A
  • Abnormal Investment The role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
  • Accreditation Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • ANFIS The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Artificial Intelligence Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • 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]
  • 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]
  • Asymmetry Systemic risk transmission in Iranian financial markets [Volume 11, Issue 41, 2022, Pages 429-443]
  • 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]
  • 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]
B
  • 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 Deposit Designing the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
  • Banking Industry Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Bank Kshavarzi Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • 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]
  • 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]
  • Behavioral accounting Designing the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
  • 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]
  • 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 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]
  • Biases CEO Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • 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]
  • Borrower Conditions Investigating Factors Affecting Credit Risk Customers' Credit Risk Using Survival Function Analysis (Tehran Branches) [Volume 11, Issue 42, 2022, Pages 247-278]
  • 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 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 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]
C
  • 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 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 Market Crisis Risk Preferences and Crisis in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 149-170]
  • 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]
  • CEO Approaches Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
  • 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]
  • Cognitive Behavioral Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • Cohrent risk The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • 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]
  • 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 risk value The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Confirmatory Factor Analysis An Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
  • 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 Investigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
  • 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]
  • Contrarian Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • 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]
  • Corporate Banking Digital transformation in corporate banking: theoretical approach and behavioral analysis [Volume 11, Issue 44, 2022, Pages 603-630]
  • 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 Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • Credit risk management Bank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
  • 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]
D
  • 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]
  • 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 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]
  • 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]
  • 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]
  • 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 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]
  • Downside Risk A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
E
  • 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]
  • 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]
  • 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 Uncertainty Investigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
  • 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]
  • Emotional Quotient Emotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [Volume 11, Issue 42, 2022, Pages 481-505]
  • 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 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]
  • 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 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]
  • 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]
  • Evaluation Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • 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]
  • 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]
  • 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 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]
  • External factors A model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
  • Extreme Value Theory portfolio optimization based on modeling of dependence structure and extreme value theory [Volume 11, Issue 44, 2022, Pages 475-499]
F
  • 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]
  • 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]
  • 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]
  • 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-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 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 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 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 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 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 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 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 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 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 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 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 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]
  • Financing Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Firm Characteristics A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 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 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]
G
  • GARCH The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • 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]
  • Generalized Autoregressive Conditional Heteroskedastisity Designing Investment conditions uncertainty index [Volume 11, Issue 41, 2022, Pages 119-144]
  • Genetic algorithm Predicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
  • 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]
  • 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]
  • 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]
  • 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]
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]
  • Hedge Fund Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Hedging Strategies Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • 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 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]
  • Hybrid Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
I
  • 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]
  • 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 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]
  • 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 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]
  • Infrastruc Strategic factors affecting investment in the freight industry [Volume 11, Issue 43, 2022, Pages 107-127]
  • Institutional Investor Trading Strategy Financial Reporting Quality, Investment Horizon، and Institutional Investor Trading Strategies [Volume 11, Issue 42, 2022, Pages 391-412]
  • Interbank Payment Systems Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • 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 Risk Analysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
  • Internal Controls Stock market reactions to earnings management, corporate risk and weak internal controls [Volume 11, Issue 42, 2022, Pages 563-578]
  • 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]
  • Investment conditions uncertainty index Designing Investment conditions uncertainty index [Volume 11, Issue 41, 2022, Pages 119-144]
  • 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 Functions Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
  • Investment Horizon Financial Reporting Quality, Investment Horizon، and Institutional Investor Trading Strategies [Volume 11, Issue 42, 2022, Pages 391-412]
  • 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 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]
  • 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’ 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' 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]
  • 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]
  • 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]
  • 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]
K
  • 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 Investment Efficiency Improve Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
  • 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 reaction Stock market reactions to earnings management, corporate risk and weak internal controls [Volume 11, Issue 42, 2022, Pages 563-578]
  • Keywords: Momentum Strategy Contratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
  • 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]
L
  • Liquidity Buffer Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Liquidity Risk Management Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
  • Liquidity Timing A model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
  • 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
  • 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]
  • 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]
  • 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]
  • Markov Switching The Development of Forecasting Model for Coherent Risk in Exchange Companies: Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
  • Methodology Q Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • 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]
  • 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]
  • Model Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • 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]
  • 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]
  • 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]
N
  • 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 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]
  • 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]
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]
  • 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]
  • 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]
  • Operational Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • Optimal Model Desirable model for news marketing in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
  • Optimization Predicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
  • Organizational entrepreneurship Scientometrics studies the impact of business model innovation on financial performance [Volume 11, Issue 41, 2022, Pages 49-73]
  • Over Threshold Method Liquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
P
  • 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]
  • 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]
  • 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 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]
  • 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 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]
  • 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]
  • Prediction Structural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
  • 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]
  • Prolongation of proceedings Designing a Risk of tax arrears model with a tax litigation approach [Volume 11, Issue 44, 2022, Pages 335-361]
  • 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]
  • 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]
  • 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]
  • 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]
R
  • 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]
  • 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]
  • 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]
  • 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]
  • 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 Disclosure Tone A Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
  • Risk transmission Systemic risk transmission in Iranian financial markets [Volume 11, Issue 41, 2022, Pages 429-443]
S
  • Savara method Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
  • 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]
  • 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]
  • 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]
  • SOCIAL BUSINESSES Provide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
  • Social Capital Social capital, Sticky Dividend and investment efficiency [Volume 11, Issue 44, 2022, Pages 297-314]
  • 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]
  • Solvency Introducing Early Warning System for Solvency of Iranian Insurance Companies, Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
  • 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]
  • Sticky dividend Social capital, Sticky Dividend and investment efficiency [Volume 11, Issue 44, 2022, Pages 297-314]
  • 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 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 risks Impact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
  • 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]
  • 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 Risk Management Implementation corporate risk management and its components on corporate bankruptcy risk [Volume 11, Issue 43, 2022, Pages 245-263]
  • 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]
  • 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 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]
T
  • 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]
  • 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]
  • 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 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • 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]
  • Typology Scenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
U
  • Uncertainty Effects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
  • 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]
V
  • 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]
  • 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]
  • 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]
  • 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
  • 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]
Z
  • 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]