Abnormal InvestmentThe role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
AccreditationBank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
Acquisition and Merger PatternDesigning a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
AcquisitionsComedown 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 BusinessesPresenting 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 LASSONonparametric 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 costThe relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 373-392]
Agricultural sectorIdentification 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]
ANFISThe Development of Forecasting Model for Coherent Risk in Exchange Companies:
Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
Artificial IntelligencePredicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
Artificial Intelligence AlgorithmApplication of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [Volume 11, Issue 42, 2022, Pages 413-434]
Asset PricingIdiosynchratic 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]
Audit qualityInvestigating 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 RealityThe 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 TaskInvestigating 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 DepositDesigning the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
Banking IndustryProvide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
Bank KshavarziPredicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
Bank StabilityProvide 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 VolatilityInvestigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
Behavioral accountingDesigning the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
Behavioral Biasesthe 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 BiasesThe Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
BetaInvestigating 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 StabilityInvestigating 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 CEOImprove Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
Board structureAssessing 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]
BusinessStrategic factors affecting investment in the freight industry [Volume 11, Issue 43, 2022, Pages 107-127]
BusinessDesigning a Business Marketing Model with a Social and Political Approach
and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
Business CyclesSpillover 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 developmentProvide 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 StrategiesAnalytical 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 analysisThe Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
Capital ExpenditureAnalytical 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 CrisisRisk Preferences and Crisis in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 149-170]
Cash holdingInvestigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
Cash holdingThe relationship between idiosyncratic risk and cash holding of companies listed on the Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 373-392]
Cash managementPredicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
CEO ApproachesScenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
Classical Financial TheoriesExplanation 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 BehavioralImprove Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
Cohrent riskThe Development of Forecasting Model for Coherent Risk in Exchange Companies:
Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
Combined ResearchAn Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
Commercial CompaniesComedown 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 IndustriesOverflow 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 estimatorPredicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
Conditional risk valueThe Development of Forecasting Model for Coherent Risk in Exchange Companies:
Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
Confirmatory Factor AnalysisAn Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
Conservative Risk DisclosureA Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
Constraint theoryComparison 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 indexInvestigation of economic uncertainty on cash holding [Volume 11, Issue 41, 2022, Pages 511-527]
Content analysisThe effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
Contrarian StrategyContratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
Conversion Electronic MarketingProvide 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 IndustriesProvide 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 BankingDigital transformation in corporate banking: theoretical approach and behavioral analysis [Volume 11, Issue 44, 2022, Pages 603-630]
Corporate GovernanceExplain 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 GovernanceInvestigating 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 GovernanceInvestigating 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]
Credit risk managementBank Client Accreditation and Ranking: A Case Study of Saderat Bank of Iran [Volume 11, Issue 41, 2022, Pages 145-162]
Currency rate of returnStudy 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 RiskAnalysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
D
Data Envelopment AnalysisEfficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
Decision-makingStructural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
Decision making InvestorsThe Investigating of effect of Psychological Variables on Investor Decision Making Using Canslim and Financial Analysis [Volume 11, Issue 43, 2022, Pages 463-481]
DEMATELIdentification 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 stakeholdersInformation 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 PricesThe Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [Volume 11, Issue 43, 2022, Pages 61-81]
Dividend reductionEffect 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 RiskA Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
E
Early Warning SystemIntroducing 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 ExchangeTesting 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 IndexAnalytical 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 UncertaintyInvestigation 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 featuresNonparametric 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 gapThe Effect of New Liquidity Criteria on Micro structure Disturbance in High Frequency Prices [Volume 11, Issue 43, 2022, Pages 61-81]
Emotional QuotientEmotional Quotient Impact on Investment Funds Performance in Iran Emphasis on Mental Accounting [Volume 11, Issue 42, 2022, Pages 481-505]
Energy carriers priceThe 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 EconomyInvestigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
Entrepreneurship financingFeasibility 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 acquisitionFeasibility 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 MarketsSpillover 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]
EvaluationProvide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
Excess ReturnContratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
Excess ReturnMathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [Volume 11, Issue 44, 2022, Pages 577-602]
Exchangethe 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 ProfitThe role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
Expected ReturnNonparametric 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 factorsA model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
Extreme Value Theoryportfolio 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 ModelContratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
Family economyThe 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 studyFeasibility 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 analysisThe 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 ApproachExplanation 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 ConstraintsImpact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
Financial CounselingThe 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 CrimeAn Analysis of Financial Crimes in Iran Using Structural Equation Modeling [Volume 11, Issue 41, 2022, Pages 75-97]
Financial CrisisProviding 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 ApproachThe 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 developmentInvestigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
Financial PerformanceScientometrics studies the impact of business model innovation on financial performance [Volume 11, Issue 41, 2022, Pages 49-73]
Financial PerformanceIdentifying 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 ReportingInvestigating 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 ComplexityExplain 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 RiskInvestigating 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 StressFinancial 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 IndexFinancial 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 TechnologyPresenting 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]
FinancingProvide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
Firm CharacteristicsA Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
Five-factor Fama and French modelMathematical 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 ArbitrageAnalysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
Fixed Income Securitiesthe 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 returnsImpact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
Food CompaniesAssessing 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 DisclosureThe effect of voluntary disclosure of historical and forward-looking non-financial information on sustainability performance [Volume 11, Issue 44, 2022, Pages 143-173]
Future returnIdiosynchratic 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 approachIdentification 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 MethodDesigning a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
Fuzzy FMEA MethodDesigning 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
GARCHThe Development of Forecasting Model for Coherent Risk in Exchange Companies:
Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
GARCH-DCC ModelModeling the Liquidity Risk Spillover Between Banks Accepted in the Tehran Stock Exchange Market [Volume 11, Issue 42, 2022, Pages 611-636]
Genetic algorithmPredicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
Gini CoefficientInvestigating 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 ModelComparison 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 TheoryThe effect of co-creation in the face of augmented reality on perceived risk, perceived trust [Volume 11, Issue 41, 2022, Pages 551-575]
Grounded TheoryDesigning the bank deposit forecasting model based on behavioral accounting and money market [Volume 11, Issue 43, 2022, Pages 393-413]
Growth OpportunitiesInvestigating 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 patternInvestigating 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 BiasesA 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 FundAnalysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
Hedging StrategiesAnalysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
Human CapitalAssessing 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 RiskDesigning 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 StrategyContratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
I
Idiosynchratic volatilitiesIdiosynchratic 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 DistributionInvestigating 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 ReportingInformation Content of Financial Reporting and the development of interactive capability with stakeholders: Pygmalion Theory Test [Volume 11, Issue 44, 2022, Pages 75-102]
Information riskMathematical Modeling of Information Risk Pricing with Autoregressive Distributed Lag (ARDL) Approach in the Iranian Capital Market [Volume 11, Issue 44, 2022, Pages 577-602]
InfrastrucStrategic factors affecting investment in the freight industry [Volume 11, Issue 43, 2022, Pages 107-127]
Interbank Payment SystemsLiquidity 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 RiskAnalysis feasibility study of establishing a local hedge fund in Iran [Volume 11, Issue 44, 2022, Pages 363-416]
Internal ControlsStock market reactions to earnings management, corporate risk and weak internal controls [Volume 11, Issue 42, 2022, Pages 563-578]
International riskInvestigating 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 EfficiencyInvestigating the Relationship between Political Influence and Investment Efficiency of Listed Companies in Tehran Stock Exchange [Volume 11, Issue 42, 2022, Pages 57-71]
Investment EfficiencyInvestigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [Volume 11, Issue 42, 2022, Pages 93-109]
Investment EfficiencyApplication of artificial intelligence algorithm in predicting investment efficiency Emphasizing the role of risk management criteria [Volume 11, Issue 42, 2022, Pages 413-434]
Investment EfficiencyThe role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
Investment FunctionsScenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
Investor DecisionsA 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 PersonalityThe relationship between financial counseling and verbal communication with the investor's personality and his trading behavior [Volume 11, Issue 42, 2022, Pages 207-223]
InvestorsStructural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
Investors’ Emotional FeaturesExplanation 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' reactionInvestigating 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]
IranAssessing 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 MarketStructural 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 HormozganDesigning 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 transformationDigital transformation in corporate banking: theoretical approach and behavioral analysis [Volume 11, Issue 44, 2022, Pages 603-630]
Keywords: ethicsProviding 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 IndicesPredicting Corporate Financial Indicators Using the Conditional Average Estimator and Genetic Metaheuristic Algorithms [Volume 11, Issue 42, 2022, Pages 225-245]
Keywords Investment EfficiencyImprove Investment Efficiency Based on Cognitive Behavioral Biases CEO by Gray Vikor Analysis [Volume 11, Issue 42, 2022, Pages 579-609]
Keywords: Managers' overconfidenceInvestigating the mediating role of growth opportunities on the relationship between managers' overconfidence and investment efficiency [Volume 11, Issue 42, 2022, Pages 93-109]
Keywords: Momentum StrategyContratum dominance over momentum and reverse: Evidence from the Iranian capital market [Volume 11, Issue 43, 2022, Pages 483-504]
Knowledge-Based and Start-up CompaniesDesigning a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
L
Liquidity BufferLiquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
Liquidity Risk ManagementLiquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
Liquidity TimingA model for identifying factors affecting the timing of liquidity in mutual funds [Volume 11, Issue 41, 2022, Pages 445-469]
Loss Aversion CoefficientThe survey on the Relationship between Investor Characteristics and their Loss Aversion in Tehran Stock Exchange [Volume 11, Issue 43, 2022, Pages 285-307]
M
ManagersProviding a model of investment ethics for managers in the financial crisis with a qualitative approach [Volume 11, Issue 43, 2022, Pages 309-331]
Marketing strategyDesigning a Business Marketing Model with a Social and Political Approach
and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
Market riskProvide 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 SwitchingThe Development of Forecasting Model for Coherent Risk in Exchange Companies:
Accounting data Approach [Volume 11, Issue 44, 2022, Pages 553-576]
Methodology QDesirable model for news marketing
in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
Micro structure PricesThe 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]
ModelProvide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
Multi-criteria decision makingDesigning a comprehensive model of acquisition and merger of knowledge-based and start-up companies [Volume 11, Issue 41, 2022, Pages 529-549]
Multivariate CloudOverflow 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 FamiliesEfficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
N
New BusinessProvide 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 MarketingDesirable model for news marketing
in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
Nonparametric methodNonparametric 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 profitInvestigating 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 IndustryInvestigating production sharing agreement as a way to attract investment in Iran's oil industry [Volume 11, Issue 42, 2022, Pages 507-521]
OPEC Oil PricesSpillover 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]
Optimal ModelDesirable model for news marketing
in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
OptimizationPredicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
Organizational entrepreneurshipScientometrics studies the impact of business model innovation on financial performance [Volume 11, Issue 41, 2022, Pages 49-73]
Over Threshold MethodLiquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
Panel dataInvestigating the Impact of Stock Market Liquidity on Income Distribution (Selected from Developing and Developing Countries) [Volume 11, Issue 43, 2022, Pages 199-224]
Panel dataIntroducing Early Warning System for Solvency of Iranian Insurance Companies,
Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
Panel dataThe role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
Pareto principleDesigning 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 marketingDesigning a Business Marketing Model with a Social and Political Approach
and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
Political RiskInvestigating 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 RiskProvide 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 ManagementEfficiency measurement of mutual fund families performance in Iran using two-stage DEA models [Volume 11, Issue 42, 2022, Pages 111-130]
Portfolio performanceComparison 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 TheoryThe 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]
PredictionStructural modeling of the precondition of financial behavior of investors in Iran’s stock market [Volume 11, Issue 41, 2022, Pages 23-48]
Production sharing agreementInvestigating production sharing agreement as a way to attract investment in Iran's oil industry [Volume 11, Issue 42, 2022, Pages 507-521]
Prolongation of proceedingsDesigning a Risk of tax arrears model with a tax litigation approach [Volume 11, Issue 44, 2022, Pages 335-361]
Prospect theoryThe 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 RecessionFinancial 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 TestInformation 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 AnalysisScenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
Qualitative MethodDesigning 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&DIdentifying 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 OverflowOverflow of parallel markets of Tehran Stock Exchange over the trading industries of the stock exchange. [Volume 11, Issue 44, 2022, Pages 453-474]
Reference pointThe 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 AppetiteLiquidity Risk Management in Modern Interbank Payment Systems [Volume 11, Issue 43, 2022, Pages 1-24]
Risk ApptitePredicting and optimizing the liquidity required by branch ATMs using artificial intelligence [Volume 11, Issue 42, 2022, Pages 455-479]
Risk Disclosure ToneA Model for Measuring Conservatism in Risk Disclosure Based on Disclosure Tone [Volume 11, Issue 42, 2022, Pages 321-347]
Savara methodEffects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
Search fund modelFeasibility 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 factorsIdentification 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]
ShareholdersInvestigating 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 BUSINESSESProvide a financing social businesses pattern for through the banking industry [Volume 11, Issue 41, 2022, Pages 357-382]
Social CapitalSocial capital, Sticky Dividend and investment efficiency [Volume 11, Issue 44, 2022, Pages 297-314]
Social marketingDesigning a Business Marketing Model with a Social and Political Approach
and Its Reporting Method [Volume 11, Issue 43, 2022, Pages 505-527]
SolvencyIntroducing Early Warning System for Solvency of Iranian Insurance Companies,
Using Pane data method [Volume 11, Issue 44, 2022, Pages 417-452]
SpilloverSpillover 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]
Stock Exchange EfficiencyTesting 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 RiskEffect 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 risksImpact of Financial constraints on Fluctuate down to up of stock returns with Credit rating [Volume 11, Issue 41, 2022, Pages 249-262]
Stocksthe 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 valueInvestigating 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]
Structural FailureSpillover 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]
Sustainability performanceThe 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 AdvantageEvaluating 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 AvoidanceEffect 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 EcosystemPresenting 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]
TEDPIXStudy 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 ExchangeStudy 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 ExchangeDesirable model for news marketing
in financial markets [Volume 11, Issue 42, 2022, Pages 543-561]
Tehran Stock ExchangeThe 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 ExchangeThe role of management's expected profit on the investment efficiency in stock market [Volume 11, Issue 44, 2022, Pages 531-551]
TEPIXStudy 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 effectThe 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 accountingComparison 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 behaviorThe 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 RiskThe effect of co-creation in the face of augmented reality on perceived risk, perceived trust [Volume 11, Issue 41, 2022, Pages 551-575]
TypologyScenario Building of Investment Functions in Capital Market: Neurological analysis of CEO [Volume 11, Issue 42, 2022, Pages 131-157]
U
UncertaintyEffects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]
Unsystematic RiskThe 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
ValuationDesigning 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 CommunicationThe 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 SpilloverInvestigating Spillover between the Oil Markets and Stock Market Volatility using Bayesian Multivariate Stochastic Volatility Model [Volume 11, Issue 43, 2022, Pages 129-148]
Welfare indexThe 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 testEffects of Forward-looking Information Disclosure on Stock Price Response in External Environment Uncertainty [Volume 11, Issue 41, 2022, Pages 333-356]