding capital raising decisions [Volume 2, زمستان 1392, 2013, Pages 105-120]
  • Stocks the Effect of Behavioral Biases of Investors on their Decision in Investing at Stocks, Exchange and Fixed Premium Sheets and Bank Deposits [Volume 11, Issue 43, 2022, Pages 25-41]
  • Stocks Investigating the risk spillover of cryptocurrency market with domestic financial markets [Volume 14, Issue 53, 2025, Pages 551-574]
  • Stock Selection Evaluation of Pairs Trading Strategy Using Distance Approach at Tehran Stock Exchange [Volume 7, Issue 26, 2018, Pages 99-112]
  • Stock Selection Design the model for Glomar Stock Selection in the Tehran Securities Exchange [Volume 9, Issue 36, 2020, Pages 181-195]
  • Stock Selection Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Stock selection ability An Investigation of Stock Selection Ability between Institutional and Individual Investors [Volume 2, بهار 1392, 2013, Pages 45-60]
  • Stock value Investigating some corporate governance mechanisms and its effect on stock value and projected income in companies listed on the stock exchange [Volume 11, Issue 43, 2022, Pages 357-371]
  • Strategic Alignment The Effect of Investment Firms Ownership on Earnings Overstatement: Test of Strategic Alignment and Efficient Monitoring Hypothesis [Volume 6, Issue 23, 2017, Pages 55-70]
  • Strategic Cultural Management The methodology of the relationship between cultural strategic management with the seven components of investment and innovation economics based on the theory of Davenport [Volume 9, Issue 36, 2020, Pages 1-16]
  • Strategic Entrepreneurship Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Strategic Management Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Strategic Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • Strategic Thinking Investigating the mediating role of factors affecting behavior (risk tolerance, self-confidence and strategic thinking) in the relationship between emotional intelligence and the quality of judgment and decision-making of investors. [Volume 12, Issue 48, 2023, Pages 637-670]
  • Strategy Identifying and ranking the key strategies for the transition to the circular economy based on the enabling role of fintech in small and medium sized companies [Volume 14, Issue 53, 2025, Pages 447-466]
  • Stress arousal Designing a model for identifying auditors' stress triggers [Volume 10, Issue 40, 2021, Pages 599-620]
  • Stress test Application of stress test models in risk management [Volume 8, Issue 29, 2019, Pages 115-136]
  • Structural break The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Structural Equation Modeling (SEM) Examining the role of psychological, behavioral, technical and political variables on the decision making of shareholders in the stock market [(Articles in Press)]
  • Structural Equation Modelling-Partial Least Squares The effect of the brand on investor behavior and perceived risk as Mediate [Volume 8, Issue 32, 2019, Pages 235-250]
  • Structural Equations Modeling (SEM) Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [Volume 6, Issue 22, 2017, Pages 131-146]
  • Structural Failure Spillover between OPEC oil Price and Equity Markets Considering Business Cycles and Structural Breakdown (Case study; GCC Countries and Iran) [Volume 11, Issue 41, 2022, Pages 195-218]
  • Structural-Interpretive Approach Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Style Beta Style Investing and Return Predictability [Volume 2, زمستان 1392, 2013, Pages 121-136]
  • Style Investing Style Investing and Return Predictability [Volume 2, زمستان 1392, 2013, Pages 121-136]
  • Style Investing Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Subsidiaries of Banks The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • Supervision Identifying the Effective Factors on developing a model for Supervision and Regulation of Financial Markets using Meta-Synthesis Approach [Volume 10, Issue 39, 2021, Pages 189-225]
  • Supervisory Committees A model of the Quality of Financial Reporting based on the Structural Factors and Efficiency of Companies According to the Role of the Supervisory Committee [Volume 13, Issue 52, 2024, Pages 873-894]
  • Supervisory Criteria and Performance Comparative analysis of the effect of performance criteria and monitoring TZ and Jones Earning Smoothing Models (RELIEF LARS - Variable Selection Approach) [Volume 10, Issue 39, 2021, Pages 1-28]
  • Supply chain Developing supply chain businesses and increasing competitive advantage and performance by investing in blockchain technology [Volume 12, Issue 48, 2023, Pages 415-446]
  • Supply chain Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Supply chain Non-inflationary financing Housing Construction Supply Chain Based on Permissioned Blockchain Supply Chain [Volume 15, Issue 58, 2026, Pages 391-415]
  • Supply chain Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Supply chain Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Supply chain financing (SCF) Systematic literature review and meta-analysis of credit policies in supply chain financing in small and medium enterprises (SMEs). [Volume 16, Issue 62, 2027, Pages 193-215]
  • Supply & Demand Interest rate of the securities with fixed-income in Iran [Volume 4, پاییز 1394, 2015, Pages 1-18]
  • Support for minority shareholders The impact of supporting minority shareholders and the majority stakeholder's patience on the relationship between managing information impact and corporate performance [Volume 10, Issue 39, 2021, Pages 227-247]
  • Support Vector Machine A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [Volume 12, Issue 47, 2023, Pages 113-134]
  • Support Vector Machines Optimal Portfolio Selection using Machine Learning Algorithms [Volume 12, Issue 48, 2023, Pages 511-538]
  • Suppression of managers' opportunistic behavior Shareholder behavior, suppression of managers' opportunistic behavior and capital market efficiency based on Baron and Kenny's regression method [Volume 13, Issue 51, 2024, Pages 339-360]
  • Surplus free cash flow The effect of surplus free cash flow, corporate governance and firm size on earnings predictability [Volume 7, Issue 25, 2018, Pages 189-202]
  • Surplus free cash flow Governance structure The effect of corporate governance mechanisms on the relationship between excess free cash flow and earnings forecast [Volume 5, Issue 20, 2016, Pages 263-276]
  • Survival Function Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [Volume 11, Issue 42, 2022, Pages 247-278]
  • Sustainability performance The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
  • Sustainable banking Dynamic Modeling of Sustainable Banking with an Approach to Improving Financial Performance [(Articles in Press)]
  • Sustainable Competitive Advantage Evaluating the Long-Term Performance of Commercial Banks Based on the Sustainable Competitive Advantage Approach with Emphasis on the Role of Management Efficiency: An Approach Based on Comparing Public and Private Iranian Banks [Volume 11, Issue 41, 2022, Pages 383-403]
  • Sustainable development Green Human Resource Management A Investment Approach and Sustainable Development [Volume 5, Issue 20, 2016, Pages 297-327]
  • Sustainable development Presentation of The Islamic Sustainable Development Disclosure Model for the banking system in Iran [Volume 12, Issue 47, 2023, Pages 249-268]
  • Sustainable Development Strategic Management Presenting National Sustainable Development Model Based on the Basics of Strategic Knowledge Management according to Chaos Theory [Volume 7, Issue 25, 2018, Pages 165-178]
  • Sustainable Growth Rate Strategic Performance Analysis [Volume 2, زمستان 1392, 2013, Pages 157-174]
  • Sustainable product development Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
  • Sustainable Supply Chain Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
  • SVAR model Investigating the effect of credit creation in the banking sector on financial fragility in Iran [Volume 14, Issue 54, 2025, Pages 523-540]
  • Svensson model Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • Swara method and Aras technique Identify and rank the challenges of (determining) fair value measurement in the implementation of International Financial Reporting Standard No. 13 (IFRS13) in Iranian non-governmental banks using Meta-synthesis qualitative analysis and SWARA method and provide a solution using the ARAS technique. [Volume 13, Issue 52, 2024, Pages 63-92]
  • Swara Model Identifying and Prioritizing Indicators for Optimizing the Financing Chain in Order to Improve Performance [Volume 13, Issue 51, 2024, Pages 665-688]
  • Symmetric Strategies Analyzing profitable strategies on option market - evidence from the gold coin option contracts on the Iran mercantile exchange [Volume 8, Issue 30, 2019, Pages 93-114]
  • Synchronize stock returns Investigating the adjustment effect of corporate governance on the interaction of free cash flows and growth opportunities in synchronizing stock returns [Volume 13, Issue 52, 2024, Pages 93-125]
  • Syndicated loan Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
  • Systematic Generalized Method of Moments Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • Systematic Review Systematic research review of bank mergers in Iran and the world [Volume 10, Issue 40, 2021, Pages 485-509]
  • SystematicRisk Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm [Volume 3, پاییز 1393, 2014, Pages 125-164]
  • Systematic Risk (Beta) The relationships between market beta with macroeconomic variables and accounting information [Volume 3, تابستان 1393, 2014, Pages 47-66]
  • System Dynamics Simulation of Model Changes by Exchange Rates and Gold Price on the Tehran Stock Exchange Performance with System Dynamics Approach [Volume 7, Issue 25, 2018, Pages 17-38]
  • System Dynamics Dynamic analysis of a comprehensive model of risk management in the banking system using a systems thinking approach [Volume 13, Issue 49, 2024, Pages 123-152]
  • System Dynamics Presenting the asset and liability management model of the bank based on risk management using the systems dynamics approach [Volume 14, Issue 54, 2025, Pages 129-159]
  • Systemically risk quantitative models Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
  • Systemic Dynamics Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
T
  • TAM model Accepting Financial Transactions using Blockchain‌ Technology‌ and Cryptocurrency: A Customer Perspective Approach [Volume 12, Issue 46, 2023, Pages 465-484]
  • Tax Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 255-268]
  • Tax Economic Analysis of the Possibility of a Tax on Bank Deposits [Volume 5, Issue 19, 2016, Pages 269-284]
  • Tax A game-theoretical approach to evaluating foreign direct investment in the manufacturing sector due to the economic and social index [Volume 8, Issue 31, 2019, Pages 71-94]
  • Tax Reasons for the Gap between Declared and Assessed Taxable Incomes of Non Manufacturing Companies Listed on Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 707-727]
  • Tax The role of tax based on financial transactions in increasing government revenue [Volume 13, Issue 51, 2024, Pages 385-404]
  • Tax Aggressiveness Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [Volume 6, Issue 21, 2017, Pages 233-247]
  • Tax aggressiveness reporting" Investigating the Relation between Political Management and Managerial efficiency on Tax aggressiveness reporting in Iran capital market [Volume 13, Issue 49, 2024, Pages 353-374]
  • Tax Avoidance The Relation of The Different Dimensions of Corporate Governance with Tax Avoidance in Accepted Companies on Tehran Stock Exchange [Volume 6, Issue 23, 2017, Pages 229-244]
  • Tax Avoidance Effect of Dividend Reduction and Corporate Tax Avoidance on Stock price crash risk (Negative skewness approach and low volatility approach) [Volume 11, Issue 44, 2022, Pages 51-73]
  • Tax Avoidance The role of earnings management in the effect of related party transactions, financial crisis and firm size on tax avoidance [Volume 13, Issue 52, 2024, Pages 549-572]
  • Tax Capacity Presenting the tax capacity model of the country [Volume 15, Issue 57, 2026, Pages 427-452]
  • Tax Experts A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Tax Governance A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Tax Morale Modeling the dimensions of organizational culture on corporate tax morale [Volume 12, Issue 46, 2023, Pages 159-182]
  • Tax system Foresight of education and research in the Iranian tax system - with an economic approach [Volume 9, Issue 36, 2020, Pages 371-395]
  • Tax Terms Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Tax words Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Taylor Rule Application of Taylor's Rule in Iran Economy and Policies influence from Real Estate Market [Volume 5, Issue 18, 2016, Pages 197-210]
  • Technical Analysis Usefulness Assessment of Technical Analysis of World Gold Prices (Approach to the Directional Indicators or Oscillators) [Volume 3, بهار 1393, 2014, Pages 43-64]
  • Technical Analysis A study on how managers of mutual funds invest in Iran (With an approach based on technical & fundamental analysis and Modern Portfolio Theory) [Volume 3, پاییز 1393, 2014, Pages 165-178]
  • Technical Analysis Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [Volume 4, پاییز 1394, 2015, Pages 111-134]
  • Technical Analysis Compare efficiency technical strategies containing exponential moving average and relative strength index with buy and hold method [Volume 4, Issue 16, 2015, Pages 27-44]
  • Technical Analysis Financial Astrology in Stock Market Analysis [Volume 5, Issue 20, 2016, Pages 277-296]
  • Technical Analysis Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Technical Analysis Optimizing technical indicator rules [Volume 6, Issue 22, 2017, Pages 197-213]
  • Technical Analysis Algorithmic Trading System for future contract of gold coin based on intra-day data [Volume 7, Issue 28, 2018, Pages 49-68]
  • Technical Analysis Developing an expert system to create and rebalance investment portfolio, using technical analysis [Volume 8, Issue 29, 2019, Pages 31-44]
  • Technical Analysis Extracting Stock Multi-order Rules via Employing a Network Structure and Backward Q-Learning [Volume 8, Issue 30, 2019, Pages 115-138]
  • Technical Analysis Investigating the Utility of Ichimoku Oscillator-Based Trading Strategies in Tehran Stock Exchange [Volume 8, Issue 32, 2019, Pages 67-86]
  • Technical Analysis Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [Volume 10, Issue 39, 2021, Pages 29-50]
  • Technical Analysis Content Analysis of the researches related to technical analysis [Volume 14, Issue 55, 2025, Pages 435-456]
  • Technical Competencies Investigation of Financial Advisors Competencies Role in Perceived Investment Value InTehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 103-124]
  • Technical Indicator Optimizing technical indicator rules [Volume 6, Issue 22, 2017, Pages 197-213]
  • Technical interest rate Requierements for Determining Technical Interest Rate in Iranian Life insurance Industry [Volume 13, Issue 49, 2024, Pages 251-278]
  • Technical Method comparing the return and risk in technical methods with strategies of reinvestment and rebalancing and a buy and hold method (Case Study: Tehran Stock Exchange) [Volume 4, Issue 16, 2015, Pages 191-220]
  • Technological capabilities Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [(Articles in Press)]
  • Technological Entrepreneurship Ecosystem Presenting a Model of Technological Entrepreneurship Ecosystem in the Field of Knowledge-Based Businesses Active in the Field of Financial Technology [Volume 11, Issue 44, 2022, Pages 175-202]
  • Technology commercialization Presentation a technology commercialization model in ICT Knowledge base companies [Volume 7, Issue 26, 2018, Pages 63-82]
  • TEDPIX The effect of fluctuations of the Tehran Stock Exchange index (TEDPIX) on return of investment in gold [Volume 2, زمستان 1392, 2013, Pages 235-254]
  • TEDPIX Study on the effect of Currency rate of return at TEDPIX and TEPIX on Tehran stock exchange using by ARDL regression [Volume 11, Issue 41, 2022, Pages 281-302]
  • Tehran Exchange The impact of family ownership on capital structure on accepted company in TSE(based on agency theory) [Volume 5, Issue 20, 2016, Pages 145-164]
  • Tehran metropolis Proposing a novel model based on ARIMA technique for forecasting housing price: a case study of Tehran [Volume 4, تابستان 1394, 2015, Pages 15-28]
  • Tehran securities Exchange Analysis of the Relationships Between Capital Structure and Cumulative Abnormal Returns (case Study :Tehran securities Exchange) [Volume 1, تابستان 1391, 2012, Pages 141-152]
  • Tehran Stock Exchange Corporate Governance and Financial Constraints (Investment-cash flow sensitivity) [Volume 3, تابستان 1393, 2014, Pages 25-46]
  • Tehran Stock Exchange Capture the effect of amplitude fluctuation permitted in Tehran Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 75-96]
  • Tehran Stock Exchange Effect of natural and legal persons trading in the occurrence of price bubbles in Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 151-166]
  • Tehran Stock Exchange Investigating the relationship between intangible assets and financial performance of listed companies in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 243-262]
  • Tehran Stock Exchange Design and explanation of fractional multiresoloution capital asset pricing model with higher co-moments on Tehran stock exchange [Volume 6, Issue 21, 2017, Pages 215-232]
  • Tehran Stock Exchange Mean-Variance test based on theoretical framework of downside risk using VAR [Volume 6, Issue 22, 2017, Pages 29-48]
  • Tehran Stock Exchange Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [Volume 6, Issue 24, 2017, Pages 1-20]
  • Tehran Stock Exchange Evaluation of RGARCH Model to Estimate the Conditional Variance of Tehran Stock Exchange Index [Volume 9, Issue 33, 2020, Pages 129-145]
  • Tehran Stock Exchange Presenting a Model for Idiosyncratic Risk Effects on the Policies for Financing the Entire Manufacturing Companies Accepted in Tehran Stock Exchange. [Volume 7, Issue 27, 2018, Pages 21-38]
  • Tehran Stock Exchange Dynamics of Investors’ Financial Literacy, Risk Perceptions and Emotions: Evidence from the Tehran Stock Exchange [Volume 7, Issue 27, 2018, Pages 141-170]
  • Tehran Stock Exchange Predicting financial distress risk of firms listed in Tehran Stock Exchange using factor analysis, decision tree and logistic regression models [Volume 7, Issue 27, 2018, Pages 189-206]
  • Tehran Stock Exchange Evaluating the Relationship between Tehran Stock Exchange and Istanbul Stock Exchange: Causality and Co-Integration [Volume 8, Issue 29, 2019, Pages 1-12]
  • Tehran Stock Exchange Heavenly Bodies and the Performance of the Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 225-240]
  • Tehran Stock Exchange Spillover Effect On Different industries For Capital Market [Volume 9, Issue 34, 2020, Pages 277-293]
  • Tehran Stock Exchange The Impact of Crude Oil Price Returns on the Stock Index Returns A Case study: Tehran Stock Exchange & Istanbul Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 273-287]
  • Tehran Stock Exchange Design and explanation of stock price forecasting model in the real estate companies's stock in the Tehran Stock Exchange using Stochastic Process [Volume 10, Issue 39, 2021, Pages 515-539]
  • Tehran Stock Exchange Study on the effect of Currency rate of return at TEDPIX and TEPIX on Tehran stock exchange using by ARDL regression [Volume 11, Issue 41, 2022, Pages 281-302]
  • Tehran Stock Exchange Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • Tehran Stock Exchange The relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 373-392]
  • Tehran Stock Exchange The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Tehran Stock Exchange Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [Volume 13, Issue 51, 2024, Pages 23-54]
  • Tehran Stock Exchange Modeling The Effective variables on investment efficiency: evidence from Tehran Stock Exchange. [Volume 13, Issue 51, 2024, Pages 361-384]
  • Tehran Stock Exchange content in the Big Data Analysis of volatility spillovers of user generated content in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 663-686]
  • Tehran Stock Exchange Companies Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Tehran stock exchange industries return Comparative Analysis of Oil Price and Exchange Rate Volatility in Industries Return Relating to Petroleum Based On Arbitrage Pricing Theory and Dynamic Regression Model [Volume 1, بهار 1391, 2012, Pages 43-66]
  • Tehran stock exchange market The Effect of trading volume and high P/E ratio on the price bubble in Tehran stock exchange market [Volume 2, زمستان 1392, 2013, Pages 71-88]
  • Tehran Stock Exchange Transparency Index Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [Volume 9, Issue 33, 2020, Pages 397-415]
  • Tehran Stock Exchange (TSE) corporate governance role in readability of board of directors' report of companies listed in Tehran Stock Exchange [Volume 10, Issue 39, 2021, Pages 69-84]
  • Tehran stock market Presenting of High-frequency Trading System [Volume 4, پاییز 1394, 2015, Pages 89-110]
  • Tehran stock market The oil and gold global market interaction on the stock market of Iran; the GARCH-Copula approach [Volume 8, Issue 30, 2019, Pages 211-228]
  • Tehran Ttock Exchange The Effect of Investment Firms Ownership on Earnings Overstatement: Test of Strategic Alignment and Efficient Monitoring Hypothesis [Volume 6, Issue 23, 2017, Pages 55-70]
  • Tem Analysis The necessity of investment in social responsibility with a cultural pattern( case study:State banks) [Volume 9, Issue 33, 2020, Pages 327-350]
  • TEPIX Efficiency comparison among GARCH models in modeling and liquidity measurement. Case study: Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 21-42]
  • TEPIX Study on the effect of Currency rate of return at TEDPIX and TEPIX on Tehran stock exchange using by ARDL regression [Volume 11, Issue 41, 2022, Pages 281-302]
  • Testosterone The Testosterone Level of the CEO and Corporate Risk Taking [Volume 6, Issue 24, 2017, Pages 83-98]
  • TFPM Stock returns changes explanation between CAPM, TFPM, Carhart FFPM in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 115-128]
  • TGARCH model Heavenly Bodies and the Performance of the Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 225-240]
  • The amount of corporate borrowing Influence of Emotional Trends of Investors and the Company's Borrowing on Deviations from Expected Investment [Volume 7, Issue 27, 2018, Pages 39-58]
  • The Black-Scholes-Merton Model A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • The Crude oil and natural gas business cycle Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • The five factor model of Fama and French Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [Volume 9, Issue 33, 2020, Pages 397-415]
  • Theil Index" Assessing income inequality in Iran's urban regions and estimating the share of education level in creating inequality [Volume 11, Issue 42, 2022, Pages 189-205]
  • Theme Analysis Identifying and prioritizing the key indicators of financial technology evaluation in Iran's banking industry based on the DNAP technique [Volume 13, Issue 51, 2024, Pages 485-512]
  • Theme Analysis Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • The negative skewness coefficient of stock efficiency Examine the effect of Institutional Investors on Reduce Stock Price Crash Risk [Volume 1, تابستان 1391, 2012, Pages 1-18]
  • Theory of constraint Test of effect the rational speculative bubbles and the political cycle based based on the theory of constraint on the rate of return in selected companies of the Tehran Capital Market [Volume 8, Issue 32, 2019, Pages 1-20]
  • Theory of constraint Explain the application of the theory of constraints model to assess credit risk in banks [Volume 10, Issue 38, 2021, Pages 475-486]
  • Theory of contracts Role of Investment Opportunities Set (IOS) in Companies Financing Policy [Volume 8, Issue 29, 2019, Pages 83-100]
  • Theory of investment opportunities set Role of Investment Opportunities Set (IOS) in Companies Financing Policy [Volume 8, Issue 29, 2019, Pages 83-100]
  • The pecking order puzzle Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [Volume 10, Issue 39, 2021, Pages 305-322]
  • The pecking order theory Study of The pecking order theory in financing behavior's firms in Iran under financing deficit and surplus situations [Volume 10, Issue 39, 2021, Pages 305-322]
  • The relation between stock return Investigation the Un-Suretunetly of Exchange Rate On Index Price & Level of Investment In Tehran Stock Index (Using VAR and GARCH Models) [Volume 7, Issue 27, 2018, Pages 79-102]
  • The three factor model of Fama and French Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [Volume 9, Issue 33, 2020, Pages 397-415]
  • Three-factor model Comparing the Fama & French three-factor model with the five-factor model of Fama & French in explaining stock returns of companies listed on the Tehran Stock Exchange [Volume 9, Issue 36, 2020, Pages 251-269]
  • Three Factor Model of Fama and French Performance Evaluation of risk premium measurement models: q-theory asset pricing model against three factor model of fama and french [Volume 4, تابستان 1394, 2015, Pages 61-82]
  • Threshold Threshold effect in the relationship between investor sentiment and stock market returns: a PSTR specification [Volume 12, Issue 47, 2023, Pages 135-154]
  • Threshold Autoregresive Model Evaluating of the Business Cycle Status in Iran and its Impact on the Effectiveness of Fiscal Stimulus Programs and Investment [Volume 3, زمستان 1393, 2014, Pages 253-272]
  • Threshold dynamics Threshold dynamics and asymmetric adjustment of stock and currency markets returns in Iran [Volume 9, Issue 34, 2020, Pages 149-165]
  • Threshold effect The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [Volume 11, Issue 41, 2022, Pages 99-117]
  • Threshold effects of financial leverage Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Throughput accounting Explain the application of the theory of constraints model to assess credit risk in banks [Volume 10, Issue 38, 2021, Pages 475-486]
  • Throughput accounting Comparison of Performance of Selected Stock Portfolios Based on Constraint Theory Criteria with Traditional Grid Matrix Model [Volume 11, Issue 41, 2022, Pages 219-248]
  • Time Scale Correlation Analysis of Stock Exchange Index, Oil price, Exchange Rate and Gold price: A Wavelet Decomposition Method [Volume 2, پاییز 1392, 2013, Pages 131-148]
  • Time series Evaluating the Sequrity Selection Skill and Market timing Ability of Iranian Mutual Fund Managers [Volume 7, Issue 25, 2018, Pages 61-82]
  • Time series Impact of cash flow shock and stock prices on stock price forecast In the Tehran Stock Exchange [Volume 9, Issue 33, 2020, Pages 259-282]
  • Time series compare time series stock markets and bit coin and effect markets returns with fractal approach [Volume 10, Issue 38, 2021, Pages 411-428]
  • Tobin q ratio Review is research affect Tobin q ratio and Revenue growth rate on the level of investment in listed companies in Tehran Stock Exchange [Volume 1, بهار 1391, 2012, Pages 83-98]
  • Tobin’s Q ratio Investigation the relation between Free cash flows and Tobin’s Q ratio with Management compensation plans in companies listed in Tehran Stock Exchange [Volume 2, پاییز 1392, 2013, Pages 167-192]
  • Tone Management Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • Tone of forward-looking information disclosure Forward-looking information Measurement and its relationship of the level and tone with the futures liquidity of the firms [Volume 14, Issue 56, 2025, Pages 347-372]
  • TOPSIS Credit rating of manufacturing corporations in Tehran stock exchange withmulti-criteriadecision-makingandartificial neural network models [Volume 2, پاییز 1392, 2013, Pages 73-84]
  • TOPSIS Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • TOPSIS presentation of new method for investment strategy in private section [Volume 3, پاییز 1393, 2014, Pages 259-289]
  • TOPSIS Ranking of Behavioral Biases of Investors in the Face of political News and Rumors, emphasis on the era of Nuclear Talks [Volume 6, Issue 24, 2017, Pages 1-20]
  • TOPSIS method Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Tose’e Taavon Bank Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Total Accruals The Relationship of Management Optimism and Earnings Smoothing between Banks Listed in Tehran Stock Exchange and OTC [Volume 6, Issue 22, 2017, Pages 179-196]
  • Total Factor Productivity Impact of Foreign Direct Investment on Productivity Growth with Emphasis on Human Capital and Institutional Quality in Iran: An Application of Wavelet Analysis. [Volume 10, Issue 38, 2021, Pages 343-367]
  • Tourism Hubs investment Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • Tourist Arrivals The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Tracking Error Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [Volume 6, Issue 21, 2017, Pages 113-128]
  • Tracking Error The application of Dynamic Time Wrapping Algorithm and correlation coefficients in Time Sires Clustering for Index Tracking [Volume 9, Issue 35, 2020, Pages 189-205]
  • Tracking Portfolio Proposing and solving a multi-objective index tracking portfolio model considering beta, risk and tracking error of the portfolio [Volume 6, Issue 21, 2017, Pages 113-128]
  • Trade Volume The effect of maturity date, trade volume and open interests on gold coin future price volatility [Volume 3, بهار 1393, 2014, Pages 169-186]
  • Trading behavior The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [Volume 11, Issue 42, 2022, Pages 207-223]
  • Trading Company Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
  • Trading Cycles Financial Astrology in Stock Market Analysis [Volume 5, Issue 20, 2016, Pages 277-296]
  • Trading Strategies Return Momentum:Evidence from Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 1-20]
  • Trading Strategy A hybrid metaheuristic model in the Forex market to optimize investment strategies based on market trend forecasting [Volume 12, Issue 47, 2023, Pages 113-134]
  • Trading system Parameter setting of technical analysis indicators using multi-objective particle swarm optimization and adaptive fuzzy inference system [Volume 4, پاییز 1394, 2015, Pages 111-134]
  • Traditional Accounting Systems Marketing-Based Management: The Semi-Hidden Real Performance of Insurance Companies in Iran Insurance Industry [Volume 12, Issue 45, 2023, Pages 505-524]
  • Traditional beta Investigating the relationship between Default risk of banks and risk-return of their stocks in Tehran Stock Exchange [Volume 8, Issue 29, 2019, Pages 241-256]
  • Traditional Indicators of Performance Evaluation Marketing-Based Management: The Semi-Hidden Real Performance of Insurance Companies in Iran Insurance Industry [Volume 12, Issue 45, 2023, Pages 505-524]
  • Traditional Investment Evaluation Methods Investment Project Valuation Using Real Option Approach(The Case of a 500 MV Power Generation Plant) [Volume 5, Issue 17, 2016, Pages 207-225]
  • Tranching Design of dividends receivable backed securities [Volume 4, Issue 16, 2015, Pages 89-110]
  • Transaction Cost Constraint Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Transaction Price Research the effects of market microstructure on the stock price in Tehran Stock Exchange [Volume 2, بهار 1392, 2013, Pages 31-44]
  • Transactions data Capture the effect of amplitude fluctuation permitted in Tehran Stock Exchange [Volume 3, زمستان 1393, 2014, Pages 75-96]
  • Transaction volume measure impact of corporate governance strength on stock market liquidity: Emphasizing criteria Amihud, transaction volume and bid-ask spread [Volume 10, Issue 37, 2021, Pages 37-55]
  • Transaction volumes Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Transparency Providing a model for transparency of financial information in the country's insurance industry [Volume 10, Issue 38, 2021, Pages 61-80]
  • Transparency factor Assess the predictive power of Capital Assets Pricing Models considering of financial transparency [Volume 9, Issue 33, 2020, Pages 397-415]
  • Transparency Of Financial Information and Insurance Industry Providing a model for transparency of financial information in the country's insurance industry [Volume 10, Issue 38, 2021, Pages 61-80]
  • Transparency Reporting Model of the relationship between transparency and effectiveness of the Board on tax aggressiveness on investment development [Volume 6, Issue 21, 2017, Pages 233-247]
  • Trapezoidal method Calibrating Option Pricing using Generalized Integral Transform Technique based on Trapezoidal Rule [Volume 12, Issue 48, 2023, Pages 585-606]
  • Traynor Ratio Evaluation Grid matrix model according to Sharp and Traynor ratio for assessing portfolio’s performance in selective model [Volume 1, پاییز 1391, 2012, Pages 125-146]
  • Trend analysis The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Trend salience Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • Treynor- Mauzey Model Evaluating the Sequrity Selection Skill and Market timing Ability of Iranian Mutual Fund Managers [Volume 7, Issue 25, 2018, Pages 61-82]
  • Triener index Comparative between Portfolio based on New & Past Grid Models [Volume 2, پاییز 1392, 2013, Pages 193-212]
  • Trust Factor Effect on Financial Analysts trust to Manager [Volume 2, پاییز 1392, 2013, Pages 35-54]
  • Trust The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Trust and Perceived Risk The effect of co-creation in the face of augmented reality on perceived risk, perceived trust [Volume 11, Issue 41, 2022, Pages 551-575]
  • Trust has Explain the appropriate pattern of risk-taking power of stock market investors based on social capital using the factor of exploratory factor analysis approach and modeling of structural equations [Volume 12, Issue 47, 2023, Pages 21-46]
  • TSE Assessment of the behavioral determinants of individual investors in Tehran Stock Exchange based on structural equation modeling [Volume 6, Issue 22, 2017, Pages 131-146]
  • TSE Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Tunneling phenomenon Presenting the developed model of Benish by using tunneling phenomena based on artificial neural network technique and particle swarm optimization algorithm to identifying profit manipulating companies [Volume 13, Issue 51, 2024, Pages 23-54]
  • TVaR Calculating Tail Value at Risk Using a EGARCH-Extreme Learning Machine Model And The long-term forecast approach in the insurance industry [Volume 10, Issue 39, 2021, Pages 103-122]
  • TVP-SV The Effect of Uncertainty of Macroeconomic Indices on Tehran Stock Exchange Returns with the Approach of Randomized Fluctuations Models with Time Variations [Volume 6, Issue 23, 2017, Pages 1-22]
  • Two-Stage Structure The Relationship between Financial Investment and Malmquist Productivity Index Based on Data Envelopment Analysis in Network Structure (Case Study: Tehran Metro Stations) [Volume 10, Issue 40, 2021, Pages 103-118]
  • Type of financial narrative, credibility of the content of financial reports JEL: C52،M42،M40،D21 Designing a Structural Model of the Impact of Financial Narrative Disclosure on the Credibility of Financial Reports [Volume 16, Issue 64, 2027, Pages 549-573]
  • Typology Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
U
  • UK law Analysis of capital increase of public joint stock companies in Iranian law. [Volume 13, Issue 52, 2024, Pages 287-298]
  • Uncertainty The Features of Financial Stress in Iran's Capital Market [Volume 7, Issue 26, 2018, Pages 237-258]
  • Uncertainty Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
  • Uncertainty Investigation of the role of macroeconomic variables in Tehran Stock Exchange uncertainty using risk filtering, MCMC simulation and ARDL approaches. [Volume 13, Issue 49, 2024, Pages 1-26]
  • Uncertainty quantification Monte Carlo Markov chain simulation under Bayesian inference to identify the parameters affecting earning quality measurement [Volume 13, Issue 52, 2024, Pages 631-651]
  • Underreaction Investigating the effect of underreaction and overreaction on Iran's capital market risk [Volume 13, Issue 52, 2024, Pages 711-726]
  • Under Reaction Speed of Adjustment Scurities Prices, A Method for Evaluating of Investors Overreaction & Underreaction and Financial Markets Efficiently: Approches, Models and Results [Volume 4, تابستان 1394, 2015, Pages 95-124]
  • Under Reaction Evaluation of Investor Reactions by Security Speeds of Price Adjustment towards the Intrinsic Values between different Industries in TSE [Volume 9, Issue 33, 2020, Pages 79-92]
  • Understanding Of Self- Performance Providing a comprehensive model of decision making based on the attitudes and behavior of investors using structural equation modeling [Volume 10, Issue 40, 2021, Pages 305-330]
  • Underwriting Activity Investment Portfolio Optimization of Insurance Companies with Copulas and Extreme Value Approach [Volume 13, Issue 49, 2024, Pages 325-352]
  • Undirected weighted network Investigating of effect herding behavior types among analysts on stock price by network analysis in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 19-36]
  • Univariate neural network Dividend Policy Prediction by Multivariable and Univariate Neural Network Models [Volume 7, Issue 26, 2018, Pages 169-184]
  • Unobserved Systematic Risk Impact of macroeconomic variables on unobserved systematic risk using Kalman filter [Volume 13, Issue 51, 2024, Pages 279-300]
  • Unregistered intangible assets Investigating the relationship between intangible assets and financial performance of listed companies in Tehran Stock Exchange [Volume 5, Issue 20, 2016, Pages 243-262]
  • Unsystematic Risk Optimizing Stock Portfolio with regard to Minimum Level of Total Risk using Genetic Algorithm [Volume 3, پاییز 1393, 2014, Pages 125-164]
  • Unsystematic Risk The Application of Downside Risk and Arbitrage Pricing Model in Risk Assessment (Financial Marketing Approach to Iran's Petrochemical Industry) [Volume 11, Issue 41, 2022, Pages 495-509]
  • Unsystematic Risk Assessing the various risks of the Iranian petrochemical industry [Volume 12, Issue 47, 2023, Pages 335-354]
  • Upstream Industry The process of Technology Selection in the Upstream Oil and Gas Industry of Iran in terms of Spillover Effect from the perspective of Economic Profit [Volume 13, Issue 49, 2024, Pages 299-324]
  • Utility Forecasting Investors Trading Behavior: Evidence from Prospect Theory [Volume 4, پاییز 1394, 2015, Pages 19-32]
  • Utility The effect of prior performance of investors on stock price based on Prospect theory [Volume 6, Issue 23, 2017, Pages 39-54]
  • Utility Theory Using the Utility Theory for Finding an Optimal Structure of Bank Asset Liability [Volume 2, زمستان 1392, 2013, Pages 199-212]
V
  • Validation Compilation and validation of the financial resilience model of the hotel industry in crisis conditions: a mixed approach [Volume 13, Issue 51, 2024, Pages 461-484]
  • Valuation Price modeling of Islamic treasury bills based on securitization [Volume 5, Issue 18, 2016, Pages 51-65]
  • Valuation Comparing the Behavioral Model of Stock Images with Traditional Models in estimating Stock values of Companies Listed on Tehran Stock Exchange [Volume 7, Issue 25, 2018, Pages 245-266]
  • Valuation Investigating the evaluation models of startup companies and identifying the dimensions, criteria and evaluation indicators for startup companies in the idea stage in Iran [Volume 10, Issue 37, 2021, Pages 395-409]
  • Valuation Designing an Effective Human Resources Valuation Model Using Qualitative Methods (Case Study: Islamic Azad University Hormozgan Branches) [Volume 11, Issue 42, 2022, Pages 523-541]
  • Valuation Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Valuation The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • Valuation A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Valuation Models The Impact of Income Management on the Performance of Shares Valuation Models [Volume 2, زمستان 1392, 2013, Pages 213-234]
  • Value Investigation of risk perception mental model of investors of Tehran Stock Exchange [Volume 4, بهار 1394, 2015, Pages 195-216]
  • Value-Added of Industry and Mining Sector Examining the Effect of Shocks in Monetary and Fiscal Policy on Value Added of Industry and Mining Sector in Iran [Volume 6, Issue 24, 2017, Pages 117-138]
  • Value at risk The Revised Sharp Method Examination Based on Value at Risk for Evaluation of Tehran Stock Exchange Companies [Volume 1, زمستان 1391, 2012, Pages 133-150]
  • Value at risk Investigation of capabilities of econometrist models in determination of value at risk in investment companies for determination of optimized portfolio in capital market of Iran [Volume 3, زمستان 1393, 2014, Pages 195-216]
  • Value at risk Examining and Comparing Security of Investment in the Stock, Gold, Exchange and Housing Market of Iran using Value at Risk (VaR) Criteria [Volume 4, بهار 1394, 2015, Pages 63-84]
  • Value at risk Rating parametric and nonparametric methods for estimating the expected shortfall and value at risk [Volume 6, Issue 22, 2017, Pages 113-130]
  • Value at risk Investigating the relationship between personality phases of mutual fund managers and fund risk measures: considering the moderating effect of personality types [Volume 7, Issue 28, 2018, Pages 1-22]
  • Value at risk Dependence structure between Iranian financial system’s sub sectors: a vine copula approach [Volume 8, Issue 30, 2019, Pages 51-72]
  • Value at risk Estimating Conditional Value at Risk (CVaR) with consideration the robust of the measure based on robust Cipra method [Volume 8, Issue 30, 2019, Pages 173-190]
  • Value at risk The ranking of Exchange-Trade Funds (ETFs); Applying the parametric value at risk approach [Volume 8, Issue 31, 2019, Pages 193-208]
  • Value at risk Financial risk assessment based on Extreme Value Theory and instantaneous data of Tehran Stock Exchange Index [Volume 8, Issue 32, 2019, Pages 51-66]
  • Value at risk Model for Calculating the Deposit Guarantee Fund’s Special Membership Fee Based on Risk [Volume 9, Issue 36, 2020, Pages 37-59]
  • Value at risk Effect of asset-liability management on credit risk [Volume 10, Issue 38, 2021, Pages 429-453]
  • Value at risk Performance Assessment of a Mutual Fund Using Fractional Modeling and the Concept of Value at Risk [Volume 10, Issue 38, 2021, Pages 519-537]
  • Value at risk Structural Equations Approach in Analyzing the Relationship Between Corporate Governance and Value at Risk with Emphasizing on the Role of Risk Management and Intellectual Capital [Volume 12, Issue 48, 2023, Pages 141-170]
  • Value at risk Portfolio VaR Modelling using EVT-Pair-Copulas Approach [Volume 13, Issue 49, 2024, Pages 51-76]
  • Value at risk Analysis of financial risk in the cryptocurrency market: Evidence from predicting value at risk [Volume 13, Issue 50, 2024, Pages 501-519]
  • Value at risk Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Value at risk Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
  • Value at Risk (VaR) Multivariate GARCH models". Journal of business and economic statistic Value at Risk and Spillover effect estimate using MGARCH [Volume 1, زمستان 1391, 2012, Pages 215-228]
  • Value at Risk (VaR) Comparing Between Multivariate Volatility Models in Estimation of Exchange Rate and Stock Index Relationship [Volume 3, پاییز 1393, 2014, Pages 201-222]
  • Value at Risk (VaR) Application of Extreme Value Theory in Value at Risk forecasting [Volume 3, زمستان 1393, 2014, Pages 159-180]
  • Value at Risk (VaR) Evaluation of multivariate GARCH models in estimating the Values at Risk (VaR) of currency, stock and gold markets [Volume 9, Issue 34, 2020, Pages 15-39]
  • Value at Risk (VaR) Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Value at Risk (VaR)- Extreme Value Theorems (EVT)- Historical Simulation (HS)- Filtered Historical Simulation (FHS)- Generalized Pareto Distribution (GPD)- Back testing Estimation of Value at Risk by using Extreme Value Theory [Volume 3, بهار 1393, 2014, Pages 133-156]
  • Value Creation criterias Developing a Model for the Assessment and Evaluation of Financial Health in Iran [Volume 2, بهار 1392, 2013, Pages 179-206]
  • Value Effect Predicting of Equity Premium: Empirical Evidence from PEG Models [Volume 6, Issue 23, 2017, Pages 129-152]
  • Value Extent Tests pricing Capital assets with the approach of some value with the use of derivatives [Volume 8, Issue 31, 2019, Pages 127-142]
  • Value Factor Style investing and portfolio composition based on fundamental ratios and technical indicators [Volume 6, Issue 21, 2017, Pages 59-80]
  • Value Investing Forecasting Stock Price Manipulation in Capital Market [Volume 1, بهار 1391, 2012, Pages 125-146]
  • Value Risk (Conditional) Portfolio optimization by using the Copula Approach and multivariate conditional value at risk in Tehran Stock Exchange [Volume 10, Issue 40, 2021, Pages 205-226]
  • Value Transfer Predicting the factors affecting on the transfer (Migration) of value Firms with financial health in the Tehran Stock Exchange by using the nonlinear algorithm of random forest [Volume 12, Issue 46, 2023, Pages 183-201]
  • Value under conditional risk Presentation of a model for the active optimization of stock portfolios using value at risk exposure; Application of Convergence Variance Difference Models Approach Based on Algorithm DE Approach [Volume 8, Issue 30, 2019, Pages 37-50]
  • VAR Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • Variable-time conditional Variance-Covariance matrix The Investigating of Exchange Rate Volatility Impact on Stock Market Price Efficiency and Optimization of Investment Portfolio [Volume 8, Issue 31, 2019, Pages 225-248]
  • Variance Decomposition Existing bubble stock test with Generalized Supremum Augmented Dickey-Fuller techniques and Impulse Response Function and analysis of Variance Decomposition [Volume 10, Issue 38, 2021, Pages 243-264]
  • Variance Heteroscedasticity Portfolio VaR Modelling using EVT-Pair-Copulas Approach [Volume 13, Issue 49, 2024, Pages 51-76]
  • VAR regression Evaluating the Relationship between Digital Currencies and Stock Market Indices (VAR Regression Approach) [Volume 15, Issue 57, 2026, Pages 119-141]
  • Vector auto regression Investigating the Effect of Liquidity and Per capita Income on the Housing Market (Using a vector auto regression model) [Volume 10, Issue 40, 2021, Pages 149-169]
  • Vector autoregression The interaction between stock market development and moral hazard and adverse selection asymmetric information Based on Probability of Informed Trade [Volume 14, Issue 56, 2025, Pages 387-412]
  • Vector GARCH model (VEC-GARCH) Evaluation of multivariate GARCH models in estimating the Values at Risk (VaR) of currency, stock and gold markets [Volume 9, Issue 34, 2020, Pages 15-39]
  • Vector Regression Model Management of Downside risk and Upside risk with exchange rates and stock prices [Volume 10, Issue 39, 2021, Pages 85-102]
  • Venture Capital A Comparative Study of Venture Capital Instruments in Iranian Commercial Banks [Volume 4, پاییز 1394, 2015, Pages 157-166]
  • Venture Capital A New Investment Model in Technology Commercialization: Case Study of Islamic Azad University [Volume 5, Issue 20, 2016, Pages 1-24]
  • Venture Capital The Evaluation of Venture Capital as an Installment Option and Real Options [Volume 6, Issue 21, 2017, Pages 175-196]
  • Venture Capitalist Behavioral Modeling of Angel Investors’ Investment Decision Makings [Volume 7, Issue 28, 2018, Pages 313-330]
  • Verbal Communication The relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [Volume 11, Issue 42, 2022, Pages 207-223]
  • Veronneau model An application of Altman-levalle and legault-Veronneau models for prediction of continuity and bankruptcy in accepted companies in TSE (Tehran Stock Exchange) [Volume 1, زمستان 1391, 2012, Pages 19-46]
  • Vickor model Providing a new performance model for building trust and systematic confidence to play in the Iranian capital market (Using Vickor model focusing on independence in the game of personal investors from institutional investors) [(Articles in Press)]
  • Vikor Purchasing stock in Stock Exchange (Application of MADM Models) [Volume 3, پاییز 1393, 2014, Pages 223-238]
  • Vikor Portfolio optimization using MCDM methods with the use of Canslim criteria and measures of performance evaluation [Volume 8, Issue 31, 2019, Pages 339-354]
  • Volatile Markets Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
  • Volatility Spillover Investigation volatility spillovers between oil market and stock index return [Volume 7, Issue 25, 2018, Pages 267-284]
  • Volatility Spillover Investigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
  • Volatility Spillover The Analysis and Test of Spillover and Volatility of Global Markets for Petrochemical Products and Base Metals (Based on Copula family models) [Volume 12, Issue 46, 2023, Pages 505-532]
  • Volatility transmission Constant Conditional Correlation Volatility Transmission Model with Long Memory Effect, evidence from Tehran and Dubai Stock Market [Volume 3, پاییز 1393, 2014, Pages 25-46]
  • Volume The religious months effect on the stock market return, volatility and volume in the stock exchange of Tehran [Volume 1, پاییز 1391, 2012, Pages 1-26]
  • Voluntary Disclosure The Relationship between Voluntary Disclosure and Financial Performance with Emphasis on Corporate Governance Mechanisms [Volume 13, Issue 52, 2024, Pages 299-324]
  • Voluntary Disclosure of Historical Non-Financial Information The effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
W
  • WACC Effect of family firms on information asymmetry and cost of capital [Volume 6, Issue 21, 2017, Pages 129-144]
  • Warning model The effect of financial and economic variables on the systemic risk warning system in Iran's financial market [Volume 14, Issue 54, 2025, Pages 341-362]
  • Wavelet Locally Stationary Wavelet Process and Its Application in Consumer Price Index [Volume 1, بهار 1391, 2012, Pages 67-82]
  • Wavelet Analysis of Behavioral Reactions in Tehran Stock Exchange [Volume 3, بهار 1393, 2014, Pages 223-240]
  • Wavelet analysis Evaluation of the efficiency of the motion of the industry indexes in Tehran Stock Exchange with a market yield of oil, gold, Dollar and Euro using wavelet analysis [Volume 5, Issue 17, 2016, Pages 227-251]
  • Wavelet analysis Design and explanation of fractional multiresoloution capital asset pricing model with higher co-moments on Tehran stock exchange [Volume 6, Issue 21, 2017, Pages 215-232]
  • Wavelet analysis Impact of Foreign Direct Investment on Productivity Growth with Emphasis on Human Capital and Institutional Quality in Iran: An Application of Wavelet Analysis. [Volume 10, Issue 38, 2021, Pages 343-367]
  • Wavelet Transform Correlation Analysis of Stock Exchange Index, Oil price, Exchange Rate and Gold price: A Wavelet Decomposition Method [Volume 2, پاییز 1392, 2013, Pages 131-148]
  • Wavelet Transform Day-ahead stock price forecasting using hybrid model [Volume 8, Issue 30, 2019, Pages 313-328]
  • Weak Form Efficiency Hypothesis Investigation of Weak Form Efficiency Hypothesis in Both High and Low Volatility Regimes of OPEC Crude Oil Market [Volume 9, Issue 33, 2020, Pages 109-127]
  • Weighted clustering coefficient Investigating of effect herding behavior types among analysts on stock price by network analysis in Tehran Stock Exchange [Volume 8, Issue 30, 2019, Pages 19-36]
  • Welfare Bank Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [Volume 11, Issue 42, 2022, Pages 247-278]
  • Welfare index The effect of energy price adjustment on the economy and investment of urban society (Case Study of Iran) [Volume 11, Issue 41, 2022, Pages 99-117]
  • Winer Explain momentum and its sources in Tehran stock exchange [Volume 2, تابستان 1392, 2013, Pages 141-154]
  • Working Capital Financing Investigating the inverse U-shaped relationship between Working Capital Financing and Profitability with emphasis on the role of Firm Size and Financial Leverage using the GMM method [Volume 13, Issue 51, 2024, Pages 157-176]
  • Working Capital Strategy Relationship between Financial Constraint and Investment Efficiency and Working Capital Strategy [Volume 8, Issue 32, 2019, Pages 129-150]
Y
  • Yield Design of Mathematical Optimization Algorithm of Banks' Foreign Exchange Portfolios on the Basis of Fuzzy Logic and Relevant Risk Indices (Case Study: Bank Mellat) [Volume 13, Issue 50, 2024, Pages 39-72]
  • Yield curve Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • Yield estimation Comparing the Predictive Power of Multilayer Perceptron (MLP) and Multiple Linear Regression in Estimating the Yield of Islamic Treasury Bonds [(Articles in Press)]
Z
  • ZigZag Indicator Intelligent System Design to Discovering the Pivot Price Using Candlestick Patterns and Gann Square Technique’s (Insurance Industry and Pension Fund) [Volume 9, Issue 36, 2020, Pages 99-119]
  • Zombie companies Presenting a prediction model for the formation of zombie companies, emphasizing the role of the government and the quality of profit, a test of political economy theory [Volume 16, Issue 64, 2027, Pages 43-63]
  • Zombie Firms The effect of the CEO's Narcissism on Zombie Firms Performance : A Test of Upper Echelons Theory [Volume 15, Issue 59, 2026, Pages 473-489]
  • Z Wong test Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]