A
  • Abnormal Stock Returns Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Abnormal Stock Returns Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
  • Adaptive market hypothesis Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Adaptive Risk Aversion A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • AHP Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Airport City Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Algorithmic trading Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
  • Appropriate Tax Administration A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Arbitrage risk Investigating the Impact of Arbitrage Risk and Stock Volatility Risk on Cash Flow Confidence in the Iranian Capital Market [Volume 14, Issue 53, 2025, Pages 237-261]
  • Artificial Intelligence Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Artificial Intelligence Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Asset and Debt Management Presenting the asset and liability management model of the bank based on risk management using the systems dynamics approach [Volume 14, Issue 54, 2025, Pages 129-159]
  • Auto Regressive Distributed Lag Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
B
  • Background Theory Designing a business intelligence model in terms of ethical decision making in accounting businesses [Volume 14, Issue 53, 2025, Pages 575-596]
  • Bank A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Bank Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Bank The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
  • Banking Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Banking Profitability Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • Banking sector Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • Banking Stability Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Bankruptcy Risk Investigating the effect of anomaly criteria in financial reporting on bankruptcy risk in firms listed on the Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 21-46]
  • Bank Sector Index Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Behavioral Finance The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Bias Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Bibliometric analysis Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Blockchain Presenting the model of blockchain technology in smart contracts for the banking industry [Volume 14, Issue 53, 2025, Pages 179-200]
  • Blockchain Technology Designing a suitable model for validating customers in a brokerage based on blockchain technology [Volume 14, Issue 55, 2025, Pages 699-726]
  • Blockholders Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • Blockholders Competition Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • BOT project Evaluation of Contracts in Cooperative Projects BOT and Optimal Model in Symmetric Information Condition [Volume 14, Issue 53, 2025, Pages 293-307]
  • Business risk The Impact of business risk on the firms speed of capital structure adjustment [Volume 14, Issue 55, 2025, Pages 457-480]
  • BVAR Tehran Stock Exchange The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
C
  • Capital Market of Iran Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Capital Structure The Impact of business risk on the firms speed of capital structure adjustment [Volume 14, Issue 55, 2025, Pages 457-480]
  • Cardinality constraint Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Career Concerns Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • CEO Ability Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Coding Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Cognitive Biases The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Cognitive Reflection The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Conditional value-at-risk Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Conditional volatility Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Contract Theory Evaluation of Contracts in Cooperative Projects BOT and Optimal Model in Symmetric Information Condition [Volume 14, Issue 53, 2025, Pages 293-307]
  • Corporate bankruptcy Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Corporate Customer of Bank Designing and explaining the default risk prediction model of Mellat Bank for Corporate customer using artificial intelligence approach (firefly and anteater optimization algorithms) [Volume 14, Issue 55, 2025, Pages 613-638]
  • Corporate Governance Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Corporate Governance Mechanisms The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Cost Identifying the required factors for launching social trading in Iran capital market using exploratory factor analysis technique [Volume 14, Issue 55, 2025, Pages 639-654]
  • Credit Risk. Liquidity Risk Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Crowdfunding Identification and modeling of factors affecting the risk of collective financial provision in art projects based on the combined approach of theme analysis and partial least squares in SEM. [Volume 14, Issue 56, 2025, Pages 563-582]
D
  • Data Mining Methods Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Default risk Designing and explaining the default risk prediction model of Mellat Bank for Corporate customer using artificial intelligence approach (firefly and anteater optimization algorithms) [Volume 14, Issue 55, 2025, Pages 613-638]
  • Derivatives Financial derivatives and risk management tools; Provide model and explanation by grounded theory method [Volume 14, Issue 54, 2025, Pages 107-128]
  • Design and evaluation Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • DID approach The effect of cryptocurrency profitability on the amount of deposits attracted and loans paid by banks using the DID approach [Volume 14, Issue 53, 2025, Pages 529-549]
  • Differential evolution algorithm Portfolio optimization considering cardinality constraint and based on adverse risk indicators using differential evolution algorithm [Volume 14, Issue 55, 2025, Pages 189-208]
  • Digital Banking Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Distribution quartile Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Dividend policy Investigating the effect of the effect of quality of internal controls on Dividend Policy With Emphasis on the moderating role of Institutional Investors Horizon [Volume 14, Issue 54, 2025, Pages 363-380]
  • Dividend policy Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Dynamic Data Envelopment Analysis Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
E
  • Earning Quality Prioritization of Effective Factors in Measuring the Quality of Earning According to Specific Market Conditions Using the Network Analysis Process (ANP) and Density-Based Spatial Clustering of Applications with Noise [Volume 14, Issue 54, 2025, Pages 571-590]
  • Earnings Forecast Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Economic cycles Conceptual modeling of the sensitivity of the bank's financial resources to the economic periods of the country: qualitative analysis based on grounded theory [Volume 14, Issue 56, 2025, Pages 429-449]
  • Economic growth The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Economic Growth" Investigating the impact of corporate governance factors on economic growth in terms of information disclosure in companies listed on Tehran Bahadur Stock Exchange [Volume 14, Issue 55, 2025, Pages 503-530]
  • Economic recession Analysis of the Impact of Financial Inclusion on Banking Stability for Accepted Banks in the Iranian Capital Market [Volume 14, Issue 54, 2025, Pages 317-339]
  • Education Education development model based on investment management approach in Mazandaran University [Volume 14, Issue 53, 2025, Pages 597-611]
  • Efficiency Investigating the effect of credit risk and liquidity risk on the efficiency of banks with dynamic data envelopment analysis [Volume 14, Issue 53, 2025, Pages 51-67]
  • Efficiency Investigating the Analysis of Pricing Efficiency in Exchange Tradable Funds (ETFs) from the Tehran Stock Exchange [Volume 14, Issue 56, 2025, Pages 209-231]
  • Efficient Monitoringg theory Role of Government in Financial Reporting Quality: (Test of Efficient Monitoring Hypothesis) [Volume 14, Issue 54, 2025, Pages 161-190]
  • Employment The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Entrepreneurship Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Entrepreneurship Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • Entropy Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • ETF Investigating the Analysis of Pricing Efficiency in Exchange Tradable Funds (ETFs) from the Tehran Stock Exchange [Volume 14, Issue 56, 2025, Pages 209-231]
  • Ethical Decision Making Designing a business intelligence model in terms of ethical decision making in accounting businesses [Volume 14, Issue 53, 2025, Pages 575-596]
  • Exit Threat Relationship between blockholder’s exit and financial reporting quality [Volume 14, Issue 54, 2025, Pages 275-295]
  • Expected shortfall Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
  • Expected Shortfall (VaR) Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Exploratory Factor Analysis Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Extreme returns Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
F
  • Factor analysis Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Fama and French three-factor model The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Financial Attitude The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Financial Behavior Investigating Life Cycle Patterns on Financial Behavior with Organic Approach Theory Approach [Volume 14, Issue 54, 2025, Pages 1-18]
  • Financial Behavior The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Financial Crisis Study of corporate bankruptcy and financial crisis using the VOSviewer software [Volume 14, Issue 56, 2025, Pages 413-427]
  • Financial Development Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
  • Financial Development The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Financial factors - DMATEL and TOPSIS Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Financial goals،Neural Financial Approach Risk-taking and setting financial goals (short-term and long-term) for investors from a neurosocial perspective based on testosterone measurements [Volume 14, Issue 56, 2025, Pages 373-386]
  • Financial Health Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Financial Health Explaining the financial health of companies with financial ratios and value creation criteria in investment [Volume 14, Issue 56, 2025, Pages 451-474]
  • Financial leverage, Bayesian Model Averaging Comparison of the Optimal Method in Bayesian, Dynamic and Selective Averaging Models to Identify the Influencing Variables on Capital Structure [Volume 14, Issue 54, 2025, Pages 627-649]
  • Financial Literacy Investigating factors affecting financial knowledge with an emphasis on the role of ethnic culture and emotional intelligence [Volume 14, Issue 54, 2025, Pages 297-316]
  • Financial Market A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Financial Ratio Meta-analysis of the effect of financial indicators on credit rating [Volume 14, Issue 54, 2025, Pages 505-522]
  • Financial Ratios Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Financial Ratios Explaining the financial health of companies with financial ratios and value creation criteria in investment [Volume 14, Issue 56, 2025, Pages 451-474]
  • Financial Reporting Anomaly Investigating the effect of anomaly criteria in financial reporting on bankruptcy risk in firms listed on the Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 21-46]
  • Financial stress index،Frequency changes،dynamics analysis Crude Oil price impactability from frequency changes of the financial stress index [Volume 14, Issue 56, 2025, Pages 43-70]
  • Financial Technology Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Financial Terms Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Financial words Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Financing Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Financing The effect of financing structure on the creation of liquidity of Tehran Stock Exchange banks [Volume 14, Issue 55, 2025, Pages 279-296]
  • Firm Lifecycle Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Forecasting The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Foreign Direct Investment (FDI) The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • F utures C ontracts Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Fuzzy Delphi Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
G
  • G35 Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Generalized Method of Moments Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • General Patterns A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Genetic capital Designing and explaining the model of the role of genetic capital and social capital of individuals on their economic and financial success in the Iranian capital market [Volume 14, Issue 54, 2025, Pages 591-625]
  • Globalization Presentation of the Nonlinear Model of Financial Development with Emphasis on Globalization in Iran [Volume 14, Issue 53, 2025, Pages 159-177]
  • Golestane Saadi Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Good tax governance A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Granger Causality Investigating the Grangerian causality relationship between digital currency and basic monetary and liquidity variables in Iran [Volume 14, Issue 55, 2025, Pages 259-277]
  • Grounded Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
  • Grounded Theory Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Grounded Theory Financial derivatives and risk management tools; Provide model and explanation by grounded theory method [Volume 14, Issue 54, 2025, Pages 107-128]
  • Grounded Theory Conceptual modeling of the sensitivity of the bank's financial resources to the economic periods of the country: qualitative analysis based on grounded theory [Volume 14, Issue 56, 2025, Pages 429-449]
  • Grounded Theory Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
H
  • Hawkes process The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Higher Moments Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • High-order torques The effect of high-order torques on market pricing efficiency [Volume 14, Issue 56, 2025, Pages 1-20]
  • Human judgments Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
I
  • Image based marketing (GIF marketing) Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • Individual Investors Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Information Disclosure Investigating the impact of corporate governance factors on economic growth in terms of information disclosure in companies listed on Tehran Bahadur Stock Exchange [Volume 14, Issue 55, 2025, Pages 503-530]
  • Information technology investment Feasibility of information technology investment for the development of organizational intelligence [Volume 14, Issue 55, 2025, Pages 757-781]
  • Informed trading Investor sentiment and prevalence of informed trading in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 19-38]
  • Institutional investors Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Institutional Investors Horizon Investigating the effect of the effect of quality of internal controls on Dividend Policy With Emphasis on the moderating role of Institutional Investors Horizon [Volume 14, Issue 54, 2025, Pages 363-380]
  • Intellectual Capital Comprehensive study of the factors affecting the profitability of commercial banks [Volume 14, Issue 53, 2025, Pages 641-661]
  • Intellectual Capital Investigating the effect of the CEO's ability on intellectual capital by considering the moderating variable of job anxiety and the company's life cycle in companies listed on the Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 409-442]
  • Internal audit Artificial intelligence and new technology development in internal audit [Volume 14, Issue 55, 2025, Pages 597-612]
  • Internal marketing Explaining the integrated model of internal marketing with an approach based on investment development in start-ups [Volume 14, Issue 53, 2025, Pages 491-510]
  • International Marketing Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • Interpretive Structural Modeling (ISM) Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Investment Intention Modeling the combination of the theory of planned behavior and the personality Five-Factor Model on invest Intention of Micro shareholders to in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 465-481]
  • Investment Management Education development model based on investment management approach in Mazandaran University [Volume 14, Issue 53, 2025, Pages 597-611]
  • Investor Behavior The Effect of Cognitive Reflection on Behavioral Biases among Investors [Volume 14, Issue 54, 2025, Pages 211-227]
  • Investor Behavior The effect of financial behavior, financial knowledge, financial attitude and individual-social factors on investors' behavior [Volume 14, Issue 55, 2025, Pages 227-242]
  • Investor preferences Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • I nvestors' T endencies and S hort- T erm and L ong- T erm H orizons Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Iran Investigating the effect of credit creation in the banking sector on financial fragility in Iran [Volume 14, Issue 54, 2025, Pages 523-540]
  • Iranian Capital Market Geopolitical risk and financing behavior of companies: Evidence from the Iranian capital market [Volume 14, Issue 55, 2025, Pages 209-226]
  • Islamic Finance Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Islamic Fintech Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Islamic Treasury bills Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
L
  • Level of forward-looking information disclosure Forward-looking information Measurement and its relationship of the level and tone with the futures liquidity of the firms [Volume 14, Issue 56, 2025, Pages 347-372]
  • Leverage Provide a model for assessing credit risk using structural models and debt combinations [Volume 14, Issue 53, 2025, Pages 201-236]
  • Leverage Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Levy process Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Life insurance Analysis of actions and requirements for digital transformation in the development of life insurance [Volume 14, Issue 56, 2025, Pages 95-120]
  • Logit and probit regression Predicting the Probability of Extreme Returns with Volatilities and Risk factors using Logistic regression and Neural Network models [Volume 14, Issue 55, 2025, Pages 557-576]
M
  • M41 Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Machine learning Credit Risk Modeling of Cryptocurrency Market Using Machine Learning: Application to Money Laundering Detection in Bitcoin Transactions [Volume 14, Issue 55, 2025, Pages 531-556]
  • Management Characteristic Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Managers'expectations stickiness The Relationship between Managers ' Expectations Stickiness and Future Stock Returns Considering Corporate Governance Ratings [Volume 14, Issue 54, 2025, Pages 191-210]
  • Marketing strategy Native Marketing Model in Times of Recession [Volume 14, Issue 56, 2025, Pages 121-166]
  • Maximum likelihood method Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Meta Analysis Meta-analysis of the effect of financial indicators on credit rating [Volume 14, Issue 54, 2025, Pages 505-522]
  • Monetary Policy Efficiency The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Money laundering detection Credit Risk Modeling of Cryptocurrency Market Using Machine Learning: Application to Money Laundering Detection in Bitcoin Transactions [Volume 14, Issue 55, 2025, Pages 531-556]
N
  • Nelson-Siegel model Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • Network Analysis Process Prioritization of Effective Factors in Measuring the Quality of Earning According to Specific Market Conditions Using the Network Analysis Process (ANP) and Density-Based Spatial Clustering of Applications with Noise [Volume 14, Issue 54, 2025, Pages 571-590]
  • Noise Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
O
  • Online advertising Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • OPA Explaining the Role of Core Competency on Stock Price Synchronicity [Volume 14, Issue 55, 2025, Pages 373-401]
  • Option Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Ordinary Least Squares Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Organic Behavior Theory Investigating Life Cycle Patterns on Financial Behavior with Organic Approach Theory Approach [Volume 14, Issue 54, 2025, Pages 1-18]
  • Ownership of goverment Role of Government in Financial Reporting Quality: (Test of Efficient Monitoring Hypothesis) [Volume 14, Issue 54, 2025, Pages 161-190]
P
  • Panel data Measuring the relationship between investors' sentiment index and research and development costs with the company's financial performance [Volume 14, Issue 54, 2025, Pages 229-248]
  • Panel Smooth Transition Regression (PSTR) The effect of macroeconomic variables and foreign direct investment in different regimes of inflation rate on economic growth of different economic sectors of the country [Volume 14, Issue 56, 2025, Pages 187-208]
  • Pattern design Designing a financial health model in digital banking [Volume 14, Issue 55, 2025, Pages 727-756]
  • Pay Yar Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Performance evaluation Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
  • Political factors Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Price Cojumps The effect of size and intensity of price cojumps on forecasting index volatility in Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 389-410]
  • Price-to-Income and Market-to-Book ratio Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Probability of Default Provide a model for assessing credit risk using structural models and debt combinations [Volume 14, Issue 53, 2025, Pages 201-236]
  • Profitability Comprehensive study of the factors affecting the profitability of commercial banks [Volume 14, Issue 53, 2025, Pages 641-661]
  • Profitability Investigating the relationship between dividend policy, financial leverage and profitability in companies listed on the Tehran Stock Exchange. [Volume 14, Issue 54, 2025, Pages 443-464]
  • Profitability of cryptocurrencies The effect of cryptocurrency profitability on the amount of deposits attracted and loans paid by banks using the DID approach [Volume 14, Issue 53, 2025, Pages 529-549]
  • Prospect theory A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • Psycho-behavioral factors Identifying and ranking the factors affecting the performance of investors of Tehran Stock Exchange [Volume 14, Issue 55, 2025, Pages 159-187]
  • Purchase Intention Modeling of purchase intention for stock market individual investors [Volume 14, Issue 55, 2025, Pages 347-371]
Q
  • Qualitative study Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
R
  • Random time Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
  • Real Market A Generic Pattern for the Banks’ Investment Management in Monetary and Non-monetary (Real and Capital Assets) Markets [Volume 14, Issue 53, 2025, Pages 1-25]
  • Real Profit Management Provide a model to explain the relationship between real profit management, financial leverage, dividends paid and company value [Volume 14, Issue 55, 2025, Pages 655-674]
  • Reference Point in Prospect Theory A model for adaptive risk aversion preferences in portfolio optimization and prospect theory [Volume 14, Issue 55, 2025, Pages 297-319]
  • Regime switching models Investigating the Empirical Validity of the Adaptive Market Hypothesis Using the Regime switching Approach in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 27-49]
  • Regtech Designing and Compiling the Pattern of Islamic Financial Technology [Volume 14, Issue 56, 2025, Pages 297-327]
  • Return Investor sentiment and prevalence of informed trading in Tehran Stock Exchange [Volume 14, Issue 54, 2025, Pages 19-38]
  • Return moment Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Return prediction Moment-based efficiency prediction model and distribution quartiles of stock efficiency [Volume 14, Issue 53, 2025, Pages 467-489]
  • Risk tolerance Risk-taking and setting financial goals (short-term and long-term) for investors from a neurosocial perspective based on testosterone measurements [Volume 14, Issue 56, 2025, Pages 373-386]
  • Rolling Window Evaluate Higher Moments Portfolio Performance with Respect to Entropy and Rolling Window in Exchange Traded Funds (ETFs) [Volume 14, Issue 55, 2025, Pages 1-20]
S
  • Saffron futures contract Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Sanctions The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Semi-structured interview Investigation of effective variables in saffron futures contract by grounded theory method [Volume 14, Issue 53, 2025, Pages 717-739]
  • Shadow Banking The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Social Capital Designing and explaining the model of the role of genetic capital and social capital of individuals on their economic and financial success in the Iranian capital market [Volume 14, Issue 54, 2025, Pages 591-625]
  • Social responsibility Designing and evaluating the entrepreneurial model of knowledge-based institutions in order to develop their social responsibility [Volume 14, Issue 56, 2025, Pages 475-490]
  • Space-State models The Impact of Financial Development on Monetary Policy Efficiency with Emphasis on Shadow Banking and Sanctions: An Application of the Space-State Model [Volume 14, Issue 54, 2025, Pages 59-82]
  • Specific Stock Returns Investigating the Effect of Management Characteristics on Abnormal Returns and Specific Stock Returns of Companies Listed on the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 309-345]
  • Sports Clubs Investigating the factors affecting the financing of sports clubs and presenting a model based on exploratory analysis [Volume 14, Issue 53, 2025, Pages 263-292]
  • Stock Market Modeling of purchase intention for stock market individual investors [Volume 14, Issue 55, 2025, Pages 347-371]
  • Stock Market Development The interaction between stock market development and moral hazard and adverse selection asymmetric information Based on Probability of Informed Trade [Volume 14, Issue 56, 2025, Pages 387-412]
  • Stock portfolio optimization Simulating the dynamics of the economy and optimizing the portfolio and reducing risk using operating systems [Volume 14, Issue 56, 2025, Pages 167-186]
  • Stock Price Simulating the dynamics of the economy and optimizing the portfolio and reducing risk using operating systems [Volume 14, Issue 56, 2025, Pages 167-186]
  • Stock price synchronization Investigating the Relationship between the Principle of Conformity and Stock Price Synchrony with Emphasis on Environmental Uncertainty [Volume 14, Issue 55, 2025, Pages 243-258]
  • Stock Price Valuation Analysis of the pricing behaviour of capital assets from a noise perspective [Volume 14, Issue 53, 2025, Pages 511-528]
  • S tock P ricing Comparison of Stock Futures Pricing Based on Investors' Tendencies With Short- T erm and Long-Term Horizons [Volume 14, Issue 53, 2025, Pages 613-639]
  • Stock Return The effects of fat-tail return distribution on the relationship between the prospect theory value and future return [Volume 14, Issue 56, 2025, Pages 71-93]
  • Stocks Investigating the risk spillover of cryptocurrency market with domestic financial markets [Volume 14, Issue 53, 2025, Pages 551-574]
  • Strategic Entrepreneurship Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Strategic Management Strategic Entrepreneurship Modeling in the Management of Airport Cities A case study of Imam Khomeini Airport City [Volume 14, Issue 54, 2025, Pages 541-569]
  • Strategy Identifying and ranking the key strategies for the transition to the circular economy based on the enabling role of fintech in small and medium sized companies [Volume 14, Issue 53, 2025, Pages 447-466]
  • SVAR model Investigating the effect of credit creation in the banking sector on financial fragility in Iran [Volume 14, Issue 54, 2025, Pages 523-540]
  • Svensson model Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]
  • Systematic Generalized Method of Moments Measuring the Effects of Financial Inclusion on the Profitability of the Banking Sector in Iran: A System Generalized Method of Moments approach [Volume 14, Issue 54, 2025, Pages 483-503]
  • System Dynamics Presenting the asset and liability management model of the bank based on risk management using the systems dynamics approach [Volume 14, Issue 54, 2025, Pages 129-159]
T
  • Tax Experts A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Tax Governance A Model for Proper Tax Governance System [Volume 14, Issue 55, 2025, Pages 577-596]
  • Tax Terms Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Tax words Classification and explanation of financial and tax words and terms in Golestane Saadi [Volume 14, Issue 56, 2025, Pages 267-296]
  • Technical Analysis Content Analysis of the researches related to technical analysis [Volume 14, Issue 55, 2025, Pages 435-456]
  • Tehran Stock Exchange content in the Big Data Analysis of volatility spillovers of user generated content in the Tehran Stock Exchange [Volume 14, Issue 53, 2025, Pages 663-686]
  • The Crude oil and natural gas business cycle Institutional and individual Investor’s preferences in the Crude Oil and Natural Gas Business Cycle [Volume 14, Issue 53, 2025, Pages 69-88]
  • Threshold effects of financial leverage Investigating the threshold effects of financial leverage on dividends paid and financial returns among listed companies [Volume 14, Issue 54, 2025, Pages 381-408]
  • Tone of forward-looking information disclosure Forward-looking information Measurement and its relationship of the level and tone with the futures liquidity of the firms [Volume 14, Issue 56, 2025, Pages 347-372]
  • Tose’e Taavon Bank Designing and explaining the profit and loss model designing a profit and loss model in the Tose’e Ta’avon Bank based on latent factors [Volume 14, Issue 55, 2025, Pages 403-434]
  • Tourism Hubs investment Designing an Online Advertising Model with an GIF Marketing Approach for Iran’s Tourism Hubs Investment [Volume 14, Issue 55, 2025, Pages 47-63]
  • Trading Company Model of the process of accepting cryptocurrencies in intercompany trade in Iran [Volume 14, Issue 53, 2025, Pages 367-387]
  • Transaction volumes Option pricing of Iranian stock exchange index by time-changed Lévy processes [Volume 14, Issue 53, 2025, Pages 89-110]
V
  • Valuation Hierarchical compilation of valuation indices of central bank digital payment institutions with DELPHI-AHP approach [Volume 14, Issue 56, 2025, Pages 233-266]
  • Value at Risk (VaR) Tail Risk in Bank Sector Using Realized measures and Dynamic Asymmetric Models Abstract [Volume 14, Issue 54, 2025, Pages 39-58]
  • Vector autoregression The interaction between stock market development and moral hazard and adverse selection asymmetric information Based on Probability of Informed Trade [Volume 14, Issue 56, 2025, Pages 387-412]
  • Volatile Markets Investigating the Effect of Imbalance in Algorithmic Trading Orders on Abnormal Stock Return Rates in Turbulent Markets [Volume 14, Issue 55, 2025, Pages 119-158]
W
  • Warning model The effect of financial and economic variables on the systemic risk warning system in Iran's financial market [Volume 14, Issue 54, 2025, Pages 341-362]
Y
  • Yield curve Providing a suitable model the yield curve of Islamic treasury bills with Nelson Siegel and Svensson models in the financial market of Iran [Volume 14, Issue 53, 2025, Pages 687-716]