A
  • 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]
  • 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]
  • 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 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]
  • 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 Hierarchical Process (AHP) Developing a Sport Clubs Financing Model with a Analysis Hierarchical Process (AHP) [Volume 10, Issue 40, 2021, Pages 259-281]
  • 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]
  • 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 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]
  • 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 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]
  • Audit quality Designing a model for identifying auditors' stress triggers [Volume 10, Issue 40, 2021, Pages 599-620]
B
  • Bank The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • 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 Presentation of Risk Management Model in Digital Banking - A rational approach [Volume 10, Issue 37, 2021, Pages 489-515]
  • 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 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 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]
  • 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 Identification of Indicators of Banks subject to Bankruptcy Crisis Based on Thematic Analysis Method [Volume 10, Issue 40, 2021, Pages 119-147]
  • 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]
  • 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 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 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]
  • 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]
  • Board features Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [Volume 10, Issue 37, 2021, Pages 241-254]
  • Bourse Bank Condensed Turbulence Influence of Return on Banks Accepted in the Stock Exchange [Volume 10, Issue 37, 2021, Pages 159-178]
  • 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 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 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]
C
  • CANSLIM Investigating Efficiency Stock Ranking Based on CANSLIM Analysis Criteria Using Fuzzy Multiple Attribute Decision Model [Volume 10, Issue 39, 2021, Pages 29-50]
  • 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 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]
  • 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]
  • Chaos Theory Applications of game theory in the analysis of investment knowledge using chaos theory [Volume 10, Issue 38, 2021, Pages 499-518]
  • Coalition Game Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Coding Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • COMPANY COMPETITIVENESS MODEL Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • Competitiveness Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
  • 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]
  • CORFS index Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [Volume 10, Issue 37, 2021, Pages 273-296]
  • 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 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 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]
  • Corruption The relationship between banks’ financial corruptions news and banks’ stock price and subsidiaries firms [Volume 10, Issue 38, 2021, Pages 81-103]
  • 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 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]
D
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 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]
  • Downside Risk Management of Downside risk and Upside risk with exchange rates and stock prices [Volume 10, Issue 39, 2021, Pages 85-102]
  • 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 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]
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]
  • Earning Downside Risk Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • 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]
  • Earning volatilities Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • 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]
  • 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]
  • 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]
  • 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 Management Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [Volume 10, Issue 37, 2021, Pages 459-488]
  • 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 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]
  • 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 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]
  • 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]
F
  • 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]
  • 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 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 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 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 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 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 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 Distress A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • 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 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 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 Literacy Presentation a model for Identifying Human Influencing Investors' Behavior in the Iranian Capital Market [Volume 10, Issue 40, 2021, Pages 549-575]
  • 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 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 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 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 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 Statements Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • 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 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]
  • 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]
  • Food Industry Designing Sustained Systemic Pattern of Entrepreneurship Based on Value-Creation; Investment Approach [Volume 10, Issue 37, 2021, Pages 459-488]
  • Forecasting Predicting Customer Churn in the Insurance Industry: Identifying the Influential Factors [Volume 10, Issue 39, 2021, Pages 341-354]
  • 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]
  • 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]
  • 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 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 screening method Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
G
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 Theory Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
H
  • 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]
  • 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 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]
  • 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]
  • 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]
  • Hybrid Model A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
I
  • 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]
  • 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]
  • Individual Investors Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • 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]
  • 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 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 Munificence The impact of financial position and industry characteristics on adjustment speed of capital structure [Volume 10, Issue 37, 2021, Pages 1-21]
  • 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 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]
  • 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]
  • 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]
  • 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 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]
  • 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' Reactions Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • Iran Capital Market Bank opacity and efficiency of stock prices [Volume 10, Issue 39, 2021, Pages 123-142]
J
  • 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
  • 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]
  • 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 Finance Investigating the behavior of individual investors after the release of financial statements [Volume 10, Issue 38, 2021, Pages 155-172]
  • 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: 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: 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]
  • 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]
L
  • 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]
  • 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]
  • 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]
  • Logistic model Effect of Board Characteristics on Corporate Illegality (Evidence from Tehran Stock Exchange) [Volume 10, Issue 37, 2021, Pages 241-254]
M
  • 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]
  • 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]
  • Market-based Characteristics Earning Attributes Earning Downside Risk and Market-based Characteristics Earning Attributes [Volume 10, Issue 40, 2021, Pages 241-257]
  • 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 states Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • Market Value" The impact of business model innovation on financial performance of petrochemical company [Volume 10, Issue 39, 2021, Pages 609-622]
  • 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]
  • 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]
  • Model Validation a Model of Financial Empowerment Based on Financial Therapy Approaches [Volume 10, Issue 40, 2021, Pages 577-597]
  • 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]
  • Momentum Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • 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]
  • Multi nomial Logistic Analysis A hybrid model based on three-tier approach to predict corporate default [Volume 10, Issue 40, 2021, Pages 775-803]
  • MULTI SPECIFIC DECISIONS Competitiveness of Iran's Power Industry [Volume 10, Issue 39, 2021, Pages 249-264]
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]
  • 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]
  • 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]
  • 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]
  • 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
  • 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]
  • 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]
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]
  • 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]
  • Paradigmatic model Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • 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]
  • 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 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 Prediction Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • Profit volatilities Investigating the effects of investors' sentiments on stocks valuation [Volume 10, Issue 39, 2021, Pages 283-303]
  • 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 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]
Q
  • 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]
  • 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]
R
  • 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]
  • 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]
  • 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]
  • Required Rate of Return Investigating the effects of investors' sentiments on stocks valuation [Volume 10, Issue 39, 2021, Pages 283-303]
  • Return Predictability Liquidity and Information Efficiency in Cryptocurrencies Market [Volume 10, Issue 39, 2021, Pages 465-482]
  • 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 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-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 Scoring؛ Risk Evaluation Identification, Analysis and Evaluation Risk's of Subsidiaries in Holdings [Volume 10, Issue 37, 2021, 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]
  • 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]
S
  • Semi-structured interview Financial crimes; Model design and explanation With grounded theory Method [Volume 10, Issue 38, 2021, Pages 265-285]
  • 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]
  • Shapely Value Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • 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]
  • Small and Medium Enterprises (SMEs) Design financing model Small and Medium Enterprises (SMEs) with (DANP) approch [Volume 10, Issue 39, 2021, Pages 161-188]
  • 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]
  • 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]
  • 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]
  • Stakeholder integration Stakeholder Integration and Financial Performance: The Mediating Role of Environmental Sustainability Orientation [Volume 10, Issue 39, 2021, Pages 541-562]
  • 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]
  • 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 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 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 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 Returns Fundamental analysis strategy (RSS and CORFS indicators) and stock returns [Volume 10, Issue 37, 2021, Pages 273-296]
  • Stock Selection Corporative Game Theoretic Application in Stock Selection Optimization [Volume 10, Issue 39, 2021, Pages 563-584]
  • Stress arousal Designing a model for identifying auditors' stress triggers [Volume 10, Issue 40, 2021, Pages 599-620]
  • 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 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]
  • 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]
  • 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]
  • Systematic Review Systematic research review of bank mergers in Iran and the world [Volume 10, Issue 40, 2021, Pages 485-509]
  • Systemic Dynamics Dynamic modeling of Sustainable supply chain from the financial perspective: system dynamics approach [Volume 10, Issue 40, 2021, Pages 79-102]
T
  • 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]
  • 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]
  • 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 (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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • Tone Management Investigate the Effect of Prediction Profit Reporting Tone on Investors' Reactions and Performance Prediction [Volume 10, Issue 38, 2021, Pages 369-388]
  • 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]
  • 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]
  • Transparency Providing a model for transparency of financial information in the country's insurance industry [Volume 10, Issue 38, 2021, Pages 61-80]
  • 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]
  • Trend salience Trend salience, investor behaviours and momentum profitability [Volume 10, Issue 39, 2021, Pages 497-514]
  • 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]
  • 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]
U
  • 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]
V
  • 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]
  • 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 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]
  • 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]
  • 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 Regression Model Management of Downside risk and Upside risk with exchange rates and stock prices [Volume 10, Issue 39, 2021, Pages 85-102]
W
  • 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]