A
  • Abnormal Stock Returns The role of the competitive strength of the surplus product market on the persistence of abnormal stock returns after the first and last quarterly earnings announcement based on information asymmetry theory. [Volume 16, Issue 61, 2027, Pages 229-245]
  • Acquisition The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • Adapted risk aversion "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Agency theory Analyzing resource-based agency theories in explaining the role of digital transformation on the gender diversity of the board of directors and financial distress: Evidence from companies listed on the Tehran Stock Exchange. [Volume 16, Issue 62, 2027, Pages 217-231]
  • Agriculture supply chain Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Antifragility Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Artificial Bee Colony Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Artificial intelligence competencies The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Asymmetry Investigating the Asymmetric Effects of Exchange Rate Flexibility on the Stock Price Index in Iran [Volume 16, Issue 61, 2027, Pages 267-292]
  • Audit quality Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
B
  • Bank business model Bank business model with emphasis on social economic factors [Volume 16, Issue 63, 2027, Pages 277-297]
  • Banking system The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
  • Behavioral Finance The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Bibliometric The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Black-Scholes model Option Pricing Based on Information-Based Model [Volume 16, Issue 61, 2027, Pages 1-26]
  • Blockchain The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Blockchain Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
  • Blockchain Investment The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Blockchain value The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • Board independence Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
  • Business Continuity Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Business risk management The effect of business risk management in reducing financing cost by considering the role of financial reporting quality [Volume 16, Issue 63, 2027, Pages 119-141]
C
  • Capital Market Crisis The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Cash flow test and Equity investment funds Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
  • CEO Power and accounting comparability Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
  • Choosing the optimal stock portfolio Providing a suitable model for choosing the optimal stock portfolio with gray analysis approach in listed companies (case study of petrochemical companies) [Volume 16, Issue 61, 2027, Pages 83-104]
  • Cognitive Biases The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Competitive advantage The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Conceptual model Development of a paradigm model of financial resilience in the water industry by the method of foundation data theory [Volume 16, Issue 61, 2027, Pages 623-637]
  • Conditional Value at Risk Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Confirmatory Factor Analysis Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
  • Corporate Governance The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
D
  • Decision making Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Decision Support System (DSS) Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Dynamic financial analysis Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
E
  • Economic Stress Scenarios Predicting the Financial Solvency of Insurance Companies under Economic Stress Scenarios Using Machine Learning Algorithms [Volume 16, Issue 64, 2027, Pages 621-644]
  • Emotional biases The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
  • Ethics Presenting a conceptual model of influencing factors on the development of the professional ethics of auditors of the state tax affairs administration [Volume 16, Issue 61, 2027, Pages 63-82]
F
  • Financial Behavior Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Financial Criteria Explaining effect of financial criteria on the stock prices synchronicity [Volume 16, Issue 61, 2027, Pages 173-192]
  • Financial Literacy financial literacy and Money Scripts in the context of financial therapy concepts [Volume 16, Issue 62, 2027, Pages 105-123]
  • Financial Literacy Antecedents and Consequences of Developing Financial Literacy among Students in Iran Using a Mixed Method [Volume 16, Issue 64, 2027, Pages 575-596]
  • Financial Performance Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Financial Resilience Development of a paradigm model of financial resilience in the water industry by the method of foundation data theory [Volume 16, Issue 61, 2027, Pages 623-637]
  • Financial Risk Tolerance Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Financing Investigating the impact of the effective factors on the suitable tawarrug bonds model for housing financing in Iran [Volume 16, Issue 61, 2027, Pages 293-321]
  • Financing cost The effect of business risk management in reducing financing cost by considering the role of financial reporting quality [Volume 16, Issue 63, 2027, Pages 119-141]
  • Forecasting Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
  • Forecasting Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Foreign currency fluctuations Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Fractal Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
  • Fuzzy AHP A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Fuzzy Inference A Systemic Model of Social Banking Innovation Process with a Digital Transformation Approach [Volume 16, Issue 62, 2027, Pages 33-59]
  • Fuzzy semi-entropy risk measure "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Fuzzy TOPSIS A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
G
  • Game theory Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Genetic Algorith Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Genetic algorithm "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
  • Government Intervention Presenting a prediction model for the formation of zombie companies, emphasizing the role of the government and the quality of profit, a test of political economy theory [Volume 16, Issue 64, 2027, Pages 43-63]
  • Grounded Theory The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
H
  • Hedging Conceptualization and operationalization of asset debt management mechanisms in equity investment funds [Volume 16, Issue 62, 2027, Pages 61-84]
  • Herding Survey of the Herding behavior model in investment decision on emerging markets [Volume 16, Issue 63, 2027, Pages 23-39]
  • Hurst Fractal Analysis of Cryptocurrencies Market using the R/S method [Volume 16, Issue 61, 2027, Pages 153-171]
I
  • Idea Commercialization The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
  • Information-Based Model Option Pricing Based on Information-Based Model [Volume 16, Issue 61, 2027, Pages 1-26]
  • Interpretive Structural Modeling Assessment of the importance of influencing factors on popular behavior in mutual investment funds and the relationships between them based on interpretive structural modeling [Volume 16, Issue 62, 2027, Pages 171-191]
  • Investment decision Survey of the Herding behavior model in investment decision on emerging markets [Volume 16, Issue 63, 2027, Pages 23-39]
  • Investment in agriculture Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Investors Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Iranian Stock Market Predicting the financial behavior of investors: a foundational data theory approach [Volume 16, Issue 62, 2027, Pages 1-32]
  • Iran's capital market Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
K
  • Keywords: Behavioral Bias Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Keywords: Meta-innovative models Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Knowledge-based Firms A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
L
  • Life settlements Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Lifestyle Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
M
  • Machine learning Predicting the Financial Solvency of Insurance Companies under Economic Stress Scenarios Using Machine Learning Algorithms [Volume 16, Issue 64, 2027, Pages 621-644]
  • Mass Behavior Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Merger The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • MGARCH Model Contagion risk of turbulence caused by the release of good and bad news in the accepted banks of Tehran Stock Exchange with MGARCH model approach [Volume 16, Issue 61, 2027, Pages 27-44]
  • Mic-mack Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Mission-based Regulation, Risk-Based Supervision, Universal Banking, Concentration Risk, Specialized banks Comparative Analysis of the Banking Regulatory Framework in Iran: Critique of the Mission-Oriented Model in Light of Inclusive Banking and Risk-Based Supervision [Volume 16, Issue 64, 2027, Pages 531-548]
  • Mixed Approach Bank business model with emphasis on social economic factors [Volume 16, Issue 63, 2027, Pages 277-297]
  • Momentum" Investigating excess returns in single- criterion and combined momentum-based investment strategies in Tehran Stock Exchange [Volume 16, Issue 61, 2027, Pages 131-152]
  • Money Scripts financial literacy and Money Scripts in the context of financial therapy concepts [Volume 16, Issue 62, 2027, Pages 105-123]
  • Monte Carlo simulation Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Multi-period portfolio optimization "A Dynamic Multi-Period Portfolio Optimization Model Considering Investors' Attitudes towards Risk and Risk Aversion" [Volume 16, Issue 62, 2027, Pages 85-103]
N
O
  • Optimization Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Optimization methods Risk management of foreign currency fluctuations using the multi-objective optimization method of Artificial Bee Colony based on the CVaR [Volume 16, Issue 62, 2027, Pages 151-169]
  • Organizational Performance The impact of artificial intelligence competencies on organizational performance and competitive advantage of investment with emphasis on marketing capabilities [Volume 16, Issue 63, 2027, Pages 99-117]
  • Ownership decisions Explaining the role of ownership decisions on the influence of industrial factors on stock prices [Volume 16, Issue 61, 2027, Pages 45-61]
  • Ownership Structure Investigating relationship between CEO Power and accounting comparability with regard to moderating role corporate governance mechanisms and audit quality [Volume 16, Issue 61, 2027, Pages 105-129]
P
  • Panel data The role of corporate governance in creating liquidity in the country's banking system [Volume 16, Issue 64, 2027, Pages 123-144]
  • Popular Behavior Assessment of the importance of influencing factors on popular behavior in mutual investment funds and the relationships between them based on interpretive structural modeling [Volume 16, Issue 62, 2027, Pages 171-191]
  • Portofolio Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
  • Price of insurance Model of insurance for the investment in the agriculture supply chain using game theory [Volume 16, Issue 61, 2027, Pages 193-214]
  • Product market competitiveness The role of the competitive strength of the surplus product market on the persistence of abnormal stock returns after the first and last quarterly earnings announcement based on information asymmetry theory. [Volume 16, Issue 61, 2027, Pages 229-245]
  • Professional ethics Presenting a conceptual model of influencing factors on the development of the professional ethics of auditors of the state tax affairs administration [Volume 16, Issue 61, 2027, Pages 63-82]
Q
  • Qualitative Model of Behavioral Finance The Qualitative Model of Behavioral Finance from the Perspective of Emotional and Cognitive Biases in Iran's Capital Ma [Volume 16, Issue 62, 2027, Pages 125-150]
R
  • Resource allocation Designing a decision support system for allocating banking resources with a genetic algorithm approach [Volume 16, Issue 62, 2027, Pages 419-448]
  • Return Distribution Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
S
  • Secondary market Pricing life settlements in the secondary market for the insured with cancer based on the amount of healthy lifestyle score [Volume 16, Issue 64, 2027, Pages 65-89]
  • Social banking A Systemic Model of Social Banking Innovation Process with a Digital Transformation Approach [Volume 16, Issue 62, 2027, Pages 33-59]
  • Startups The commercialization model of technology-based startups - a review of technology-based startups in Iran [Volume 16, Issue 61, 2027, Pages 459-478]
  • Stock Price Index Investigating the Asymmetric Effects of Exchange Rate Flexibility on the Stock Price Index in Iran [Volume 16, Issue 61, 2027, Pages 267-292]
  • Stock Price Synchronicity Explaining effect of financial criteria on the stock prices synchronicity [Volume 16, Issue 61, 2027, Pages 173-192]
  • Structural-Interpretive Approach Presenting the financial risk tolerance model of investors in the Iranian capital market with an emphasis on the structural-interpretive approach [Volume 16, Issue 62, 2027, Pages 581-606]
  • Supply chain Identifying the optimal dimensions of meta-innovative models in risk management [Volume 16, Issue 61, 2027, Pages 607-621]
  • Supply chain financing (SCF) Systematic literature review and meta-analysis of credit policies in supply chain financing in small and medium enterprises (SMEs). [Volume 16, Issue 62, 2027, Pages 193-215]
  • Syndicated loan Using Blockchain infrastructure to decrease information asymmetry in syndicated loans with qualitative thematic analysis method [Volume 16, Issue 63, 2027, Pages 1-22]
T
  • Tehran Stock Exchange Companies Providing a model for mass behavior in investor decision-making in investment companies on the Tehran Stock ExchangeArdalan Rajabi, Ataollah Mohammadi Melgharni, Mohsen Hamidian [Volume 16, Issue 63, 2027, Pages 41-73]
  • Trend analysis The Value of Investing in Blockchain Technology by Bibliometric Method [Volume 16, Issue 64, 2027, Pages 91-122]
  • TSE Examining the relationship between antifragility with financial performance and business continuity of banks listed in Tehran Stock Exchange. [Volume 16, Issue 63, 2027, Pages 75-97]
  • Type of financial narrative, credibility of the content of financial reports JEL: C52،M42،M40،D21 Designing a Structural Model of the Impact of Financial Narrative Disclosure on the Credibility of Financial Reports [Volume 16, Issue 64, 2027, Pages 549-573]
V
  • Valuation The effect of Information uncertainty and Company features on the valuation of the target company in the merger and acquisition [Volume 16, Issue 61, 2027, Pages 247-265]
  • Valuation A Comprehensive Approach To The Valuation Of Knowledge-Based Firms by Unifying Entrepreneurship and Investment Criteria [Volume 16, Issue 62, 2027, Pages 233-265]
  • Value at risk Investment portfolio based on value at risk (VaR) and conditional value at risk (CVaR) with emphasis on the role of return distribution [Volume 16, Issue 64, 2027, Pages 1-16]
Z
  • Zombie companies Presenting a prediction model for the formation of zombie companies, emphasizing the role of the government and the quality of profit, a test of political economy theory [Volume 16, Issue 64, 2027, Pages 43-63]