A
  • Agency cost Explaining the pattern of financial helplessness in companies admitted to the Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 465-482]
  • Agriculture and related services group companies Investigating the effect of internal actions of the green supply chain on financial performance with the mediating role of environmental cooperation of the supply chain and green human resources management in the companies of the agriculture and rela [Volume 15, Issue 59, 2026, Pages 295-318]
  • Anomaly Risk Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • Artificial Intelligence Algorithm Analysis of the emotional behavior of risk-taking and risk-averse investors in the stock portfolio [Volume 15, Issue 60, 2026, Pages 265-290]
  • Artificial Neural Networks Testing the measurement power of neural network techniques and data mining techniques in predicting financial distress [Volume 15, Issue 59, 2026, Pages 187-218]
  • Auditor's Reputation Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
  • Audit risk Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
B
  • Banking Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Banking Industry Providing a Pattern for the development of green financing based on the role of the Iranian banking industry for the transition to a Circular Economy [Volume 15, Issue 59, 2026, Pages 27-47]
  • Banking system Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Bank Stability Liquidity risk and credit risk on the stability of public and private banks and providing an appropriate model [Volume 15, Issue 57, 2026, Pages 249-273]
  • Bayesian Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Behavioral Biases Stock price fluctuations and investors affected by cognitive biases, aversion to change, representative, Perception and mental accounting [Volume 15, Issue 60, 2026, Pages 79-99]
  • Behavioral pattern of decision making Providing a model for identifying fraud in financial statements Based on psychological components through grounded theory and metacomposition [Volume 15, Issue 57, 2026, Pages 351-380]
  • Blockchain Non-inflationary financing Housing Construction Supply Chain Based on Permissioned Blockchain Supply Chain [Volume 15, Issue 58, 2026, Pages 391-415]
  • Blockchain Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Business risk The effect of firm risk on risk sentiment in the annual reports of companies using static and dynamic models [Volume 15, Issue 60, 2026, Pages 417-441]
  • Business Strategy Business Strategy and Labor Investment Efficiency [Volume 15, Issue 57, 2026, Pages 75-92]
C
  • Calibration Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • CCR The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • Cellular automata Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • CEO The effect of the CEO's Narcissism on Zombie Firms Performance : A Test of Upper Echelons Theory [Volume 15, Issue 59, 2026, Pages 473-489]
  • CLASS model Employment of CLASS and DFAST models in financial stability assessment in the banking system of IRAN in crisis situation [Volume 15, Issue 58, 2026, Pages 289-326]
  • Coding Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Cognitive Biases Stock price fluctuations and investors affected by cognitive biases, aversion to change, representative, Perception and mental accounting [Volume 15, Issue 60, 2026, Pages 79-99]
  • Competitiveness The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Comprehensive Risk Management Providing a behavioral model of comprehensive risk management in the Iranian capital market based on meta-composition and grounded theory approaches [Volume 15, Issue 57, 2026, Pages 531-556]
  • Conditional Value at Risk Systemic risk spillover between OPEC crude oil, Tehran Stock Exchange index and exchange rate [Volume 15, Issue 58, 2026, Pages 1-22]
  • Conditional Value at Risk Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
  • Conditional Value at Risk Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Consumption index The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Copula Functions Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
  • Corporate Governance Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Corporate Governance Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Credit default swap valuation Bilateral Risk Valuation of Credit Default Swap Contracts: Under multivariate Variance Gamma Process with flexible dependence structure [Volume 15, Issue 58, 2026, Pages 87-108]
  • Credit portfolio Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • Crisis Events Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
D
  • DCC Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
  • Decisions Identifying factors affecting capital budgeting decisions (case study: Iran National Steel Company) [Volume 15, Issue 59, 2026, Pages 455-472]
  • Decision tree Validation of the decision tree algorithm in predicting financial helplessness: combining judgmental methods and quantitative methods of reducing variables [Volume 15, Issue 58, 2026, Pages 191-222]
  • Digital currencies Evaluating the Relationship between Digital Currencies and Stock Market Indices (VAR Regression Approach) [Volume 15, Issue 57, 2026, Pages 119-141]
  • Disclosure Quality Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Distributionally Robust Portfolio Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
E
  • Early Warning Systems(EWS) Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Ease of Doing Business The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Employment Business Strategy and Labor Investment Efficiency [Volume 15, Issue 57, 2026, Pages 75-92]
  • EMS Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • Equity risk adjustment degree Portfolio optimization with a degree of stock risk adjustment based on performance measurement model [Volume 15, Issue 58, 2026, Pages 23-42]
  • Exotic Options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
  • Extreme Value Theory Comparison of the Combined GARCH-EVT-Vine-Copula Model in Optimizing the Portfolio of Financial Assets in the Stock Market Compared to Conventional Models with the Possibility of Changing Portfolio Assets [Volume 15, Issue 60, 2026, Pages 27-60]
F
  • Financial Constraints Examining how digital transformation effects the speed of dynamic capital structure adjustments [Volume 15, Issue 59, 2026, Pages 273-294]
  • Financial Distress Explaining the pattern of financial helplessness in companies admitted to the Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 465-482]
  • Financial Intermediaries Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Financial Literacy Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Financial systems, bank assets and liabilities The trend of banks' disharmony in financial systems, factors, effects and solutions [Volume 15, Issue 59, 2026, Pages 319-332]
  • Financial Technology Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Financing Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • Financing Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Fin Tech Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Foreign currency fluctuations Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Fraud in financial statements Providing a model for identifying fraud in financial statements Based on psychological components through grounded theory and metacomposition [Volume 15, Issue 57, 2026, Pages 351-380]
G
  • GMM Classification The Ability to Predict Stock Returns Using Micro and Macro Indices: a Comparison of Two Regression Methods, Midas and Generalized Formulas. [Volume 15, Issue 59, 2026, Pages 49-72]
  • Governance System Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Gross Domestic Product The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Grounded Theory Providing a strategic model for the use of financial technology in the Iranian electronic banking industry [Volume 15, Issue 57, 2026, Pages 163-185]
  • Grounded Theory Presenting the tax capacity model of the country [Volume 15, Issue 57, 2026, Pages 427-452]
  • Grounded Theory Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
H
  • Historical Simulation Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Holding Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • Hybridization Providing a Conceptual Model of Risk Management with a Resilience Approach [Volume 15, Issue 60, 2026, Pages 169-196]
I
  • Improving Political Uncertainty The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Income diversification The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • Individual characteristics Providing a prediction model for investment decision based on the individual characteristics of investors [Volume 15, Issue 57, 2026, Pages 275-305]
  • Information Salience Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • Interface System Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Internal Control Determining the Importance of Audit Risk Factors with the Approach of Fuzzy Hierarchical Analysis [Volume 15, Issue 59, 2026, Pages 137-157]
  • Internal Control Presenting the application model of using blockchain on performance in the banking industry from the perspective of corporate governance [Volume 15, Issue 60, 2026, Pages 101-119]
  • Internal Green Supply Chain Practices Investigating the effect of internal actions of the green supply chain on financial performance with the mediating role of environmental cooperation of the supply chain and green human resources management in the companies of the agriculture and rela [Volume 15, Issue 59, 2026, Pages 295-318]
  • Internet Stock Trading The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Interpretive Structural Modeling A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • Investment behavior Providing Investor Behavior Model for Investment Portfolio Risk Management [Volume 15, Issue 57, 2026, Pages 307-329]
  • Investors Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Investors Loss Aversion Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • Investors Self-control Bias Evaluating the relationship information ambiguity and Information Shock corporate with investor behavior bias [Volume 15, Issue 60, 2026, Pages 291-319]
  • Iran Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • Iran National Steel Company Identifying factors affecting capital budgeting decisions (case study: Iran National Steel Company) [Volume 15, Issue 59, 2026, Pages 455-472]
  • Islamic Financial Instruments Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
K
  • Keywords: behavior herding Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Keywords: Meta-innovative models Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Kl divergence metric Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
L
  • Lend Tech Identifying the elements of the partner system in the Lend Tech model in banking system of Iran [Volume 15, Issue 58, 2026, Pages 223-244]
  • Lookback options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
M
  • Machine learning Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Macroeconomic variables Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • Market timing Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
  • Markov model The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Markov Switching Investigating the Factors Affecting Foreign Direct Investment in Iran by Markov Switching Method [Volume 15, Issue 58, 2026, Pages 65-85]
  • Meta-synthesis A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • MGARCH Model Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
  • Model presentation Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
  • Momentum Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • Momentum Spread Investigating the Prediction of Anomaly Risk by Momentum Age in Tehran Stock Exchange [Volume 15, Issue 57, 2026, Pages 93-118]
  • Monte Corlo Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Multi-currency hedging Risk management of foreign currency fluctuations based on the natural effect of multi-currency cross-hedging [Volume 15, Issue 60, 2026, Pages 61-77]
  • Mutual Investment Funds Examining the Picking and Timing skills of managers of mutual investment funds in Iran: Panel Smooth Transition Regression (PSTR) [Volume 15, Issue 60, 2026, Pages 141-167]
O
  • Optimal Allocation of Financial Resources Optimal allocation of financial resources based on effective factors in the banking industry [Volume 15, Issue 57, 2026, Pages 43-73]
  • Optimal Capital Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • Optimization Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Options The Jurisprudential and Economic Analysis of Lookback Option: An Innovative Tool for Islamic Capital Market Development [Volume 15, Issue 58, 2026, Pages 441-469]
P
  • Perceived Benefits The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Perceived Environmental Uncertainties The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Performance measurement model Portfolio optimization with a degree of stock risk adjustment based on performance measurement model [Volume 15, Issue 58, 2026, Pages 23-42]
  • Perpetual Sukuk Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Petrochemical and Chemical Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Political communication Analysis of behavior herding with the effects of political communication, disclosure quality, exchange rate and inflation among the investors in the Tehran Stock Exchange market [Volume 15, Issue 59, 2026, Pages 431-453]
  • Profitability Providing a model to increase the profitability of small and medium businesses based on digital transformation [Volume 15, Issue 60, 2026, Pages 197-248]
  • PSO Distributionally Robust Portfolio Optimization with Rachev ratio using KL divergence [Volume 15, Issue 60, 2026, Pages 249-264]
  • Psychological characteristics Providing a prediction model for investment decision based on the individual characteristics of investors [Volume 15, Issue 57, 2026, Pages 275-305]
  • Public Debt Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
Q
  • Qualitative Method Stock portfolio management based on market timing approach and prioritization of components and model extraction using structural equations [Volume 15, Issue 57, 2026, Pages 483-502]
R
  • Risk Providing Investor Behavior Model for Investment Portfolio Risk Management [Volume 15, Issue 57, 2026, Pages 307-329]
S
  • Securitization Feasibility issuing Islamic perpetual bonds for securitization of government debts [Volume 15, Issue 59, 2026, Pages 387-405]
  • Semi-structured interview Providing An Integrated Model For The Governance System Of Holdings [Volume 15, Issue 60, 2026, Pages 479-500]
  • SFA The impact of bank income diversity on risk efficiency and cost efficiency [Volume 15, Issue 58, 2026, Pages 109-140]
  • Shadow economy The relationship between the shadow economy and the factors of competitiveness in developed and developing oil countries [Volume 15, Issue 58, 2026, Pages 414-168]
  • Social Cognitive Theory The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
  • Social commerce A Model for Investment in Online Social Commerce to build Customer Loyalty: A Mixed Approach. [Volume 15, Issue 59, 2026, Pages 73-110]
  • Stock Market Design and Development of an Early Warning System(EWS) Based on Machine Learning Models to Predict Global Crisis Events in Stock Markets [Volume 15, Issue 57, 2026, Pages 187-222]
  • Stock Market Systemic risk spillover between OPEC crude oil, Tehran Stock Exchange index and exchange rate [Volume 15, Issue 58, 2026, Pages 1-22]
  • Stock Market Investigating risk management and securing investment in oil and gas companies active in the Tehran Stock Exchange market [Volume 15, Issue 58, 2026, Pages 615-628]
  • Stock Portfolio Analysis of the emotional behavior of risk-taking and risk-averse investors in the stock portfolio [Volume 15, Issue 60, 2026, Pages 265-290]
  • Stock Price The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Stock Price Calibration of the impact interval of macroeconomic indicators on the price of stock transactions in the Iranian stock market using the cellular automata algorithm. [Volume 15, Issue 60, 2026, Pages 321-339]
  • Stock Returns The Ability to Predict Stock Returns Using Micro and Macro Indices: a Comparison of Two Regression Methods, Midas and Generalized Formulas. [Volume 15, Issue 59, 2026, Pages 49-72]
  • Stock Returns Origins and consequences related to the amount of balanced corporate sustainability reporting [Volume 15, Issue 60, 2026, Pages 341-367]
  • Structural break The Break of mean and stock market price volatility before and after the JCPOA [Volume 15, Issue 58, 2026, Pages 245-264]
  • Supply chain Modeling the Supply Chain Risks of Oil-Petrochemical and Chemical Industries (Bayesian Models Averaging and weighted least squares approach) [Volume 15, Issue 57, 2026, Pages 381-406]
  • Supply chain Non-inflationary financing Housing Construction Supply Chain Based on Permissioned Blockchain Supply Chain [Volume 15, Issue 58, 2026, Pages 391-415]
  • Supply chain Identifying dimensions and components of production chain financing [Volume 15, Issue 60, 2026, Pages 569-591]
  • Systemically risk quantitative models Presenting the rating model Iranian systemically Important Banks with the method of Delta Conditional Value at Risk - DCC-tstudent - MGARCH approach [Volume 15, Issue 59, 2026, Pages 1-25]
T
  • Tax Capacity Presenting the tax capacity model of the country [Volume 15, Issue 57, 2026, Pages 427-452]
  • Theme Analysis Identifying indicators affecting the financing of the mining sector in Iran [Volume 15, Issue 58, 2026, Pages 825-856]
  • Tourist Arrivals The Impact of improving Political Uncertainty on the Arrival of Tourists with the mediating Role of Economic Growth, Consumption Index, Control of Currency Fluctuations [Volume 15, Issue 57, 2026, Pages 1-19]
  • Trust The Effects of Different Dimensions of Perceived Uncertainties Regarding the adoption of Online Stock Trading in the Iranian Capital Market [Volume 15, Issue 59, 2026, Pages 249-272]
V
  • Value at risk Estimation of the value at risk for insurance companies in the stock exchange with a capital requirement approach plus additional amount (observer limits) and economic capital approach [Volume 15, Issue 57, 2026, Pages 21-42]
  • VAR Optimizing the bank's credit portfolio based on the credit assessment method [Volume 15, Issue 60, 2026, Pages 1-26]
  • VAR regression Evaluating the Relationship between Digital Currencies and Stock Market Indices (VAR Regression Approach) [Volume 15, Issue 57, 2026, Pages 119-141]
Z
  • Zombie Firms The effect of the CEO's Narcissism on Zombie Firms Performance : A Test of Upper Echelons Theory [Volume 15, Issue 59, 2026, Pages 473-489]