A
  • Accounting Procedures “Financial Decision Scenario Planning Using an AI Model Based on Accounting Procedures: A Multiple‑Simulation Approach” [Volume 17, Issue 65, 2028, Pages 587-607]
  • Aggressive Tax Policies Modeling Aggressive Tax Policies Dynamic Variable Selection Markov Chain Monte Carlo Simulation [Volume 17, Issue 66, 2028, Pages 169-190]
  • Artificial Intelligence “Financial Decision Scenario Planning Using an AI Model Based on Accounting Procedures: A Multiple‑Simulation Approach” [Volume 17, Issue 65, 2028, Pages 587-607]
  • Artificial Intelligence Presenting a Hybrid Model of Artificial Intelligence and Knowledge Management in Corporate Governance A Qualitative Study (Case Study; In MAPNA Company) [Volume 17, Issue 66, 2028, Pages 191-224]
  • Audit Fees Matrix ranking of the impact of corporate governance and financial and operational criteria on audit fees of companies listed on the Tehran Stock Exchange [Volume 17, Issue 65, 2028, Pages 525-542]
  • Auditor Presenting a model to explain the relationship between the components of emotional intelligence and the auditor's moral judgment, taking into account the character trait of conscientiousness (responsibility) [Volume 17, Issue 66, 2028, Pages 59-78]
B
  • Bank Investigating the impact of the financing structure and the market power of Iranian banks on the creation of liquidity by using the meta-heuristic model [Volume 17, Issue 65, 2028, Pages 631-654]
  • Banking Identifying profitability and income indicators and their impact on financial performance in private banks [Volume 17, Issue 65, 2028, Pages 47-62]
  • Banking and non presented the Lendtech implementation model in the banking and non-banking network in Iran [Volume 17, Issue 65, 2028, Pages 411-427]
  • Bank risk Developing a Reputation Risk Model in the Iranian Banking System [Volume 17, Issue 66, 2028, Pages 423-444]
  • Bayesian principal component method (BPCA) Systemic risk modeling in Iran's banking system based on Bayesian principal component approach (BPCA) [Volume 17, Issue 66, 2028, Pages 579-614]
  • Behavioral bias Identifying and ranking behavioral biases of real stock market shareholders using a fuzzy Delphi approach [Volume 17, Issue 65, 2028, Pages 507-524]
  • Blank Check Company Designing the Legal Structure and Payment System of Special Purpose Acquisition Companies (SPAC) for the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 79-98]
  • Blockchain Presenting a Model of Tokenization of Real Estate in Iran Based on Grounded Theory [Volume 17, Issue 65, 2028, Pages 463-506]
  • Blockchain Designing a Decentralized Framework for International Financial Transfers Based on Smart Contracts and Intelligent Monitoring [Volume 17, Issue 66, 2028, Pages 347-370]
  • Brand Influence Importance of brand influence and focus on Participatory economics to change consumer behavior [Volume 17, Issue 65, 2028, Pages 543-565]
C
  • Capital Structure Examining the Impact of Liquidity and Financial Leverage on Financial Reporting Quality of Commercial Companies with an Emphasis on the Moderating Role of Cloud Accounting [Volume 17, Issue 66, 2028, Pages 615-640]
  • Cash flows Investment sensitivity to cash flow with respect to information disclosure and corporate governance. [Volume 17, Issue 66, 2028, Pages 445-464]
  • CEO Power The Impact of CEO Power on Financial Performance in the Digital Economy: The Moderating Role of Financial Constraints in Tehran Stock Exchange Banks [Volume 17, Issue 65, 2028, Pages 609-629]
  • Cloud Accounting Examining the Impact of Liquidity and Financial Leverage on Financial Reporting Quality of Commercial Companies with an Emphasis on the Moderating Role of Cloud Accounting [Volume 17, Issue 66, 2028, Pages 615-640]
  • Collapse Risk Investigating the Relationship Between Group Shareholders' Behavior and the Synchronization of Stock Price Changes with the Risk of Stock Price Collapse [Volume 17, Issue 66, 2028, Pages 147-168]
  • Consumer behavior Importance of brand influence and focus on Participatory economics to change consumer behavior [Volume 17, Issue 65, 2028, Pages 543-565]
  • Corporate Governance Presenting a Hybrid Model of Artificial Intelligence and Knowledge Management in Corporate Governance A Qualitative Study (Case Study; In MAPNA Company) [Volume 17, Issue 66, 2028, Pages 191-224]
  • Corporate Governance Investment sensitivity to cash flow with respect to information disclosure and corporate governance. [Volume 17, Issue 66, 2028, Pages 445-464]
  • Corporate governance characteristics Matrix ranking of the impact of corporate governance and financial and operational criteria on audit fees of companies listed on the Tehran Stock Exchange [Volume 17, Issue 65, 2028, Pages 525-542]
  • Corporate Policies Modeling the Financial Determinants of Corporate Investment Behavior [Volume 17, Issue 66, 2028, Pages 117-146]
  • Corporate social responsibility Is Corporate Social Responsibility negatively associated with Default Risk? [Volume 17, Issue 65, 2028, Pages 173-196]
  • COSO standard A comparative study of enterprise risk management on the financial performance of banks, investment and insurance companies: Approaches based on the COSO standard and performance data [Volume 17, Issue 66, 2028, Pages 287-316]
  • Cost of Capital Evaluation and comparison of three pricing models of conditional, reward and adjustment capital assets with the standard model in explaining the cost of capital [Volume 17, Issue 65, 2028, Pages 141-171]
  • Cost of Capital Investigating the relationship between asset growth and the company's cost of capital with tax avoidance considering the role of Tobin's Q criterion [Volume 17, Issue 65, 2028, Pages 305-324]
  • Covid-19 the effects of Hormones and Genetic Variations on financial market stability and trader performance by regarding role of COVID-19 [Volume 17, Issue 65, 2028, Pages 567-585]
D
  • Default risk Is Corporate Social Responsibility negatively associated with Default Risk? [Volume 17, Issue 65, 2028, Pages 173-196]
  • DeFi A Conceptual Framework for Decentralized Finance with Emphasis on Risk Management: A Mixed-Methods Study [Volume 17, Issue 66, 2028, Pages 317-346]
  • Dollar Return Measuring Parametric Value at Risk with Leptokurtic Distribution for Dollar and Gold in Terms of Rial [Volume 17, Issue 65, 2028, Pages 273-303]
  • Dynamic Scaling Dynamic scaled momentum strategies in Tehran stock exchange [Volume 17, Issue 65, 2028, Pages 227-249]
  • Dynamic Variable Selection Markov Chain Monte Carlo Simulation Modeling Aggressive Tax Policies Dynamic Variable Selection Markov Chain Monte Carlo Simulation [Volume 17, Issue 66, 2028, Pages 169-190]
E
  • Economic Model The Role of data-driven economy in financial markets from the perspective of knowledge and presenting a proposed model [Volume 17, Issue 65, 2028, Pages 63-86]
  • Economic policies Presenting a Model of Factors Affecting Investment Inefficiency in Conditions of Economic Policy Uncertainty in the Iranian Economic Environment [Volume 17, Issue 66, 2028, Pages 99-116]
  • Economic policy uncertainty Presenting a Model of Factors Affecting Investment Inefficiency in Conditions of Economic Policy Uncertainty in the Iranian Economic Environment [Volume 17, Issue 66, 2028, Pages 99-116]
  • Electronic business Developing an electronic business model in the insurance industry with a futures research approach [Volume 17, Issue 65, 2028, Pages 197-225]
  • Enterprise Risk Management A comparative study of enterprise risk management on the financial performance of banks, investment and insurance companies: Approaches based on the COSO standard and performance data [Volume 17, Issue 66, 2028, Pages 287-316]
  • Entropy and Risk Optimal Multi-period Portfolio Selection Based on K-Nearest Neighbor Entropy of Renyi and Tsallis [Volume 17, Issue 66, 2028, Pages 465-490]
  • External factors Modeling the Financial Determinants of Corporate Investment Behavior [Volume 17, Issue 66, 2028, Pages 117-146]
F
  • Financial Constraint Investigating the effect of political uncertainty on the choice of debt sources with an emphasis on the role of financial constraints: a test of political economy theory in Tehran Stock Exchange. [Volume 17, Issue 65, 2028, Pages 25-46]
  • Financial Constraints The Impact of CEO Power on Financial Performance in the Digital Economy: The Moderating Role of Financial Constraints in Tehran Stock Exchange Banks [Volume 17, Issue 65, 2028, Pages 609-629]
  • Financial Literacy Developing a Financial Literacy Model for Investors in the Capital Market Using a Meta-Synthesis Approach [Volume 17, Issue 66, 2028, Pages 245-286]
  • Financial Literacy Designing a financial literacy system in the digital economy with a value creation approach [Volume 17, Issue 66, 2028, Pages 509-531]
  • Financial Performance Identifying profitability and income indicators and their impact on financial performance in private banks [Volume 17, Issue 65, 2028, Pages 47-62]
  • Financial Systems Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [Volume 17, Issue 66, 2028, Pages 225-244]
  • Financial Technology presented the Lendtech implementation model in the banking and non-banking network in Iran [Volume 17, Issue 65, 2028, Pages 411-427]
  • Financial Transparency Developing a Model for Tax Evasion and Money Laundering and Examining Its Consequences [Volume 17, Issue 65, 2028, Pages 325-350]
  • Financial Transparency A Conceptual Framework for Decentralized Finance with Emphasis on Risk Management: A Mixed-Methods Study [Volume 17, Issue 66, 2028, Pages 317-346]
  • Financing Investigating the impact of the financing structure and the market power of Iranian banks on the creation of liquidity by using the meta-heuristic model [Volume 17, Issue 65, 2028, Pages 631-654]
  • Firm Activity Modeling the Financial Determinants of Corporate Investment Behavior [Volume 17, Issue 66, 2028, Pages 117-146]
  • Forecast System Dynamics of Profit Forecasting of Oil Refining Companies Listed on the Tehran Stock Exchange with a Quantum Mechanics Approach [Volume 17, Issue 66, 2028, Pages 557-578]
  • Fraudulent Financial Reporting برازش مدل پیش‌بینی فرار مالیاتی از منظر گزارشگری مالی متقلبانه در بین مودیان مالیاتی [Volume 17, Issue 66, 2028, Pages 389-422]
  • Futures research Developing an electronic business model in the insurance industry with a futures research approach [Volume 17, Issue 65, 2028, Pages 197-225]
  • Fuzzy Delphi Identifying and ranking behavioral biases of real stock market shareholders using a fuzzy Delphi approach [Volume 17, Issue 65, 2028, Pages 507-524]
G
  • GDP Growth The impact of geopolitical risk on the capital market: Evidence from the Panel-ARDL model in selected countries [Volume 17, Issue 65, 2028, Pages 251-272]
  • Geopolitical Risk The impact of geopolitical risk on the capital market: Evidence from the Panel-ARDL model in selected countries [Volume 17, Issue 65, 2028, Pages 251-272]
  • Gold Return Measuring Parametric Value at Risk with Leptokurtic Distribution for Dollar and Gold in Terms of Rial [Volume 17, Issue 65, 2028, Pages 273-303]
  • Grounded Theory Designing a financial literacy system in the digital economy with a value creation approach [Volume 17, Issue 66, 2028, Pages 509-531]
  • Grounded Theory Presenting the Stock Portfolio Selection Model in the Iranian Capital Market using Grounded Theory [Volume 17, Issue 66, 2028, Pages 553-556]
  • Group Shareholders Investigating the Relationship Between Group Shareholders' Behavior and the Synchronization of Stock Price Changes with the Risk of Stock Price Collapse [Volume 17, Issue 66, 2028, Pages 147-168]
H
  • HAR Model Forecasting Tehran Stock Market Volatility: The Role of Volatility Regime Persistence and the Moderating Effect of International Volatility within the Markov-Switching HAR-MS Model Framework [Volume 17, Issue 65, 2028, Pages 429-461]
  • Hormonal changes the effects of Hormones and Genetic Variations on financial market stability and trader performance by regarding role of COVID-19 [Volume 17, Issue 65, 2028, Pages 567-585]
I
  • Income Identifying profitability and income indicators and their impact on financial performance in private banks [Volume 17, Issue 65, 2028, Pages 47-62]
  • Information Systems Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [Volume 17, Issue 66, 2028, Pages 225-244]
  • Initial Public Offering Designing the Legal Structure and Payment System of Special Purpose Acquisition Companies (SPAC) for the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 79-98]
  • Intelligent Monitoring Designing a Decentralized Framework for International Financial Transfers Based on Smart Contracts and Intelligent Monitoring [Volume 17, Issue 66, 2028, Pages 347-370]
  • Interest rate Predicting the Impact of the Total Stock Exchange Index on the Dynamic Macroeconomic News Release [Volume 17, Issue 66, 2028, Pages 39-58]
  • Interest Rates The impact of geopolitical risk on the capital market: Evidence from the Panel-ARDL model in selected countries [Volume 17, Issue 65, 2028, Pages 251-272]
  • Internal audit Presenting a Model for Reducing Corporate Risk with Electronic Internal Audit [Volume 17, Issue 65, 2028, Pages 373-390]
  • International financial transfers Designing a Decentralized Framework for International Financial Transfers Based on Smart Contracts and Intelligent Monitoring [Volume 17, Issue 66, 2028, Pages 347-370]
  • International Volatilities Forecasting Tehran Stock Market Volatility: The Role of Volatility Regime Persistence and the Moderating Effect of International Volatility within the Markov-Switching HAR-MS Model Framework [Volume 17, Issue 65, 2028, Pages 429-461]
  • Investment behavior Modeling the Financial Determinants of Corporate Investment Behavior [Volume 17, Issue 66, 2028, Pages 117-146]
  • Investment Efficiency Presenting a Model of Factors Affecting Investment Inefficiency in Conditions of Economic Policy Uncertainty in the Iranian Economic Environment [Volume 17, Issue 66, 2028, Pages 99-116]
  • Investment Inefficiency Presenting a Model of Factors Affecting Investment Inefficiency in Conditions of Economic Policy Uncertainty in the Iranian Economic Environment [Volume 17, Issue 66, 2028, Pages 99-116]
  • Investment sensitivity Investment sensitivity to cash flow with respect to information disclosure and corporate governance. [Volume 17, Issue 66, 2028, Pages 445-464]
  • Iran Capital Market Developing a Financial Literacy Model for Investors in the Capital Market Using a Meta-Synthesis Approach [Volume 17, Issue 66, 2028, Pages 245-286]
  • Iranian banking system Developing a Reputation Risk Model in the Iranian Banking System [Volume 17, Issue 66, 2028, Pages 423-444]
  • Iranian banking system Systemic risk modeling in Iran's banking system based on Bayesian principal component approach (BPCA) [Volume 17, Issue 66, 2028, Pages 579-614]
K
  • Keshtel Algorithm A Comparative Study of the Particle Swarm Optimization (PSO) Algorithm and the Keshtel Algorithm (KA) in Predicting Stock Price Crash Risk [Volume 17, Issue 66, 2028, Pages 641-664]
L
  • Land Administration Presenting a Model of Tokenization of Real Estate in Iran Based on Grounded Theory [Volume 17, Issue 65, 2028, Pages 463-506]
  • LendTech implementation presented the Lendtech implementation model in the banking and non-banking network in Iran [Volume 17, Issue 65, 2028, Pages 411-427]
  • Leptokurtic Distribution Measuring Parametric Value at Risk with Leptokurtic Distribution for Dollar and Gold in Terms of Rial [Volume 17, Issue 65, 2028, Pages 273-303]
M
  • MAPNA Company Presenting a Hybrid Model of Artificial Intelligence and Knowledge Management in Corporate Governance A Qualitative Study (Case Study; In MAPNA Company) [Volume 17, Issue 66, 2028, Pages 191-224]
  • Markov Switching Forecasting Tehran Stock Market Volatility: The Role of Volatility Regime Persistence and the Moderating Effect of International Volatility within the Markov-Switching HAR-MS Model Framework [Volume 17, Issue 65, 2028, Pages 429-461]
  • Merger Designing the Legal Structure and Payment System of Special Purpose Acquisition Companies (SPAC) for the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 79-98]
  • Meta-synthesis Developing a Financial Literacy Model for Investors in the Capital Market Using a Meta-Synthesis Approach [Volume 17, Issue 66, 2028, Pages 245-286]
  • Model presentation presented the Lendtech implementation model in the banking and non-banking network in Iran [Volume 17, Issue 65, 2028, Pages 411-427]
  • Moderating effect Examining the Impact of Liquidity and Financial Leverage on Financial Reporting Quality of Commercial Companies with an Emphasis on the Moderating Role of Cloud Accounting [Volume 17, Issue 66, 2028, Pages 615-640]
  • Momentum Strategy Dynamic scaled momentum strategies in Tehran stock exchange [Volume 17, Issue 65, 2028, Pages 227-249]
  • Multi-level Game A Model for the Service Supply Chain in the Banking Industry: A Three-Level Planning Approach Based on Game Theory [Volume 17, Issue 66, 2028, Pages 1-37]
O
  • Organizational Performance “Financial Decision Scenario Planning Using an AI Model Based on Accounting Procedures: A Multiple‑Simulation Approach” [Volume 17, Issue 65, 2028, Pages 587-607]
  • Organizational Process Improvement A Model for the Service Supply Chain in the Banking Industry: A Three-Level Planning Approach Based on Game Theory [Volume 17, Issue 66, 2028, Pages 1-37]
  • Organizational Unit Level A Model for the Service Supply Chain in the Banking Industry: A Three-Level Planning Approach Based on Game Theory [Volume 17, Issue 66, 2028, Pages 1-37]
  • Outsourcing A Model for the Service Supply Chain in the Banking Industry: A Three-Level Planning Approach Based on Game Theory [Volume 17, Issue 66, 2028, Pages 1-37]
P
  • Panel ARDL Model The impact of geopolitical risk on the capital market: Evidence from the Panel-ARDL model in selected countries [Volume 17, Issue 65, 2028, Pages 251-272]
  • Participatory economics Importance of brand influence and focus on Participatory economics to change consumer behavior [Volume 17, Issue 65, 2028, Pages 543-565]
  • Particle swarm optimization A Comparative Study of the Particle Swarm Optimization (PSO) Algorithm and the Keshtel Algorithm (KA) in Predicting Stock Price Crash Risk [Volume 17, Issue 66, 2028, Pages 641-664]
  • Pattern design Designing a financial literacy system in the digital economy with a value creation approach [Volume 17, Issue 66, 2028, Pages 509-531]
  • Performance A comparative study of enterprise risk management on the financial performance of banks, investment and insurance companies: Approaches based on the COSO standard and performance data [Volume 17, Issue 66, 2028, Pages 287-316]
  • Predicting tax evasion برازش مدل پیش‌بینی فرار مالیاتی از منظر گزارشگری مالی متقلبانه در بین مودیان مالیاتی [Volume 17, Issue 66, 2028, Pages 389-422]
  • Prediction Designing a hybrid model for stock price prediction based on time series methods and deep artificial neural network in Tehran Stock Exchange [Volume 17, Issue 65, 2028, Pages 115-139]
  • Presentation of the model ˗ implementation of Wealthtech ˗ Iran's capital market Presenting a Wealth Tech Implementation Model in the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 371-388]
  • Profit System Dynamics of Profit Forecasting of Oil Refining Companies Listed on the Tehran Stock Exchange with a Quantum Mechanics Approach [Volume 17, Issue 66, 2028, Pages 557-578]
  • Profitability Identifying profitability and income indicators and their impact on financial performance in private banks [Volume 17, Issue 65, 2028, Pages 47-62]
  • Property Management Presenting a Model of Tokenization of Real Estate in Iran Based on Grounded Theory [Volume 17, Issue 65, 2028, Pages 463-506]
Q
  • Qualitative Analysis “Financial Decision Scenario Planning Using an AI Model Based on Accounting Procedures: A Multiple‑Simulation Approach” [Volume 17, Issue 65, 2028, Pages 587-607]
  • Quantum System Dynamics of Profit Forecasting of Oil Refining Companies Listed on the Tehran Stock Exchange with a Quantum Mechanics Approach [Volume 17, Issue 66, 2028, Pages 557-578]
  • Quantum Mechanics System Dynamics of Profit Forecasting of Oil Refining Companies Listed on the Tehran Stock Exchange with a Quantum Mechanics Approach [Volume 17, Issue 66, 2028, Pages 557-578]
R
  • Regression Designing a hybrid model for stock price prediction based on time series methods and deep artificial neural network in Tehran Stock Exchange [Volume 17, Issue 65, 2028, Pages 115-139]
  • Reputational risk Developing a Reputation Risk Model in the Iranian Banking System [Volume 17, Issue 66, 2028, Pages 423-444]
  • Risk-Adjusted Return Dynamic scaled momentum strategies in Tehran stock exchange [Volume 17, Issue 65, 2028, Pages 227-249]
  • Risk integration A Conceptual Framework for Decentralized Finance with Emphasis on Risk Management: A Mixed-Methods Study [Volume 17, Issue 66, 2028, Pages 317-346]
S
  • Scenario writing “Financial Decision Scenario Planning Using an AI Model Based on Accounting Procedures: A Multiple‑Simulation Approach” [Volume 17, Issue 65, 2028, Pages 587-607]
  • Shahr Bank Presenting a credit validation model based on doubtful receivables in the banking system using multi-criteria decision making [Volume 17, Issue 65, 2028, Pages 351-372]
  • Shareholders Investigating the Relationship Between Group Shareholders' Behavior and the Synchronization of Stock Price Changes with the Risk of Stock Price Collapse [Volume 17, Issue 66, 2028, Pages 147-168]
  • Smart financial reporting Examining the Impact of Liquidity and Financial Leverage on Financial Reporting Quality of Commercial Companies with an Emphasis on the Moderating Role of Cloud Accounting [Volume 17, Issue 66, 2028, Pages 615-640]
  • Special Purpose Acquisition Company Designing the Legal Structure and Payment System of Special Purpose Acquisition Companies (SPAC) for the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 79-98]
  • Special Purpose Vehicle Designing the Legal Structure and Payment System of Special Purpose Acquisition Companies (SPAC) for the Iranian Capital Market [Volume 17, Issue 66, 2028, Pages 79-98]
  • Stable Digital Currency Designing a Decentralized Framework for International Financial Transfers Based on Smart Contracts and Intelligent Monitoring [Volume 17, Issue 66, 2028, Pages 347-370]
  • Stock Price Designing a hybrid model for stock price prediction based on time series methods and deep artificial neural network in Tehran Stock Exchange [Volume 17, Issue 65, 2028, Pages 115-139]
  • Stock Price Investigating the Relationship Between Group Shareholders' Behavior and the Synchronization of Stock Price Changes with the Risk of Stock Price Collapse [Volume 17, Issue 66, 2028, Pages 147-168]
  • Stock Price Changes Investigating the Relationship Between Group Shareholders' Behavior and the Synchronization of Stock Price Changes with the Risk of Stock Price Collapse [Volume 17, Issue 66, 2028, Pages 147-168]
  • Stock Price Crash Risk A Comparative Study of the Particle Swarm Optimization (PSO) Algorithm and the Keshtel Algorithm (KA) in Predicting Stock Price Crash Risk [Volume 17, Issue 66, 2028, Pages 641-664]
  • Stock Return Optimal Multi-period Portfolio Selection Based on K-Nearest Neighbor Entropy of Renyi and Tsallis [Volume 17, Issue 66, 2028, Pages 465-490]
  • Stock Selection Presenting the Stock Portfolio Selection Model in the Iranian Capital Market using Grounded Theory [Volume 17, Issue 66, 2028, Pages 553-556]
  • Supplier Selection A Model for the Service Supply Chain in the Banking Industry: A Three-Level Planning Approach Based on Game Theory [Volume 17, Issue 66, 2028, Pages 1-37]
T
  • Tax Investigating the relationship between asset growth and the company's cost of capital with tax avoidance considering the role of Tobin's Q criterion [Volume 17, Issue 65, 2028, Pages 305-324]
  • Technological capabilities Conceptual model of prevention of tax evasion with emphasis on technological capabilities in the country's tax affairs‏ ‏organization [Volume 17, Issue 66, 2028, Pages 225-244]
  • Tehran Stock Exchange Dynamic scaled momentum strategies in Tehran stock exchange [Volume 17, Issue 65, 2028, Pages 227-249]
  • Tehran Stock Exchange banks The Impact of CEO Power on Financial Performance in the Digital Economy: The Moderating Role of Financial Constraints in Tehran Stock Exchange Banks [Volume 17, Issue 65, 2028, Pages 609-629]
  • The Insurance industry Developing an electronic business model in the insurance industry with a futures research approach [Volume 17, Issue 65, 2028, Pages 197-225]
  • Theme Analysis Importance of brand influence and focus on Participatory economics to change consumer behavior [Volume 17, Issue 65, 2028, Pages 543-565]
  • Tobin's Q criterion Investigating the relationship between asset growth and the company's cost of capital with tax avoidance considering the role of Tobin's Q criterion [Volume 17, Issue 65, 2028, Pages 305-324]
  • Tokenization Presenting a Model of Tokenization of Real Estate in Iran Based on Grounded Theory [Volume 17, Issue 65, 2028, Pages 463-506]
  • Total Stock Index Predicting the Impact of the Total Stock Exchange Index on the Dynamic Macroeconomic News Release [Volume 17, Issue 66, 2028, Pages 39-58]
V
  • Value at risk Measuring Parametric Value at Risk with Leptokurtic Distribution for Dollar and Gold in Terms of Rial [Volume 17, Issue 65, 2028, Pages 273-303]
  • Volatility Forecasting Forecasting Tehran Stock Market Volatility: The Role of Volatility Regime Persistence and the Moderating Effect of International Volatility within the Markov-Switching HAR-MS Model Framework [Volume 17, Issue 65, 2028, Pages 429-461]