A
  • Abbasi, Behjat Capacity Building of Green Accounting Consequences Based on the Explanation of Strategic Management Accounting Techniques [Volume 3, Issue 4, 2019, Pages 23-59]
  • Abbasi, Ebrahim The effect of Related Parties Transactions on the Firm Value: Moderating Role of Audit Committee [Volume 3, Issue 2, 2019, Pages 25-43]
  • Abbasi, Ebrahim Dynamic relationships between financial conditions index and stock returns [Volume 4, Issue 1, 2020, Pages 124-145]
  • Abbasi, Ebrahim The Effect of Customers Concentration on Company Risks [Volume 4, Issue 2, 2020, Pages 19-39]
  • Abbasi, Ebrahim The Effect of Corporate Social Responsibility Performance on Financial Distress over the Life Cycle Using the Directional Distance Function [Volume 6, Issue 3, 2022, Pages 54-82]
  • Abbasi, Shoeib Information Content of Rating Banks Using Early Warnings Indicators [Volume 5, Issue 4, 2021, Pages 64-86]
  • Abbasian, Ezatollah The effect of the politically connected CEO on credit risk in Iranian commercial banks [Volume 4, Issue 3, 2020, Pages 1-17]
  • Abbasian, Ezatollah A Genetic algorithm for Objective formulation effect on the shortfall of retirees in developing countries: a case study in Iran [Volume 7, Issue 1, 2023, Pages 85-104]
  • Abbasian-Naghneh, Salman Network Analysis of Tehran Stock Exchange using Minimum Spanning Tree and Hierarchical Clustering [Volume 4, Issue 2, 2020, Pages 1-18]
  • Abbaspour Esfadan, Ghanbar Exchange Rate Movements and Monetary Policies: Which Has Greater Influence on Petroleum [Volume 5, Issue 1, 2021, Pages 147-172]
  • Abdali Gargari, Saeid Identification and Prioritization of Factors Affecting the Development of the Islamic Debt Securities Market (Sukuk) Using the Fuzzy Screening Technique [Volume 9, Issue 4, 2025, Pages 1-33]
  • Abdoh Tabrizi, Hossein Stability of the Correlation Between Book and Market Value at Risk as a Measure of Banks' Information Transparency [Volume 8, Issue 2, 2024, Pages 47-72]
  • Abdolbaghi Ataabadi, Abdolmajid Designing and Investigating the Profitability of Fuzzy Inference Trading System based on Technical Signals and Corrective Property [Volume 4, Issue 1, 2020, Pages 105-123]
  • Abdoli, Mohammadreza Investigating the Relationship between Managerial Entrenchment and Internal Control Weakness (Operant Conditioning Behavior Theory Test) [Volume 2, Issue 4, 2018, Pages 106-132]
  • Abdoli, Mohammadreza Auditors’ Wise Tactfulness in Professional Judgments by Total Interpretive Structural Modeling (TISM) [Volume 5, Issue 2, 2021, Pages 95-127]
  • Abdoli, Mohammadreza Choosing Influential Dimension of Mindfulness of Auditors' Professional Judgments Based on Social Pressure: An Analysis Based on Rough Theory [Volume 6, Issue 2, 2022, Pages 135-166]
  • Abdoli, Mohammadreza Investor Protection Evaluation based on Themes of Corporate Governance Civilization [Volume 7, Issue 1, 2023, Pages 105-140]
  • Abdoli, Mohammadreza Presenting a Behavioral Alienation Role Model in Career Path Development of Stock Exchange Organization Certified Auditors [Volume 6, Issue 4, 2022, Pages 95-124]
  • Abdoli, Mohammadreza Predicting Optimal Portfolio by Algorithm Analysis Systems [Volume 7, Issue 2, 2023, Pages 68-93]
  • Abdoli, Mohammad Reza Modeling and Rating Financial Soundness Indicators of Commercial Banks Using Confirmatory Factor Analysis and TOPSIS method [Volume 3, Issue 3, 2019, Pages 107-136]
  • Abdoli, Mohammad Reza The Effect of CEO Overconfidence on Overinvestment: An Analysis of the Role of Inflation Uncertainty in the Capital Market [Volume 4, Issue 2, 2020, Pages 77-96]
  • Abdoli, Mohammad Reza Model of Sustainable Tax Development Practices under Information Environment by Total Interpretive/Structural Model (TISM) [Volume 4, Issue 4, 2020, Pages 1-27]
  • Abdollahian, Ehsan Presenting the Corporate Governance Model of Holdings Financed Through the Internal Capital Market with a Theoretical Approach of Stakeholders [Volume 7, Issue 3, 2023, Pages 120-139]
  • Abdollahian, Farzaneh Comparing Prediction Methods of Artificial Neural Networks in Extracting Financial Cycles of Tehran Stock Exchange based on Markov Switching and Ant Colony Algorithm [Volume 3, Issue 2, 2019, Pages 1-24]
  • Abdollahi Moghadam, Mostafa The Quantitative Diversity Index in Multi-Objective Portfolio Model [Volume 5, Issue 1, 2021, Pages 122-146]
  • Abdolrahimi, Saeed Relations between Earnings Management, Pricing Power and Competition Of Industries [Volume 1, Issue 1, 2017, Pages 47-71]
  • Abedi, Hasan Model of Sustainable Tax Development Practices under Information Environment by Total Interpretive/Structural Model (TISM) [Volume 4, Issue 4, 2020, Pages 1-27]
  • Abolhasani, Asghar Performance Enhancement Model of Stock Market Portfolio of Iran Social Security Organization [Volume 8, Issue 1, 2024, Pages 1-25]
  • Adakh, Elham Comparison of Some Data Mining Models in Forecast of Performance of Banks Accepted in Tehran Stock Exchange Market [Volume 3, Issue 1, 2019, Pages 90-109]
  • Afsharirad, Majid The Effects of Monetary and Fiscal Policies on the Systemic Risk of Iran's Financial Markets (SURE Approach in Panel Data) [Volume 4, Issue 1, 2020, Pages 1-24]
  • Afsharirad, Majid Investigating the impact of financial, economic, and political risks and economic complexity on sukuk market development (NARDL Approach) [Volume 8, Issue 2, 2024, Pages 105-130]
  • Aghaei Chadegani, Arezoo Auditors’ Behavioral Intention: the Interaction Effect of Individual, Audit Firm and Audit Team Factors [Volume 4, Issue 1, 2020, Pages 55-80]
  • Agha Sarram, Mehdi A Profitable Portfolio Allocation Strategy Based on Money Net-Flow Adjusted Deep Reinforcement Learning [Volume 7, Issue 4, 2023, Pages 59-89]
  • Aghasi, Saeed Pairs Trading Based on Empirical Mode Decomposition (EMD) [Volume 7, Issue 3, 2023, Pages 95-119]
  • Aghayee, Mohamad Ali Reviewing Accounting Conservatism and Earnings Value Relevance Across the Business Cycle in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 21-38]
  • Ahadzadeh, Mohammad Macro Herding Behavior and Its Implications in Tehran Stock Exchange: An Analysis of Extreme Market Conditions [Volume 8, Issue 3, 2024, Pages 98-117]
  • Ahadzadeh, Mohammad Does Board Social Capital Augment Investment Decisions? Evidence from the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 62-88]
  • Ahmadi, Ali Foreign direct investment, economic growth and the moderation role of host country’s financial market [Volume 2, Issue 3, 2018, Pages 1-24]
  • Ahmadi, Ehsan Identification of the Factors Affecting Capital Structure in Firms with Emphasis on the Role of Behavioral Factors [Volume 7, Issue 4, 2023, Pages 29-58]
  • Ahmadi, Fatemeh Modeling the prediction of the Financial Behavior in Iranian Stock Market Investors with an Interpretive Structural Approach [Volume 2, Issue 4, 2018, Pages 1-26]
  • Ahmadi, Shahin Stock Market Returns before and after Brokerage Firms' Fiscal Year-End: The case of Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 73-84]
  • Ahmadi, Shahin Studying the Effect of Corporation’s Disclosure Quality Rank on Income-Smoothing and Informativeness of Tehran Stock Exchange’s Listed Companies [Volume 2, Issue 1, 2018, Pages 137-156]
  • Ahmadian, Vahid Reporting under Islamic Practices, a Path forward to Environmental, Social, and Corporate Governance (ESG) Considerations [Volume 8, Issue 4, 2024, Pages 82-112]
  • Ahmadi Azar, Mohammad Predicting Corporate Loan Defaults Using Deep Learning Algorithms and a Comparative Analysis with Linear Models: A Case Study of a Major Commercial Bank [Volume 10, Issue 1, 2026, Pages 1-42]
  • Ahmadi Mansourabad, Masoud Accounting Modeling for Startups in the Financial Business Ecosystem [Volume 9, Issue 3, 2025, Pages 135-165]
  • Ahmadvand, Maysam Default Risk and Momentum Effect; Some Evidence from Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 29-46]
  • Ahmadvand, Maysam Corporate Default Prediction among Tehran Stock Exchange’s Selected Industries [Volume 2, Issue 1, 2018, Pages 7-58]
  • Ahmadyan, Azam Corporate Governance and Iranian Banking Economic Value Added [Volume 5, Issue 2, 2021, Pages 46-69]
  • Ahmadyan, Azam Impact of Exchange Rate Fluctuations on the Financial Soundness of Iranian Banks: The Role of Bank Size and Soundness Levels [Volume 10, Issue 1, 2026, Pages 63-118]
  • Akbari, Guilda Pair Trading in Tehran Stock Exchange based on Smooth Transition GARCH Model [Volume 2, Issue 2, 2018, Pages 7-28]
  • Akbari, Mohsen Modeling the effect of environmental corporate governance rating in the pricing information asymmetry [Volume 5, Issue 1, 2021, Pages 91-121]
  • Akbari, Mohsen Does Board Social Capital Augment Investment Decisions? Evidence from the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 62-88]
  • Ali Ahmadi, Saeid Examining the Relationship between Size of the company, Ownership Structure, and Corporate Governance with Corporate Social Responsibility Disclosure in Iran [Volume 6, Issue 3, 2022, Pages 1-24]
  • Alibeiki, Esmail Predicting Optimal Portfolio by Algorithm Analysis Systems [Volume 7, Issue 2, 2023, Pages 68-93]
  • Alidadi, Hossein The Effect of CEO Overconfidence on Overinvestment: An Analysis of the Role of Inflation Uncertainty in the Capital Market [Volume 4, Issue 2, 2020, Pages 77-96]
  • Alifamian, Mojtaba Management Ability Effects on Information Environment Quality [Volume 7, Issue 1, 2023, Pages 21-34]
  • Alijani, Mehrzad Efficiency analysis of Tose'e Ta'avon Bank branches of Iran in 5 years considering undesirable outputs-A DEA based approach [Volume 8, Issue 2, 2024, Pages 131-156]
  • Alipour, Peyman Analyzing the Causal Relations between Trading Volume and Stock Returns and between Trading Volume and Return Volatility in Tehran Stock Exchange [Volume 2, Issue 4, 2018, Pages 27-40]
  • Alirezaei, Aboutorab Exchange Rate Movements and Monetary Policies: Which Has Greater Influence on Petroleum [Volume 5, Issue 1, 2021, Pages 147-172]
  • Amani, Ramin Climate Policy Uncertainty and Infectious Disease Risk: An Evidence for Islamic Dow Jones Index [Volume 9, Issue 2, 2025, Pages 26-53]
  • Amini, Seyed Morteza Predicting the trend of the total index of the Tehran Stock Exchange using an image processing technique [Volume 9, Issue 1, 2025, Pages 1-31]
  • Amiri, Ali The Relationship between Technology Use Factors based on the Developed Unified Theory of Acceptance and Use of Technology with Auditors' Ethical Behavior [Volume 4, Issue 3, 2020, Pages 80-102]
  • Amiri, Maghsoud Portfolio optimization with robust possibilistic programming [Volume 3, Issue 2, 2019, Pages 44-65]
  • Arabyarmohamadi, Mohsen Presenting a Behavioral Alienation Role Model in Career Path Development of Stock Exchange Organization Certified Auditors [Volume 6, Issue 4, 2022, Pages 95-124]
  • Arabzadeh, Meysam The model for measuring the Quality of Sustainability Reporting and Determinants: Application Analytic Network Process Fuzzy DEMATEL-Based Technique [Volume 6, Issue 2, 2022, Pages 28-69]
  • Arabzadeh, Meysam Corporate Integrity and Information Asymmetry: Evidence from Iran. [Volume 7, Issue 4, 2023, Pages 90-119]
  • Asadi, Hossein Portfolio Optimization based on the Risk Minimization by the Weight-Modified CVaR vs. CVaR Method [Volume 6, Issue 2, 2022, Pages 70-94]
  • Asadi, Nazanin Analysis of Iran Banking Sector by Multi-Layer Approach [Volume 3, Issue 1, 2019, Pages 73-89]
  • Ashrafi, Majid The Effect of Corporate Social Responsibility Performance on Financial Distress over the Life Cycle Using the Directional Distance Function [Volume 6, Issue 3, 2022, Pages 54-82]
  • Ashrafi, Majid Drivers of Managers' Inertia in Response to Reliable Disclosure of Information [Volume 8, Issue 1, 2024, Pages 71-97]
  • Ashtab, Ali Accounting Modeling for Startups in the Financial Business Ecosystem [Volume 9, Issue 3, 2025, Pages 135-165]
  • Ashtab, Ali Risk prediction of investment funds in member countries of the Federation of European and Asian Stock Exchanges - Machine Learning Approaches [Volume 9, Issue 4, 2025, Pages 140-188]
  • Askarinejad Amir, Ali Determinants of systematic risk in the Iranian Financial sector [Volume 2, Issue 1, 2018, Pages 59-79]
  • Azad, Mohammad Portfolio Optimization with Systemic Risk Approach [Volume 9, Issue 1, 2025, Pages 32-61]
  • Azizi, Pedram Conservatism and Initial Public Offerings (IPOs) Underpricing: An Audit Quality Perspective [Volume 6, Issue 4, 2022, Pages 125-159]
B
  • Babaei Falah, Amin Applying black- Scholes model to breakdown beta: growth options and the risk of beta miscalculation [Volume 3, Issue 4, 2019, Pages 1-22]
  • Babaie, Sasan Earnings Decomposition, Value Relevance and Predictability [Volume 5, Issue 4, 2021, Pages 107-127]
  • Babajani, Jaafar Modeling the effect of environmental corporate governance rating in the pricing information asymmetry [Volume 5, Issue 1, 2021, Pages 91-121]
  • Babajani, Jafar Corporate Default Prediction among Tehran Stock Exchange’s Selected Industries [Volume 2, Issue 1, 2018, Pages 7-58]
  • Badavar Nahandi, Younes Working Capital Management Model for Listed Companies on the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 89-133]
  • Badri, Ahmad Investigating the effect of return jumps on herd behavior and its asymmetry in the Tehran Stock Exchange Market [Volume 8, Issue 3, 2024, Pages 25-47]
  • Baghani, Ali Identifying path of Global Financial Crisis Contagion Direction on Industries of Iran Stock Market [Volume 4, Issue 1, 2020, Pages 25-54]
  • Baghani, Ali Stability of the Correlation Between Book and Market Value at Risk as a Measure of Banks' Information Transparency [Volume 8, Issue 2, 2024, Pages 47-72]
  • Baghfalaki, Afshin Analysis of the characteristics affecting the trading risk of listed companies' stocks: A hybrid spatial artificial intelligence approach [Volume 10, Issue 1, 2026, Pages 173-237]
  • Bahman Pour, Kaveh A Perusal of Managers' Optimism Pursuant to the Rate of Hormones in Blood [Volume 4, Issue 4, 2020, Pages 28-43]
  • Bahrami, Touraj Accounting Modeling for Startups in the Financial Business Ecosystem [Volume 9, Issue 3, 2025, Pages 135-165]
  • Bahremandjouy, Sadegh Investigating the Relationship between Information Asymmetry and Political Communication with Investment Efficiency in Tehran Stock Exchange [Volume 6, Issue 3, 2022, Pages 116-141]
  • Bahri Sales, Jamal Evaluation and comparison net assets value of joint investment funds using support machine models versus statistical models - A case study from FEAS member countries [Volume 7, Issue 4, 2023, Pages 142-160]
  • Bajalan, Saeed Pair Trading in Tehran Stock Exchange based on Smooth Transition GARCH Model [Volume 2, Issue 2, 2018, Pages 7-28]
  • Bajalan, Saeed Cross-Sectional Alpha Dispersion of Investment Funds and Performance Evaluation: Is There a Connection? (Evidence from an Emerging Market) [Volume 8, Issue 2, 2024, Pages 23-46]
  • Bakhtiyariasl, CharaghAli Designing and Investigating the Profitability of Fuzzy Inference Trading System based on Technical Signals and Corrective Property [Volume 4, Issue 1, 2020, Pages 105-123]
  • Baktash, Forozan Pairs Trading Based on Empirical Mode Decomposition (EMD) [Volume 7, Issue 3, 2023, Pages 95-119]
  • Baky Haskuee, Morteza A Hybrid Artificial Intelligence Approach to Portfolio Management [Volume 6, Issue 1, 2022, Pages 1-27]
  • Banaeian, Hamid The Design of Relationship Model between (IRAN) Economic Markets Return and Capital Market Return Exploiting Comonotonicity in Probability Theory [Volume 3, Issue 3, 2019, Pages 89-106]
  • Banimahd, Bahman The Role of Machiavellianism, Emotional Manipulation and Moral Foundations in Tax Avoidance [Volume 3, Issue 1, 2019, Pages 53-72]
  • Banimahd, Bahman Studying the Moderating Role of Audit Committee Independence in the Relationship between CEO Narcissism and Real Earnings Management [Volume 5, Issue 3, 2021, Pages 58-77]
  • Barati, Alireza Pricing Embedded Options Using Fast Fourier Transform to Compare Variance Gamma and Black-Scholes-Merton Model Efficiency [Volume 9, Issue 2, 2025, Pages 54-69]
  • Bashiri, Neda Designing and Explaining the Convergence-Based Financial Services Marketing Model in Tehran Stock Exchange (Mixed Approach) [Volume 2, Issue 3, 2018, Pages 88-103]
  • Bashiri, Neda CEO Power, Corporate Risk-Taking, and the Role of Institutional Owners: Pieces of Evidence of Tehran Stock Exchange Market and Iran Fara Bourse [Volume 6, Issue 1, 2022, Pages 117-141]
  • Bayat, Ali Fraud Risk Prediction in Financial Statements through Comparative Analysis of Genetic Algorithm, Grey Wolf Optimization, and Particle Swarm Optimization [Volume 8, Issue 1, 2024, Pages 98-130]
  • Bazraei, Maryam Dynamic correlation between exchange rate and the listed industries stock index during the currency crises: The Implications for Optimal Portfolio Construction [Volume 5, Issue 4, 2021, Pages 25-51]
  • Behbahaninia, Parisa Saadat CEO Power and Sustainability Reporting in Iran: Effect of Life Cycle and International Relations [Volume 4, Issue 3, 2020, Pages 103-121]
  • Behzadi, Adel Analyzing the Causal Relations between Trading Volume and Stock Returns and between Trading Volume and Return Volatility in Tehran Stock Exchange [Volume 2, Issue 4, 2018, Pages 27-40]
  • Bigdelo, Jamshid CEO Power, Corporate Risk-Taking, and the Role of Institutional Owners: Pieces of Evidence of Tehran Stock Exchange Market and Iran Fara Bourse [Volume 6, Issue 1, 2022, Pages 117-141]
  • Bod, Mohammad Mostafa Designing a Causal Model for Multi-Criteria Decision-Making in Financial Risk Analysis and Financing of IT-Based Startup Companies (BWM-DEMATEL) approach [Volume 9, Issue 1, 2025, Pages 162-198]
  • Bokharaeian Khorasani, Maryam The Event Research in the Effect of Clear Rumor Declarations on Abnormal Stock Returns Behavior [Volume 5, Issue 3, 2021, Pages 17-37]
  • Bolgorian, Meysam Firm-Level Prediction of Money Laundering Risk in Iranian Listed Companies; an Integrated Quantitative-Qualitative Approach [Volume 9, Issue 4, 2025, Pages 117-139]
  • Bolo, Ghasem Description Of Ijareh Sukuk Rating Dimensions In Iranian Capital Market [Volume 2, Issue 1, 2018, Pages 81-91]
C
  • Chaharmahali, Shahram Comparing the Effect of Information Quality on Economic Profit and Accounting Profit with the Artificial Intelligence Approach [Volume 7, Issue 2, 2023, Pages 22-47]
  • Chirani, Ebrahim Offering Catastrophic Risk Management Framework by Alternative Risk Transfer Instruments to Islamic Capital Market with Cat Takaful (CT) Sukuk [Volume 5, Issue 3, 2021, Pages 78-107]
D
  • Dadjoye Tavakoli, Atiyeh Developing New Financing Instruments for Iran’s Higher Education System (Case Study: Mortgage Securities Model) [Volume 3, Issue 3, 2019, Pages 62-88]
  • Daei-Karimzadeh, Saeed The Effect of Audit Report Type and Audit Report Paragraphs on Financial Distress among Firms Listed on the Tehran Stock Exchange [Volume 4, Issue 2, 2020, Pages 97-106]
  • Daei-Karimzadeh, Saeed Automation of Algorithmic Trading Strategies in Artificial Financial Markets by Combining Machine Learning Techniques and Agent-based Modeling [Volume 9, Issue 3, 2025, Pages 95-134]
  • Dalmanpour, Mohammad Investigating the impact of financial, economic, and political risks and economic complexity on sukuk market development (NARDL Approach) [Volume 8, Issue 2, 2024, Pages 105-130]
  • Damankeshideh, Marjan The Effects of Monetary and Fiscal Policies on the Systemic Risk of Iran's Financial Markets (SURE Approach in Panel Data) [Volume 4, Issue 1, 2020, Pages 1-24]
  • Darabi, Roya Comparing the Effect of Information Quality on Economic Profit and Accounting Profit with the Artificial Intelligence Approach [Volume 7, Issue 2, 2023, Pages 22-47]
  • Darabi, Roya How Value Added of Intellectual Coefficient affect Iranian Banking Performance (A CAMEL Approach) [Volume 9, Issue 2, 2025, Pages 107-125]
  • Dargahi, Esmaeil Identification of Factors Affecting the Returns and Performance of Financial and Insurance Companies Listed in the Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 99-116]
  • Daryaei, Abbas Ali Conservatism and Initial Public Offerings (IPOs) Underpricing: An Audit Quality Perspective [Volume 6, Issue 4, 2022, Pages 125-159]
  • Daryaei, Mehdi Drivers Affecting Bitcoin Adoption as a Payment Mechanism in the Tourism Industry [Volume 6, Issue 4, 2022, Pages 56-80]
  • Dastgir, Mohsen Examining the Relationship between Size of the company, Ownership Structure, and Corporate Governance with Corporate Social Responsibility Disclosure in Iran [Volume 6, Issue 3, 2022, Pages 1-24]
  • Dastgir, Mohsen Developing an Internal Control Model for the Social Security Organization of Iran with a Risk Management Approach [Volume 7, Issue 3, 2023, Pages 73-94]
  • Davoodi, Sayyed Mohammad Reza Designing and Investigating the Profitability of Fuzzy Inference Trading System based on Technical Signals and Corrective Property [Volume 4, Issue 1, 2020, Pages 105-123]
  • Dehdar, Farhad The Effect of CEO Overconfidence on Overinvestment: An Analysis of the Role of Inflation Uncertainty in the Capital Market [Volume 4, Issue 2, 2020, Pages 77-96]
  • Dehdar, Farhad Model of Sustainable Tax Development Practices under Information Environment by Total Interpretive/Structural Model (TISM) [Volume 4, Issue 4, 2020, Pages 1-27]
  • Dehdar, Farhad Choosing Influential Dimension of Mindfulness of Auditors' Professional Judgments Based on Social Pressure: An Analysis Based on Rough Theory [Volume 6, Issue 2, 2022, Pages 135-166]
  • Dehdar, Farhad Managerial Ability and Investors Protect: Test of Stimulating Decision-Making Functions by Devil's Advocate Theory [Volume 6, Issue 3, 2022, Pages 83-115]
  • Dehnad, Kazem Bibliometric Analysis in Sukuk Market: Global Findings and Innovative Prospects for Iran [Volume 8, Issue 4, 2024, Pages 1-37]
  • Divandari, Ali Dynamic Product Portfolio Management Modeling for the Financial Technology Industry [Volume 4, Issue 3, 2020, Pages 49-79]
  • Doaei, Meysam Bibliometric Analysis in Sukuk Market: Global Findings and Innovative Prospects for Iran [Volume 8, Issue 4, 2024, Pages 1-37]
E
  • Easaei, Milad Developing an Innovative Islamic Model for SME Financing through Iran Sukuk market [Volume 8, Issue 4, 2024, Pages 113-135]
  • Ebrahimi, Seyed babak Forecasting Financial Time Series Using Deep Learning Networks: Evidence from Long-Short Term Memory and Gated Recurrent Unit [Volume 6, Issue 4, 2022, Pages 81-94]
  • Ebrahimi, Seyed Babak The Quantitative Diversity Index in Multi-Objective Portfolio Model [Volume 5, Issue 1, 2021, Pages 122-146]
  • Ebrahimi Kahrizsangi, Khadijeh Auditors’ Behavioral Intention: the Interaction Effect of Individual, Audit Firm and Audit Team Factors [Volume 4, Issue 1, 2020, Pages 55-80]
  • Ebrahimnejad, Ali An Analysis of Venture Capital Contracts in Iran [Volume 8, Issue 2, 2024, Pages 73-104]
  • Eivazlu, Reza Cross-Sectional Alpha Dispersion of Investment Funds and Performance Evaluation: Is There a Connection? (Evidence from an Emerging Market) [Volume 8, Issue 2, 2024, Pages 23-46]
  • Emamverdi, Ghodratollah Studying the effects of USING GARCH-EVT-COPULA METHOD TO ESTIMATE VALUE AT RISK OF PORTFOLIO [Volume 2, Issue 1, 2018, Pages 93-119]
  • Emamverdi, Ghodratollah Measurement and assessment of systematic risk of selected industries in stock exchange using wavelet approach [Volume 2, Issue 4, 2018, Pages 64-77]
  • Emamverdi, Ghodratollah Identifying path of Global Financial Crisis Contagion Direction on Industries of Iran Stock Market [Volume 4, Issue 1, 2020, Pages 25-54]
  • Emamverdi, Ghodratollah Dynamic correlation between exchange rate and the listed industries stock index during the currency crises: The Implications for Optimal Portfolio Construction [Volume 5, Issue 4, 2021, Pages 25-51]
  • Erza, Amir Hossein Asymmetric Reaction of Investors to Market Risk, Illiquidity Risk, and Credit Risk: Evidence from Tehran Stock Exchange (TSE) [Volume 4, Issue 4, 2020, Pages 44-65]
  • Eshaghzadeh, Ali Earning Quality and Investment Efficiency; Do Board Characteristics Matter? Evidence from Tehran Stock Exchange [Volume 3, Issue 1, 2019, Pages 1-23]
  • Eskandar, Hoda Effect of Short-term Financial Constraints on SMEs, Investment Decisions [Volume 6, Issue 2, 2022, Pages 120-134]
  • Esmaeili Komar Olia, Hossein The Role of Machiavellianism, Emotional Manipulation and Moral Foundations in Tax Avoidance [Volume 3, Issue 1, 2019, Pages 53-72]
  • Esmaeilnozar, Hamed Investigating the nonlinear relationship between debt structure and real and accrual-based earnings management [Volume 6, Issue 3, 2022, Pages 25-53]
  • Esmaeilzadeh, Habib The model for measuring the Quality of Sustainability Reporting and Determinants: Application Analytic Network Process Fuzzy DEMATEL-Based Technique [Volume 6, Issue 2, 2022, Pages 28-69]
  • Esmaily, Nashmil Risk prediction of investment funds in member countries of the Federation of European and Asian Stock Exchanges - Machine Learning Approaches [Volume 9, Issue 4, 2025, Pages 140-188]
  • Eyvazlu, Reza Pair Trading in Tehran Stock Exchange based on Smooth Transition GARCH Model [Volume 2, Issue 2, 2018, Pages 7-28]
  • Ezazi, Mohammad Esmaeil Asset-Liability Management (ALM) Following Liquidity Management Approach Based on Goal Programming in the Commercial Bank [Volume 2, Issue 3, 2018, Pages 25-48]
F
  • Fadaeinejad, Mohammad Esmaeil Portfolio Optimization based on the Risk Minimization by the Weight-Modified CVaR vs. CVaR Method [Volume 6, Issue 2, 2022, Pages 70-94]
  • FadaeiNejad, Mohammad E. Determinants of systematic risk in the Iranian Financial sector [Volume 2, Issue 1, 2018, Pages 59-79]
  • Fadaeinezad, Mohammad Esmaeil The Design of Relationship Model between (IRAN) Economic Markets Return and Capital Market Return Exploiting Comonotonicity in Probability Theory [Volume 3, Issue 3, 2019, Pages 89-106]
  • Fadavi Asghari, Arefeh Comparison of Some Data Mining Models in Forecast of Performance of Banks Accepted in Tehran Stock Exchange Market [Volume 3, Issue 1, 2019, Pages 90-109]
  • Fallah, Mir Feiz Comparing Different Models of Evolutionary Three-Objective Optimization Using Fuzzy Logic in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 83-104]
  • Fallah Shams, Mirfeiz Portfolio Optimization with Systemic Risk Approach [Volume 9, Issue 1, 2025, Pages 32-61]
  • Farahani Darestani, Ahmad Forming Efficient Frontier in Stock Portfolios by Utility Function, Risk Aversion, and Target Return [Volume 6, Issue 2, 2022, Pages 95-119]
  • Farid, Daryush Modeling price dynamics and risk Forecasting in Tehran Stock Exchange: Conditional Variance Heteroscedasticity Hidden Markov Models [Volume 7, Issue 3, 2023, Pages 1-24]
  • Faryadras, Mohammad Javad Portfolio Optimization based on the Risk Minimization by the Weight-Modified CVaR vs. CVaR Method [Volume 6, Issue 2, 2022, Pages 70-94]
  • Fasihi, Soghra Do risk disclosure increase firms’ value? [Volume 4, Issue 2, 2020, Pages 67-76]
  • Fatehi, Mir Behnam Probability of stock price crash and the expected return of stock under sanctions [Volume 8, Issue 1, 2024, Pages 131-145]
  • Fathi, Saeed Substitution Financial and Operating Leverage and Its Distress and Performance Effects [Volume 9, Issue 3, 2025, Pages 55-94]
  • Fathi Hafshejani, Kiamars Exchange Rate Movements and Monetary Policies: Which Has Greater Influence on Petroleum [Volume 5, Issue 1, 2021, Pages 147-172]
  • Fattahi, Yasin Conservatism and Initial Public Offerings (IPOs) Underpricing: An Audit Quality Perspective [Volume 6, Issue 4, 2022, Pages 125-159]
  • Fazeli, Naghi Providing a Model to Evaluate Corporate Social Responsibility by Social Value Added (Case Study: Nano-Engine Oil) [Volume 2, Issue 2, 2018, Pages 83-102]
  • Fazeli, Naghi Social Value Added; A New Model for Developing Sustainability Accounting [Volume 3, Issue 2, 2019, Pages 105-128]
  • Fereydooni, Mohammad Mahdi Developing an Innovative Islamic Model for SME Financing through Iran Sukuk market [Volume 8, Issue 4, 2024, Pages 113-135]
  • Feshari, Majid Stock Market Returns before and after Brokerage Firms' Fiscal Year-End: The case of Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 73-84]
  • Fooladi, Masoud The Impact of Anchoring Bias and Disposition Effect on Momentum Profit: The Role of Stock Liquidity [Volume 6, Issue 1, 2022, Pages 83-116]
  • Foroughnejad, Heidar Measuring Diversification and Information Risk in Iran’s Mutual Funds [Volume 1, Issue 2, 2017, Pages 65-82]
  • Foroughnejad, Heidar Studying the Effect of Corporation’s Disclosure Quality Rank on Income-Smoothing and Informativeness of Tehran Stock Exchange’s Listed Companies [Volume 2, Issue 1, 2018, Pages 137-156]
  • Forouzandeh, Javad The Effect of Audit Report Type and Audit Report Paragraphs on Financial Distress among Firms Listed on the Tehran Stock Exchange [Volume 4, Issue 2, 2020, Pages 97-106]
G
  • Gaeeini, Hossein Analysis of Sovereign External Debt Variations by Cross Wavelet Transform [Volume 4, Issue 4, 2020, Pages 126-139]
  • Galibaf Asl, Hassan Investigating the relationship between privatization and information efficiency, regime switch and structural failure in the Iranian economy [Volume 1, Issue 1, 2017, Pages 7-28]
  • Ganji, HamidReza The Moderating Effect of Competition in the Product Market on the Relation of Corporate Social Responsibility and Debts Ratio [Volume 7, Issue 3, 2023, Pages 25-47]
  • Garkaz, Mansour Auditors' deviant decision-making model based on conflict of interest [Volume 5, Issue 1, 2021, Pages 31-60]
  • Garkaz, Mansour Identification of the Factors Affecting Auditors’ Conflict of Interests Using Fuzzy Delphi Method [Volume 6, Issue 1, 2022, Pages 142-168]
  • Garkaz, Mansour Developing the effectiveness of professional audit judgment based on the mindfulness of auditors [Volume 7, Issue 1, 2023, Pages 35-65]
  • Ghadimpour, Mohammadreza Forecasting Financial Time Series Using Deep Learning Networks: Evidence from Long-Short Term Memory and Gated Recurrent Unit [Volume 6, Issue 4, 2022, Pages 81-94]
  • Ghaemi, Mohammad Hossein Technical analysis and the strategy-based portfolio versus random one [Volume 3, Issue 2, 2019, Pages 66-87]
  • Ghaemi, Mohammad Hossein Measuring the efficiency of firms listed in Tehran Stock Exchange Using Stochastic Frontier Production Function based on accounting data [Volume 3, Issue 3, 2019, Pages 1-18]
  • Ghaemi, Mohammad Hossein The Role of Releasing Financial Statements in Shaping Behavioral Biases [Volume 8, Issue 3, 2024, Pages 118-156]
  • Ghafari, Arezoo Corporate Integrity and Information Asymmetry: Evidence from Iran. [Volume 7, Issue 4, 2023, Pages 90-119]
  • Ghafarifard, Marjan Ranking Psychological Theories with the Accounting-based Approach to Contingency Management using AHP Technique [Volume 7, Issue 2, 2023, Pages 94-121]
  • Ghalibaf Asl, Hasan Evaluating and Comparing Systemic Risk and Market Risk of Mutual Funds in Iran Capital Market [Volume 3, Issue 4, 2019, Pages 90-112]
  • Ghalibaf Asl, Hasan Dynamic relationships between financial conditions index and stock returns [Volume 4, Issue 1, 2020, Pages 124-145]
  • Ghalibaf Asl, Hassan Measuring value at risk using short-term and long-term memory of GARCH models based on switching approach to form an optimal stock portfolio [Volume 5, Issue 1, 2021, Pages 61-90]
  • Ghanbari, Alimohammad Risk spillovers between the S&P500, green bonds, real estate, oil market, and dollar index June 2022 [Volume 8, Issue 2, 2024, Pages 1-22]
  • Ghanbari, Mehrdad Providing a Logistic Model to Predict Individual Trading Behavior in Tehran Stock Exchange [Volume 2, Issue 3, 2018, Pages 70-87]
  • Ghanbari, Mehrdad Modeling the prediction of the Financial Behavior in Iranian Stock Market Investors with an Interpretive Structural Approach [Volume 2, Issue 4, 2018, Pages 1-26]
  • Ghanbari, Mehrdad Developing a Strategy for Buying and Selling Stocks Based on Semi-Parametric Markov Switching Time Series Models [Volume 5, Issue 3, 2021, Pages 108-126]
  • Ghanbari, Mehrdad Investment in Commodities as Hedging and Safe-Haven Tools during the Periods of Stock Market Volatility [Volume 7, Issue 4, 2023, Pages 120-141]
  • Ghanbary, Mehrdad Analysis of the characteristics affecting the trading risk of listed companies' stocks: A hybrid spatial artificial intelligence approach [Volume 10, Issue 1, 2026, Pages 173-237]
  • Ghasemi, Ali The Effect of Using Fair Value Approach on Performance Prediction in Investment Companies [Volume 5, Issue 2, 2021, Pages 1-20]
  • Ghasemi Ali Abadi, Mehdi Corporate Governance and Iranian Banking Economic Value Added [Volume 5, Issue 2, 2021, Pages 46-69]
  • Ghavidel, Salleh Dynamic correlation between exchange rate and the listed industries stock index during the currency crises: The Implications for Optimal Portfolio Construction [Volume 5, Issue 4, 2021, Pages 25-51]
  • Ghaznavi Doozandeh, Javad Auditors' deviant decision-making model based on conflict of interest [Volume 5, Issue 1, 2021, Pages 31-60]
  • Ghaznavi Doozandeh, Javad Identification of the Factors Affecting Auditors’ Conflict of Interests Using Fuzzy Delphi Method [Volume 6, Issue 1, 2022, Pages 142-168]
  • Ghodrati, Hasan The model for measuring the Quality of Sustainability Reporting and Determinants: Application Analytic Network Process Fuzzy DEMATEL-Based Technique [Volume 6, Issue 2, 2022, Pages 28-69]
  • Ghodrati, Hasan Identifying and Prioritizing the Factors Affecting Enterprise Risk Management Implementation [Volume 9, Issue 1, 2025, Pages 134-161]
  • Gholami, Abdolkhalegh Investigating the Effects of Disclosure of Non-Financial Intangible Information on Investors’ Judgment about Future Financial Performance of the Company [Volume 5, Issue 2, 2021, Pages 21-45]
  • Gholami, Asef The Role of Releasing Financial Statements in Shaping Behavioral Biases [Volume 8, Issue 3, 2024, Pages 118-156]
  • Ghonji Feshki, Alireza Governments’ Economic Performance and Earnings Management Methods: Evidence from Tehran Stock Exchange [Volume 2, Issue 2, 2018, Pages 103-129]
  • Golbidi, Mohadeseh CEO Power and Sustainability Reporting in Iran: Effect of Life Cycle and International Relations [Volume 4, Issue 3, 2020, Pages 103-121]
  • Goldani, Mahdi Comparative Analysis of Missing Values Imputation Methods: A Case Study in Financial Series (S&P500 and Bitcoin Value Data Sets) [Volume 8, Issue 1, 2024, Pages 47-70]
  • Gorganli Davaji, Jamadori Drivers of Managers' Inertia in Response to Reliable Disclosure of Information [Volume 8, Issue 1, 2024, Pages 71-97]
  • Gorganli Davaji, Jomadoordi The Effect of Corporate Social Responsibility Performance on Financial Distress over the Life Cycle Using the Directional Distance Function [Volume 6, Issue 3, 2022, Pages 54-82]
  • Gorganli Doji, Jamadori The Event Research in the Effect of Clear Rumor Declarations on Abnormal Stock Returns Behavior [Volume 5, Issue 3, 2021, Pages 17-37]
  • Goudarzi, Mahmoud Investigation of the Effect of Behavioral and Macroeconomic Factors on the Volatility of Tehran Stocks Market: FIAPGARCH-X [Volume 6, Issue 1, 2022, Pages 28-53]
H
  • Hadadi, Hadi Effect of Short-term Financial Constraints on SMEs, Investment Decisions [Volume 6, Issue 2, 2022, Pages 120-134]
  • Haddadian, Hamidreza A Hybrid Artificial Intelligence Approach to Portfolio Management [Volume 6, Issue 1, 2022, Pages 1-27]
  • Haeri Nasab, Zahra The effect of the main variable of Money Market on stock price index in Iran [Volume 3, Issue 2, 2019, Pages 88-104]
  • Haghgoo, Mehrdad Detection of Bubbles in Tehran Stock Exchange Using Log-Periodic Power-Low Singularity Model [Volume 5, Issue 4, 2021, Pages 52-63]
  • Hajihasani, Ahmad Analysis of Iran Banking Sector by Multi-Layer Approach [Volume 3, Issue 1, 2019, Pages 73-89]
  • Hamedi, Meysam Reporting under Islamic Practices, a Path forward to Environmental, Social, and Corporate Governance (ESG) Considerations [Volume 8, Issue 4, 2024, Pages 82-112]
  • Hamidi, Elham The Impact of Corporate Social Responsibility on the Managers' Behaviors in Companies Listed on the Tehran Stock Exchange [Volume 5, Issue 2, 2021, Pages 128-151]
  • Hamidian, Mohsen Modeling Assets Pricing Using Behavioral Patterns; Fama-French Approach [Volume 3, Issue 3, 2019, Pages 35-61]
  • Hamidian, Mohsen Investigating the financial crisis of the Tehran Stock Exchange using the entropy method of transfer and comparing it with the US financial market [Volume 5, Issue 3, 2021, Pages 1-16]
  • Hamidian, Mohsen How Value Added of Intellectual Coefficient affect Iranian Banking Performance (A CAMEL Approach) [Volume 9, Issue 2, 2025, Pages 107-125]
  • Hasangholipoure, Hosaine Reviewing & Offering a Solution of Transferring Catastrophic Risk to Iranian Capital Market [Volume 1, Issue 2, 2017, Pages 47-71]
  • Hasangholipoure, Hosaine Offering Catastrophic Risk Management Framework by Alternative Risk Transfer Instruments to Islamic Capital Market with Cat Takaful (CT) Sukuk [Volume 5, Issue 3, 2021, Pages 78-107]
  • Hasan Nezhad, Mohammad Investigation of Residual and Conventional Momentum Strategies in Short-term and Long-term Time Periods (Evidence from Tehran Stock Exchange) [Volume 9, Issue 4, 2025, Pages 34-64]
  • Hashemi, Nazanin Investigation the strength of Five-factor model of Fama and French (2015) in describing fluctuations in stock returns [Volume 1, Issue 2, 2017, Pages 105-119]
  • Hasheminejad, Seyed Mohammad Comparing Prediction Methods of Artificial Neural Networks in Extracting Financial Cycles of Tehran Stock Exchange based on Markov Switching and Ant Colony Algorithm [Volume 3, Issue 2, 2019, Pages 1-24]
  • Hashemi Tilehnouei, Mostafa The Impact of Corporate Social Responsibility on the Managers' Behaviors in Companies Listed on the Tehran Stock Exchange [Volume 5, Issue 2, 2021, Pages 128-151]
  • Hashemi Tilehnouei, Mostafa The Role of Firm Characteristics in Predicting Cash Flows from Operating Activities [Volume 8, Issue 1, 2024, Pages 26-46]
  • Hashempour, Maryam A Multiscale Pricing Model with the Wavelet Analysis Approach, Fama-French Three-Factor Model, and Nonliquidity in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 7-20]
  • Hassan Zade Sarvestani, Ali Developing a Comprehensive Pattern of Preventing Stock Price Manipulation in Iran’s Capital Market: A Grounded Theory Approach [Volume 2, Issue 3, 2018, Pages 104-121]
  • Hassas Yeganeh, Yahya Studing the relationship between unsystematic risk fluctuations and noise trading [Volume 2, Issue 1, 2018, Pages 121-136]
  • Hatam, Javid The Event Research in the Effect of Clear Rumor Declarations on Abnormal Stock Returns Behavior [Volume 5, Issue 3, 2021, Pages 17-37]
  • Heidari, Ali The effect of the politically connected CEO on credit risk in Iranian commercial banks [Volume 4, Issue 3, 2020, Pages 1-17]
  • Heidarihaei, Mohammad Ali Exploring the Role of Artificial Intelligence in Corporate Financial Asset Allocation: Evidence from the Tehran Stock Exchange [Volume 9, Issue 3, 2025, Pages 166-186]
  • Heidary, Mohammad Saeed Portfolio optimization with robust possibilistic programming [Volume 3, Issue 2, 2019, Pages 44-65]
  • Hekmat, Hanieh Influential Factors of the Fixed Income ETFs’ Development in the Tehran Stock Market [Volume 8, Issue 4, 2024, Pages 63-81]
  • Hemmati, Hassan Designing a Total Interpretive Structural Modeling (TISM) for the Effectiveness Mechanism of Stock Liquidity in the Tehran Stock Exchange Companies [Volume 4, Issue 2, 2020, Pages 40-66]
  • Hemmati, Mohsen Providing a Model to Evaluate Corporate Social Responsibility by Social Value Added (Case Study: Nano-Engine Oil) [Volume 2, Issue 2, 2018, Pages 83-102]
  • Hemmati, Mohsen Social Value Added; A New Model for Developing Sustainability Accounting [Volume 3, Issue 2, 2019, Pages 105-128]
  • Heydari, Mehdi Risk prediction of investment funds in member countries of the Federation of European and Asian Stock Exchanges - Machine Learning Approaches [Volume 9, Issue 4, 2025, Pages 140-188]
  • Heydarian, Samira Financial Sanction, Exchange Rate Volatility and Macroeconomic Variables (Case of Iran) [Volume 9, Issue 2, 2025, Pages 70-106]
  • Heydari Rostami, Keramatollah Corona Anxiety and Women Trading Style [Volume 8, Issue 3, 2024, Pages 48-72]
  • Heydari Rostami, Keramatollah Non-Linear Dynamics of Sustainable Communication and Financial Performance: U- and S-Shaped Effects in High-Risk Industries Moderated by Financial Development, ESG Divergence, and Reporting Mandates [Volume 10, Issue 1, 2026, Pages 119-144]
  • Heydari Soltanabadi, Hassan Designing a Total Interpretive Structural Modeling (TISM) for the Effectiveness Mechanism of Stock Liquidity in the Tehran Stock Exchange Companies [Volume 4, Issue 2, 2020, Pages 40-66]
  • Hidari, Mojtaba Investor Protection Evaluation based on Themes of Corporate Governance Civilization [Volume 7, Issue 1, 2023, Pages 105-140]
  • Honarkar Shafee, Marzieh Investigating the Relationship between Liquidity Creation and Capital Adequacy in Banks [Volume 10, Issue 1, 2026, Pages 43-62]
  • Hosayni, Seyed Rasoul The Moderating Effect of Competition in the Product Market on the Relation of Corporate Social Responsibility and Debts Ratio [Volume 7, Issue 3, 2023, Pages 25-47]
  • Hosseini, Mirzahasan Designing and Explaining the Convergence-Based Financial Services Marketing Model in Tehran Stock Exchange (Mixed Approach) [Volume 2, Issue 3, 2018, Pages 88-103]
  • Hosseini, MohammadAli Developing New Financing Instruments for Iran’s Higher Education System (Case Study: Mortgage Securities Model) [Volume 3, Issue 3, 2019, Pages 62-88]
  • Hosseini, Mohammad Mehdi Predicting Optimal Portfolio by Algorithm Analysis Systems [Volume 7, Issue 2, 2023, Pages 68-93]
  • Hosseini, Seyed Ali The effect of Related Parties Transactions on the Firm Value: Moderating Role of Audit Committee [Volume 3, Issue 2, 2019, Pages 25-43]
  • Hosseini, Seyed Ali Do risk disclosure increase firms’ value? [Volume 4, Issue 2, 2020, Pages 67-76]
  • Hosseini, Seyedeh Fatemeh Transaction Cost of Financing Knowledge-Based Companies in Iran [Volume 7, Issue 3, 2023, Pages 48-72]
  • Hosseini, Seyyed Mohammad Investigating the Relationship between Voluntary Disclosure and Financial Performance and Earnings Management (Emphasizing the Moderating Role of the Corporate Life Cycle) [Volume 4, Issue 3, 2020, Pages 122-148]
  • Hosseini Haji Hasan, Said Ebrahim Substitution Financial and Operating Leverage and Its Distress and Performance Effects [Volume 9, Issue 3, 2025, Pages 55-94]
  • Hosseiny Esfidvajani, Seyed Ali Investigating the financial crisis of the Tehran Stock Exchange using the entropy method of transfer and comparing it with the US financial market [Volume 5, Issue 3, 2021, Pages 1-16]
  • Hosseiny Esfidvajani, Seyed Ali Investigating the Importance of Different Companies of Tehran Stock Exchange using Lower Tail Dependency based Interaction Network [Volume 7, Issue 1, 2023, Pages 1-20]
I
  • Izadinia, Naser The Effect of Audit Report Type and Audit Report Paragraphs on Financial Distress among Firms Listed on the Tehran Stock Exchange [Volume 4, Issue 2, 2020, Pages 97-106]
J
  • Jabbari, Hossein The model for measuring the Quality of Sustainability Reporting and Determinants: Application Analytic Network Process Fuzzy DEMATEL-Based Technique [Volume 6, Issue 2, 2022, Pages 28-69]
  • Jabbari, Hossein Identifying and Prioritizing the Factors Affecting Enterprise Risk Management Implementation [Volume 9, Issue 1, 2025, Pages 134-161]
  • Jabbary, Hosein Corporate Integrity and Information Asymmetry: Evidence from Iran. [Volume 7, Issue 4, 2023, Pages 90-119]
  • Jabbary, Hossein Stock Portfolio Optimization Using a Combined Approach of Relative Robust Risk Parity [Volume 5, Issue 4, 2021, Pages 87-106]
  • Jabbarzadeh Kangarlouei, Saeid Evaluation and comparison net assets value of joint investment funds using support machine models versus statistical models - A case study from FEAS member countries [Volume 7, Issue 4, 2023, Pages 142-160]
  • Jabbarzadeh Kangarluei, Saeid Accounting Modeling for Startups in the Financial Business Ecosystem [Volume 9, Issue 3, 2025, Pages 135-165]
  • Jafari, Ali Analyze the Behavioral Foundation of Stylized Facts Using Agent-Based Simulation and STGP Algorithm [Volume 6, Issue 4, 2022, Pages 1-30]
  • Jafari, Gholamreza Investigating the financial crisis of the Tehran Stock Exchange using the entropy method of transfer and comparing it with the US financial market [Volume 5, Issue 3, 2021, Pages 1-16]
  • Jafari, Mohsen Does Board Social Capital Augment Investment Decisions? Evidence from the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 62-88]
  • Jafari, Seyedeh Mahboobeh Default Risk and Momentum Effect; Some Evidence from Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 29-46]
  • Jafari, Seyedeh Mahboobeh Comparison of linear regression models Ordinary Lasso, Adaptive Group Lasso and Ordinary Least Squares models in selecting effective characteristics to predict the expected return [Volume 2, Issue 3, 2018, Pages 49-69]
  • Jafarnejad, Ahmad Comparative Analysis of Machine Learning Algorithms in Predicting Jumps in Stock Closing Price: Case Study of Iran Khodro Using NearMiss and SMOTE Approaches [Volume 9, Issue 3, 2025, Pages 27-54]
  • Jahandideh, Tohid Asset-Liability Management (ALM) Following Liquidity Management Approach Based on Goal Programming in the Commercial Bank [Volume 2, Issue 3, 2018, Pages 25-48]
  • Jahandoust Marghoub, Mehran The Moderating Effect of Competition in the Product Market on the Relation of Corporate Social Responsibility and Debts Ratio [Volume 7, Issue 3, 2023, Pages 25-47]
  • Jalaee, sayyed Abdolmajid Financial Integration between Iran, OPEC and the Shanghai Organization [Volume 2, Issue 4, 2018, Pages 78-105]
  • Jamshidi, Hamid Risk spillovers between the S&P500, green bonds, real estate, oil market, and dollar index June 2022 [Volume 8, Issue 2, 2024, Pages 1-22]
  • Jamshidinavid, Babak Investment in Commodities as Hedging and Safe-Haven Tools during the Periods of Stock Market Volatility [Volume 7, Issue 4, 2023, Pages 120-141]
  • Jamshidinavid, Babak Analysis of the characteristics affecting the trading risk of listed companies' stocks: A hybrid spatial artificial intelligence approach [Volume 10, Issue 1, 2026, Pages 173-237]
  • Jamshidi Navid, Babak Providing a Logistic Model to Predict Individual Trading Behavior in Tehran Stock Exchange [Volume 2, Issue 3, 2018, Pages 70-87]
  • Jamshidi Navid, Babak Modeling the prediction of the Financial Behavior in Iranian Stock Market Investors with an Interpretive Structural Approach [Volume 2, Issue 4, 2018, Pages 1-26]
  • Jamshidi Navid, Babak Developing a Strategy for Buying and Selling Stocks Based on Semi-Parametric Markov Switching Time Series Models [Volume 5, Issue 3, 2021, Pages 108-126]
  • Jassbi, Javad Drivers Affecting Bitcoin Adoption as a Payment Mechanism in the Tourism Industry [Volume 6, Issue 4, 2022, Pages 56-80]
  • Javanmard, Hadis An approach from the perspective theory framework and past stock performance on investors' financial behavior [Volume 9, Issue 2, 2025, Pages 126-146]
  • Jebel Ameli, Farkhondeh Probability of stock price crash and the expected return of stock under sanctions [Volume 8, Issue 1, 2024, Pages 131-145]
  • Johari, Abbas Performance Enhancement Model of Stock Market Portfolio of Iran Social Security Organization [Volume 8, Issue 1, 2024, Pages 1-25]
K
  • Kaab, Alireza Investigating Budgeting Process and Budgetary Control System within Organizations: A Study with Reference to Indian Listed Companies and Financial Institutions [Volume 7, Issue 2, 2023, Pages 1-21]
  • Kamalgharibi, Alireza Developing the effectiveness of professional audit judgment based on the mindfulness of auditors [Volume 7, Issue 1, 2023, Pages 35-65]
  • Kamali, Mohammad Ali A Genetic algorithm for Objective formulation effect on the shortfall of retirees in developing countries: a case study in Iran [Volume 7, Issue 1, 2023, Pages 85-104]
  • Kamranzadeh Ezmareh, Abdolrahim Working Capital Management Model for Listed Companies on the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 89-133]
  • Karami, Gholamreza Presenting the Corporate Governance Model of Holdings Financed Through the Internal Capital Market with a Theoretical Approach of Stakeholders [Volume 7, Issue 3, 2023, Pages 120-139]
  • Karimi, Mahdi Investigating the effect of return jumps on herd behavior and its asymmetry in the Tehran Stock Exchange Market [Volume 8, Issue 3, 2024, Pages 25-47]
  • Karimi, Mahdi Macro Herding Behavior and Its Implications in Tehran Stock Exchange: An Analysis of Extreme Market Conditions [Volume 8, Issue 3, 2024, Pages 98-117]
  • Karimi, Mahmoud Earning Quality and Investment Efficiency; Do Board Characteristics Matter? Evidence from Tehran Stock Exchange [Volume 3, Issue 1, 2019, Pages 1-23]
  • Karimi, Mohammad Bagher Technical analysis and the strategy-based portfolio versus random one [Volume 3, Issue 2, 2019, Pages 66-87]
  • Karimi, Mojtaba Measurement and assessment of systematic risk of selected industries in stock exchange using wavelet approach [Volume 2, Issue 4, 2018, Pages 64-77]
  • Karimi, Mojtaba Identifying path of Global Financial Crisis Contagion Direction on Industries of Iran Stock Market [Volume 4, Issue 1, 2020, Pages 25-54]
  • Kazemi, Esmail Developing an Internal Control Model for the Social Security Organization of Iran with a Risk Management Approach [Volume 7, Issue 3, 2023, Pages 73-94]
  • Kazemi, Hossein Measuring the efficiency of firms listed in Tehran Stock Exchange Using Stochastic Frontier Production Function based on accounting data [Volume 3, Issue 3, 2019, Pages 1-18]
  • Kazemi, Hossein The Role of Management Accounting in Improving Management Control System in Public Sector [Volume 6, Issue 1, 2022, Pages 54-82]
  • Kazemi bavil, Aysa Investigating the effect of Trading volume on Bid-Ask spread of Islamic treasury bills with a Microstructural approach [Volume 8, Issue 4, 2024, Pages 38-62]
  • Kazemi Movahed, Mahsima Tehran Stock Exchange, Stocks Price Prediction, Using Wisdom of Crowd [Volume 7, Issue 4, 2023, Pages 1-28]
  • Khajavi, Shokrallah Investigating the Effects of Disclosure of Non-Financial Intangible Information on Investors’ Judgment about Future Financial Performance of the Company [Volume 5, Issue 2, 2021, Pages 21-45]
  • Khaje Saeed, Zohre A Neurofinance-Based Model for Developing Public Investor Trust [Volume 10, Issue 1, 2026, Pages 145-172]
  • Khajezadeh Dezfuli, Hadi Comparing Different Models of Evolutionary Three-Objective Optimization Using Fuzzy Logic in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 83-104]
  • Khakbaz, Seyed Behnam Dynamic Product Portfolio Management Modeling for the Financial Technology Industry [Volume 4, Issue 3, 2020, Pages 49-79]
  • Khalili, Farzaneh The effect of the politically connected CEO on credit risk in Iranian commercial banks [Volume 4, Issue 3, 2020, Pages 1-17]
  • Khalili, Yassaman Corona Anxiety and Women Trading Style [Volume 8, Issue 3, 2024, Pages 48-72]
  • Khalili, Yassaman Non-Linear Dynamics of Sustainable Communication and Financial Performance: U- and S-Shaped Effects in High-Risk Industries Moderated by Financial Development, ESG Divergence, and Reporting Mandates [Volume 10, Issue 1, 2026, Pages 119-144]
  • Khalili Araghi, Maryam Applying black- Scholes model to breakdown beta: growth options and the risk of beta miscalculation [Volume 3, Issue 4, 2019, Pages 1-22]
  • Khalili Araghi, Maryam Pricing Embedded Options Using Fast Fourier Transform to Compare Variance Gamma and Black-Scholes-Merton Model Efficiency [Volume 9, Issue 2, 2025, Pages 54-69]
  • Khalili Jafarabad, Ahmad Credit Scoring Active Telegram Channels Offering Stock Signals [Volume 6, Issue 3, 2022, Pages 142-164]
  • Khalili Jafarabad, Ahmad Tehran Stock Exchange, Stocks Price Prediction, Using Wisdom of Crowd [Volume 7, Issue 4, 2023, Pages 1-28]
  • Khalili Nasr, Arash Foreign direct investment, economic growth and the moderation role of host country’s financial market [Volume 2, Issue 3, 2018, Pages 1-24]
  • Khamaki, Ali Which Investment method is selected by companies in each stage of their Life Cycle? (Investing in operating assets or non-operational assets) [Volume 3, Issue 1, 2019, Pages 110-129]
  • Khamseh, Abbass Drivers Affecting Bitcoin Adoption as a Payment Mechanism in the Tourism Industry [Volume 6, Issue 4, 2022, Pages 56-80]
  • Khan Ahmadi, Mahboobeh Examining the Relationship between Size of the company, Ownership Structure, and Corporate Governance with Corporate Social Responsibility Disclosure in Iran [Volume 6, Issue 3, 2022, Pages 1-24]
  • Khanalizadeh, Bahman The Relationship between Foreign Direct Investment Inflows of World, Foreign Direct Investment Inflows of Turkey and Types of the Special Economic Zone: Evidence from 1980-2019 [Volume 6, Issue 2, 2022, Pages 1-27]
  • Khanalizadeh, Bahman Investigating the impact of financial, economic, and political risks and economic complexity on sukuk market development (NARDL Approach) [Volume 8, Issue 2, 2024, Pages 105-130]
  • Khani, Amir Mohammad Comparative Analysis of Machine Learning Algorithms in Predicting Jumps in Stock Closing Price: Case Study of Iran Khodro Using NearMiss and SMOTE Approaches [Volume 9, Issue 3, 2025, Pages 27-54]
  • Khani, Zabihollah The Relationship between Audit Fees and Stock Price Crash Risk [Volume 3, Issue 4, 2019, Pages 76-89]
  • Khanlarkhani, Mohammad Amin Relations between Earnings Management, Pricing Power and Competition Of Industries [Volume 1, Issue 1, 2017, Pages 47-71]
  • Khanmohammadi, Mohammadhamed Capacity Building of Green Accounting Consequences Based on the Explanation of Strategic Management Accounting Techniques [Volume 3, Issue 4, 2019, Pages 23-59]
  • Khanmohammadi, Mohammad Hamed Governments’ Economic Performance and Earnings Management Methods: Evidence from Tehran Stock Exchange [Volume 2, Issue 2, 2018, Pages 103-129]
  • Kheilkordi, Fatemeh CEO Power, Corporate Risk-Taking, and the Role of Institutional Owners: Pieces of Evidence of Tehran Stock Exchange Market and Iran Fara Bourse [Volume 6, Issue 1, 2022, Pages 117-141]
  • Kheradyar, Sina The Role of Machiavellianism, Emotional Manipulation and Moral Foundations in Tax Avoidance [Volume 3, Issue 1, 2019, Pages 53-72]
  • Kheradyar, Sina Offering Catastrophic Risk Management Framework by Alternative Risk Transfer Instruments to Islamic Capital Market with Cat Takaful (CT) Sukuk [Volume 5, Issue 3, 2021, Pages 78-107]
  • Khodabakhshi, Najmeh Explaining Factors and Consequences of Working Capital Management Using Content Analysis Approach [Volume 2, Issue 2, 2018, Pages 29-58]
  • Khodamipour, Ahmad An approach from the perspective theory framework and past stock performance on investors' financial behavior [Volume 9, Issue 2, 2025, Pages 126-146]
  • Khodaparast Salekmoalemy, Abbas Investigating the nonlinear relationship between debt structure and real and accrual-based earnings management [Volume 6, Issue 3, 2022, Pages 25-53]
  • Khonsha, Samira A Profitable Portfolio Allocation Strategy Based on Money Net-Flow Adjusted Deep Reinforcement Learning [Volume 7, Issue 4, 2023, Pages 59-89]
  • Khoshnam, Shirin Influential Factors of the Fixed Income ETFs’ Development in the Tehran Stock Market [Volume 8, Issue 4, 2024, Pages 63-81]
  • Khozain, Ali Which Investment method is selected by companies in each stage of their Life Cycle? (Investing in operating assets or non-operational assets) [Volume 3, Issue 1, 2019, Pages 110-129]
  • Khozein, Ali Auditors' deviant decision-making model based on conflict of interest [Volume 5, Issue 1, 2021, Pages 31-60]
  • Khozein, Ali Identification of the Factors Affecting Auditors’ Conflict of Interests Using Fuzzy Delphi Method [Volume 6, Issue 1, 2022, Pages 142-168]
  • Kohandel, Zahra The Role of Auditors' Biases and Decision Making on Errorswith a Cognitive Approach in Capital Market (A Case Study: Securities and Exchange's Certified Auditors) [Volume 2, Issue 2, 2018, Pages 59-82]
  • Kohandel, Zahra Ranking Psychological Theories with the Accounting-based Approach to Contingency Management using AHP Technique [Volume 7, Issue 2, 2023, Pages 94-121]
  • Koohi, Hassan The Effect of Corporate Social Responsibility Performance on Financial Distress over the Life Cycle Using the Directional Distance Function [Volume 6, Issue 3, 2022, Pages 54-82]
  • Kordestani, Gholamreza The Role of Management Accounting in Improving Management Control System in Public Sector [Volume 6, Issue 1, 2022, Pages 54-82]
  • Kordestani, Gholamreza The Role of Releasing Financial Statements in Shaping Behavioral Biases [Volume 8, Issue 3, 2024, Pages 118-156]
  • Kordlouie, Hamidreza Default Risk and Momentum Effect; Some Evidence from Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 29-46]
  • Kordlouie, Hamidreza Studying the Moderating Role of Audit Committee Independence in the Relationship between CEO Narcissism and Real Earnings Management [Volume 5, Issue 3, 2021, Pages 58-77]
  • Kordlouie, Hamidreza Forming Efficient Frontier in Stock Portfolios by Utility Function, Risk Aversion, and Target Return [Volume 6, Issue 2, 2022, Pages 95-119]
  • Koushki Jahromi, Alireza Investor Protection Evaluation based on Themes of Corporate Governance Civilization [Volume 7, Issue 1, 2023, Pages 105-140]
M
  • Madanchi zaj, Mehdi Stock Portfolio Optimization Using a Combined Approach of Relative Robust Risk Parity [Volume 5, Issue 4, 2021, Pages 87-106]
  • Maetoofi, Alireza Auditors' deviant decision-making model based on conflict of interest [Volume 5, Issue 1, 2021, Pages 31-60]
  • Maetoofi, Alireza Identification of the Factors Affecting Auditors’ Conflict of Interests Using Fuzzy Delphi Method [Volume 6, Issue 1, 2022, Pages 142-168]
  • Mafi, Hassan Transaction Cost of Financing Knowledge-Based Companies in Iran [Volume 7, Issue 3, 2023, Pages 48-72]
  • Mahboubi Zadeh, Shaghayegh Measuring value at risk using short-term and long-term memory of GARCH models based on switching approach to form an optimal stock portfolio [Volume 5, Issue 1, 2021, Pages 61-90]
  • Mahmoodiyan, Tahereh Capacity Building of Green Accounting Consequences Based on the Explanation of Strategic Management Accounting Techniques [Volume 3, Issue 4, 2019, Pages 23-59]
  • Mahmoudi, Vahid Measuring the efficiency of firms listed in Tehran Stock Exchange Using Stochastic Frontier Production Function based on accounting data [Volume 3, Issue 3, 2019, Pages 1-18]
  • Mahmoudzadeh, Mahmoud Dynamic correlation between exchange rate and the listed industries stock index during the currency crises: The Implications for Optimal Portfolio Construction [Volume 5, Issue 4, 2021, Pages 25-51]
  • Malekian, Esfandyar Investigating the Relationship between Voluntary Disclosure and Financial Performance and Earnings Management (Emphasizing the Moderating Role of the Corporate Life Cycle) [Volume 4, Issue 3, 2020, Pages 122-148]
  • Malekipour, Hadi Auditors’ Wise Tactfulness in Professional Judgments by Total Interpretive Structural Modeling (TISM) [Volume 5, Issue 2, 2021, Pages 95-127]
  • Mami, Shahram Modeling the prediction of the Financial Behavior in Iranian Stock Market Investors with an Interpretive Structural Approach [Volume 2, Issue 4, 2018, Pages 1-26]
  • Mansuri Mohammadabadi, Fatemeh Integrated Modeling of Causes and Consequences of Forward-Looking Information Disclosure in Annual Reports [Volume 7, Issue 2, 2023, Pages 122-151]
  • Marfou, Mohammad Management Ability Effects on Information Environment Quality [Volume 7, Issue 1, 2023, Pages 21-34]
  • Mashayekh, Shahnaz Managerial overconfidence, internal financing and investment [Volume 4, Issue 4, 2020, Pages 102-125]
  • Maskani, Mostafa Investigating the Relationship between Managerial Entrenchment and Internal Control Weakness (Operant Conditioning Behavior Theory Test) [Volume 2, Issue 4, 2018, Pages 106-132]
  • Masoudi Alavi, Seyed Hasan The Dynamic Impact of Oil Price on Investor Sentiment in Tehran Stock Exchange: An Industry-Level Analysis [Volume 5, Issue 3, 2021, Pages 38-57]
  • Mehdi darvishan, Mehdi Predicting Optimal Portfolio by Algorithm Analysis Systems [Volume 7, Issue 2, 2023, Pages 68-93]
  • Mehrara, Mohsen Probability of stock price crash and the expected return of stock under sanctions [Volume 8, Issue 1, 2024, Pages 131-145]
  • Menati, Vahid The Moderating Effect of Competition in the Product Market on the Relation of Corporate Social Responsibility and Debts Ratio [Volume 7, Issue 3, 2023, Pages 25-47]
  • Michaghani, Hossein Investigating the Effect of Environmental Uncertainty on the Relationship between Herd Behavior and Negative Price Shock in TSE [Volume 7, Issue 1, 2023, Pages 66-84]
  • Minouei, Mehrzad Comparing Prediction Methods of Artificial Neural Networks in Extracting Financial Cycles of Tehran Stock Exchange based on Markov Switching and Ant Colony Algorithm [Volume 3, Issue 2, 2019, Pages 1-24]
  • Mirbargkar, Seyed mozaffar Offering Catastrophic Risk Management Framework by Alternative Risk Transfer Instruments to Islamic Capital Market with Cat Takaful (CT) Sukuk [Volume 5, Issue 3, 2021, Pages 78-107]
  • Miri Lavasani, Mohammadreza Forming Efficient Frontier in Stock Portfolios by Utility Function, Risk Aversion, and Target Return [Volume 6, Issue 2, 2022, Pages 95-119]
  • Mirjalili, Seyed Hossein Financial Sanction, Exchange Rate Volatility and Macroeconomic Variables (Case of Iran) [Volume 9, Issue 2, 2025, Pages 70-106]
  • Mirlohi, Seyed Mojtabi Predicting Corporate Loan Defaults Using Deep Learning Algorithms and a Comparative Analysis with Linear Models: A Case Study of a Major Commercial Bank [Volume 10, Issue 1, 2026, Pages 1-42]
  • Mirlohi, Seyyed Mojtaba Technical analysis and the strategy-based portfolio versus random one [Volume 3, Issue 2, 2019, Pages 66-87]
  • Mirmohammadi, Sayed Mohammad Ebrahim Stock Portfolio Optimization Using a Combined Approach of Relative Robust Risk Parity [Volume 5, Issue 4, 2021, Pages 87-106]
  • Mirzaei, Abbas Fraud Risk Prediction in Financial Statements through Comparative Analysis of Genetic Algorithm, Grey Wolf Optimization, and Particle Swarm Optimization [Volume 8, Issue 1, 2024, Pages 98-130]
  • Mirzaei, Hamidreza Modeling price dynamics and risk Forecasting in Tehran Stock Exchange: Conditional Variance Heteroscedasticity Hidden Markov Models [Volume 7, Issue 3, 2023, Pages 1-24]
  • Mirzakhani, Reza Challenges of Utilizing Crypto-currencies in Capital Markets: An Islamic Jurisprudence Approach [Volume 8, Issue 4, 2024, Pages 136-151]
  • Moazeni, Khashayar Substitution Financial and Operating Leverage and Its Distress and Performance Effects [Volume 9, Issue 3, 2025, Pages 55-94]
  • Mohaghegh, Arefeh Investigating the financial crisis of the Tehran Stock Exchange using the entropy method of transfer and comparing it with the US financial market [Volume 5, Issue 3, 2021, Pages 1-16]
  • Mohammadi, Ali Fraud Risk Prediction in Financial Statements through Comparative Analysis of Genetic Algorithm, Grey Wolf Optimization, and Particle Swarm Optimization [Volume 8, Issue 1, 2024, Pages 98-130]
  • Mohammadi, Mehdi An Analysis of Venture Capital Contracts in Iran [Volume 8, Issue 2, 2024, Pages 73-104]
  • Mohammadi, Mohadeseh Cross-Sectional Alpha Dispersion of Investment Funds and Performance Evaluation: Is There a Connection? (Evidence from an Emerging Market) [Volume 8, Issue 2, 2024, Pages 23-46]
  • Mohammadi, Mohammad Mehdi Managerial Ability and Investors Protect: Test of Stimulating Decision-Making Functions by Devil's Advocate Theory [Volume 6, Issue 3, 2022, Pages 83-115]
  • Mohammadi, Parastoo Identification of the Factors Affecting Capital Structure in Firms with Emphasis on the Role of Behavioral Factors [Volume 7, Issue 4, 2023, Pages 29-58]
  • Mohammadi, Teymour Portfolio Optimization with Systemic Risk Approach [Volume 9, Issue 1, 2025, Pages 32-61]
  • Mohammadi Khoshouei, Hamzeh Developing an Internal Control Model for the Social Security Organization of Iran with a Risk Management Approach [Volume 7, Issue 3, 2023, Pages 73-94]
  • Mohammadi Molgharni, Ataalah A Perusal of Managers' Optimism Pursuant to the Rate of Hormones in Blood [Volume 4, Issue 4, 2020, Pages 28-43]
  • Mohammadi pourmazaheri, Zahra Investment in Commodities as Hedging and Safe-Haven Tools during the Periods of Stock Market Volatility [Volume 7, Issue 4, 2023, Pages 120-141]
  • Mohammad Pourzarandi, Mohammad Ebrahim Comparison of Some Data Mining Models in Forecast of Performance of Banks Accepted in Tehran Stock Exchange Market [Volume 3, Issue 1, 2019, Pages 90-109]
  • Mohammad Pourzarandi, Mohammad Ebrahim Comparing Prediction Methods of Artificial Neural Networks in Extracting Financial Cycles of Tehran Stock Exchange based on Markov Switching and Ant Colony Algorithm [Volume 3, Issue 2, 2019, Pages 1-24]
  • Mohammadzadeh, Amir Investigation of the Effect of Behavioral and Macroeconomic Factors on the Volatility of Tehran Stocks Market: FIAPGARCH-X [Volume 6, Issue 1, 2022, Pages 28-53]
  • Mokhatab Rafei, Farimah Identification of the Factors Affecting Capital Structure in Firms with Emphasis on the Role of Behavioral Factors [Volume 7, Issue 4, 2023, Pages 29-58]
  • Molavi Bisetoni, Shahram Exchange Rate Movements and Monetary Policies: Which Has Greater Influence on Petroleum [Volume 5, Issue 1, 2021, Pages 147-172]
  • Momeni Vesalian, Houshang The Effects of Monetary and Fiscal Policies on the Systemic Risk of Iran's Financial Markets (SURE Approach in Panel Data) [Volume 4, Issue 1, 2020, Pages 1-24]
  • Momenzadeh, Mohammad Mehdi Relations between Earnings Management, Pricing Power and Competition Of Industries [Volume 1, Issue 1, 2017, Pages 47-71]
  • Momenzadeh, Mohammad Mehdi The Effect of Using Fair Value Approach on Performance Prediction in Investment Companies [Volume 5, Issue 2, 2021, Pages 1-20]
  • Momenzadeh, Mohammad Mehdi Ranking Psychological Theories with the Accounting-based Approach to Contingency Management using AHP Technique [Volume 7, Issue 2, 2023, Pages 94-121]
  • Monajemi, Amirhassan Automation of Algorithmic Trading Strategies in Artificial Financial Markets by Combining Machine Learning Techniques and Agent-based Modeling [Volume 9, Issue 3, 2025, Pages 95-134]
  • Moradi, Alireza Providing a Logistic Model to Predict Individual Trading Behavior in Tehran Stock Exchange [Volume 2, Issue 3, 2018, Pages 70-87]
  • Moradi, Alireza Investment in Commodities as Hedging and Safe-Haven Tools during the Periods of Stock Market Volatility [Volume 7, Issue 4, 2023, Pages 120-141]
  • Moradi, Zahra Capacity Building of Green Accounting Consequences Based on the Explanation of Strategic Management Accounting Techniques [Volume 3, Issue 4, 2019, Pages 23-59]
  • Morsali Pavarsi, Farhad Challenges of Utilizing Crypto-currencies in Capital Markets: An Islamic Jurisprudence Approach [Volume 8, Issue 4, 2024, Pages 136-151]
  • Morshedi, Fatemeh Managerial overconfidence, internal financing and investment [Volume 4, Issue 4, 2020, Pages 102-125]
  • Mortazavi, Raheleh ossadat Comparison of linear regression models Ordinary Lasso, Adaptive Group Lasso and Ordinary Least Squares models in selecting effective characteristics to predict the expected return [Volume 2, Issue 3, 2018, Pages 49-69]
  • Mosallanezhad, Tahereh Investigating the Effects of Disclosure of Non-Financial Intangible Information on Investors’ Judgment about Future Financial Performance of the Company [Volume 5, Issue 2, 2021, Pages 21-45]
  • Mosavi Jahromi, Yeganeh Performance Enhancement Model of Stock Market Portfolio of Iran Social Security Organization [Volume 8, Issue 1, 2024, Pages 1-25]
  • Movaffagh, Samira An Analysis of Fraudulent Financial Reporting Based on Fraud Hexagon Theory in Companies Listed on the Tehran Stock Exchange [Volume 8, Issue 3, 2024, Pages 1-24]
  • Mozaffari, Zana Climate Policy Uncertainty and Infectious Disease Risk: An Evidence for Islamic Dow Jones Index [Volume 9, Issue 2, 2025, Pages 26-53]
N
  • Nadafi, Fatemeh Investigation of Residual and Conventional Momentum Strategies in Short-term and Long-term Time Periods (Evidence from Tehran Stock Exchange) [Volume 9, Issue 4, 2025, Pages 34-64]
  • Nademi, Arash Developing a Strategy for Buying and Selling Stocks Based on Semi-Parametric Markov Switching Time Series Models [Volume 5, Issue 3, 2021, Pages 108-126]
  • Naderi, Hossein Developing a Strategy for Buying and Selling Stocks Based on Semi-Parametric Markov Switching Time Series Models [Volume 5, Issue 3, 2021, Pages 108-126]
  • Naderian, Arash Which Investment method is selected by companies in each stage of their Life Cycle? (Investing in operating assets or non-operational assets) [Volume 3, Issue 1, 2019, Pages 110-129]
  • Naderian, Arash The Event Research in the Effect of Clear Rumor Declarations on Abnormal Stock Returns Behavior [Volume 5, Issue 3, 2021, Pages 17-37]
  • Nadiri, Mohammad The Dynamic Impact of Oil Price on Investor Sentiment in Tehran Stock Exchange: An Industry-Level Analysis [Volume 5, Issue 3, 2021, Pages 38-57]
  • Nadiri, Mohammad Firm-Level Prediction of Money Laundering Risk in Iranian Listed Companies; an Integrated Quantitative-Qualitative Approach [Volume 9, Issue 4, 2025, Pages 117-139]
  • Naeej Haghighi, Ali Review of Effects of Internal and External Factors on Selection of Financing Strategies by New Technology Ventures [Volume 4, Issue 4, 2020, Pages 66-101]
  • Najafi Kangarloui, Najibeh Probability of stock price crash and the expected return of stock under sanctions [Volume 8, Issue 1, 2024, Pages 131-145]
  • Najafizadeh, Abbas Investigating the Asymmetric Effects of Banking Sector Development and Stock Market Development on Economic Growth in Iran Using Smooth Transition Regression (STR) Model [Volume 2, Issue 2, 2018, Pages 131-150]
  • Nakhae, Habibollah The Relationship between Corporate Reputation and Different Types of Earnings Management [Volume 5, Issue 1, 2021, Pages 1-30]
  • Namaki, Ali Analysis of Iran Banking Sector by Multi-Layer Approach [Volume 3, Issue 1, 2019, Pages 73-89]
  • Namaki, Ali Analysis of Collective Behavior of Iran Banking Sector by Random Matrix Theory [Volume 3, Issue 4, 2019, Pages 60-75]
  • Namaki, Ali Analysis of Sovereign External Debt Variations by Cross Wavelet Transform [Volume 4, Issue 4, 2020, Pages 126-139]
  • Namaki, Ali Detection of Bubbles in Tehran Stock Exchange Using Log-Periodic Power-Low Singularity Model [Volume 5, Issue 4, 2021, Pages 52-63]
  • Namaki, Ali Presenting the Corporate Governance Model of Holdings Financed Through the Internal Capital Market with a Theoretical Approach of Stakeholders [Volume 7, Issue 3, 2023, Pages 120-139]
  • Namaki, Ali Investigating the effect of Trading volume on Bid-Ask spread of Islamic treasury bills with a Microstructural approach [Volume 8, Issue 4, 2024, Pages 38-62]
  • Namaki, Ali Identification and Prioritization of Factors Affecting the Development of the Islamic Debt Securities Market (Sukuk) Using the Fuzzy Screening Technique [Volume 9, Issue 4, 2025, Pages 1-33]
  • Namazi, Navid Reza Information Content of Rating Banks Using Early Warnings Indicators [Volume 5, Issue 4, 2021, Pages 64-86]
  • Namvar, Roghayeh Reporting under Islamic Practices, a Path forward to Environmental, Social, and Corporate Governance (ESG) Considerations [Volume 8, Issue 4, 2024, Pages 82-112]
  • Nasiri, Mohammad Modeling Assets Pricing Using Behavioral Patterns; Fama-French Approach [Volume 3, Issue 3, 2019, Pages 35-61]
  • Nateghian, Leila Evaluation and comparison net assets value of joint investment funds using support machine models versus statistical models - A case study from FEAS member countries [Volume 7, Issue 4, 2023, Pages 142-160]
  • Nazari, Mohsen Analysis of Sovereign External Debt Variations by Cross Wavelet Transform [Volume 4, Issue 4, 2020, Pages 126-139]
  • Nazaripour, Mohammad Neurotransmitters and the Behavior of Individual Investors: Exploratory and Confirmatory Factor Analysis [Volume 9, Issue 2, 2025, Pages 1-25]
  • Nazemi, Amin Analyzing Shareholder Network in the Tehran Stock Exchange [Volume 3, Issue 4, 2019, Pages 113-134]
  • Nazemi, Amin Information Content of Rating Banks Using Early Warnings Indicators [Volume 5, Issue 4, 2021, Pages 64-86]
  • Nejati, Mehdi Financial Integration between Iran, OPEC and the Shanghai Organization [Volume 2, Issue 4, 2018, Pages 78-105]
  • Nemati, Zahra Fraud Risk Prediction in Financial Statements through Comparative Analysis of Genetic Algorithm, Grey Wolf Optimization, and Particle Swarm Optimization [Volume 8, Issue 1, 2024, Pages 98-130]
  • Nikkar, Javad The Impact of Corporate Social Responsibility on the Managers' Behaviors in Companies Listed on the Tehran Stock Exchange [Volume 5, Issue 2, 2021, Pages 128-151]
  • Nikkar, Javad The Role of Firm Characteristics in Predicting Cash Flows from Operating Activities [Volume 8, Issue 1, 2024, Pages 26-46]
  • Niknami, Mostafa Developing New Financing Instruments for Iran’s Higher Education System (Case Study: Mortgage Securities Model) [Volume 3, Issue 3, 2019, Pages 62-88]
  • Nikoo, seyedeh farrokh .Modeling the selection of the optimal stock portfolio based on the combined approach of clustered value at risk and Mental Accounting [Volume 5, Issue 2, 2021, Pages 70-94]
  • Nikoomaram, Hashem The Role of Auditors' Biases and Decision Making on Errorswith a Cognitive Approach in Capital Market (A Case Study: Securities and Exchange's Certified Auditors) [Volume 2, Issue 2, 2018, Pages 59-82]
  • Nikoomaram, Hashem Applying black- Scholes model to breakdown beta: growth options and the risk of beta miscalculation [Volume 3, Issue 4, 2019, Pages 1-22]
  • Nikpour, Saghar Financial Integration between Iran, OPEC and the Shanghai Organization [Volume 2, Issue 4, 2018, Pages 78-105]
  • Nilchi, Moslem Modeling price dynamics and risk Forecasting in Tehran Stock Exchange: Conditional Variance Heteroscedasticity Hidden Markov Models [Volume 7, Issue 3, 2023, Pages 1-24]
  • Nilchi, Moslem Exploring the Role of Artificial Intelligence in Corporate Financial Asset Allocation: Evidence from the Tehran Stock Exchange [Volume 9, Issue 3, 2025, Pages 166-186]
  • Niroomand, Habib A Neurofinance-Based Model for Developing Public Investor Trust [Volume 10, Issue 1, 2026, Pages 145-172]
  • Noorbakhsh, Asgar The Impact of Monetary Policy and Moderating Role of Capital on the Relationship between Bank Liquidity Creation and Failure Risk in Banks listed on the Tehran Stock Exchange [Volume 9, Issue 3, 2025, Pages 1-26]
  • Noravesh, Iraj A Perusal of Managers' Optimism Pursuant to the Rate of Hormones in Blood [Volume 4, Issue 4, 2020, Pages 28-43]
  • Nouraei, Maryam A Perusal of Managers' Optimism Pursuant to the Rate of Hormones in Blood [Volume 4, Issue 4, 2020, Pages 28-43]
  • Nourahmadi, Marziyeh Hierarchical Risk Parity as an Alternative to Conventional Methods of Portfolio Optimization: (A Study of Tehran Stock Exchange) [Volume 5, Issue 4, 2021, Pages 1-24]
  • Nourahmadi, Marziyeh A Comparative Approach to Financial Clustering Models: (A Study of the Companies Listed on Tehran Stock Exchange) [Volume 6, Issue 4, 2022, Pages 31-55]
  • Nourollahzadeh, Nouroz Modeling Assets Pricing Using Behavioral Patterns; Fama-French Approach [Volume 3, Issue 3, 2019, Pages 35-61]
O
  • Omidinia, Anita Can Spending Management mediate the relationship between financial literacy, English Teacher's Risk Tolerance, and financial anxiety? [Volume 8, Issue 3, 2024, Pages 73-97]
  • Orfi, Saba Credit Scoring Active Telegram Channels Offering Stock Signals [Volume 6, Issue 3, 2022, Pages 142-164]
  • Osoolian, Mohammad Investigating the Importance of Different Companies of Tehran Stock Exchange using Lower Tail Dependency based Interaction Network [Volume 7, Issue 1, 2023, Pages 1-20]
  • Osoolian, Mohammad Investigating the effect of return jumps on herd behavior and its asymmetry in the Tehran Stock Exchange Market [Volume 8, Issue 3, 2024, Pages 25-47]
  • Osoolian, Mohammad Investigation of Residual and Conventional Momentum Strategies in Short-term and Long-term Time Periods (Evidence from Tehran Stock Exchange) [Volume 9, Issue 4, 2025, Pages 34-64]
  • Ozocakli, Demet The Relationship between Foreign Direct Investment Inflows of World, Foreign Direct Investment Inflows of Turkey and Types of the Special Economic Zone: Evidence from 1980-2019 [Volume 6, Issue 2, 2022, Pages 1-27]
P
  • Pahlavani, Mosayeb Financial Sanction, Exchange Rate Volatility and Macroeconomic Variables (Case of Iran) [Volume 9, Issue 2, 2025, Pages 70-106]
  • Pakbaz, Mahmood Stock Market Returns before and after Brokerage Firms' Fiscal Year-End: The case of Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 73-84]
  • Pak Maram, Asgar A Neurofinance-Based Model for Developing Public Investor Trust [Volume 10, Issue 1, 2026, Pages 145-172]
  • Panahian, Hosein Designing a Total Interpretive Structural Modeling (TISM) for the Effectiveness Mechanism of Stock Liquidity in the Tehran Stock Exchange Companies [Volume 4, Issue 2, 2020, Pages 40-66]
  • Panahian, Hossein Stock Portfolio Optimization Using a Combined Approach of Relative Robust Risk Parity [Volume 5, Issue 4, 2021, Pages 87-106]
  • Panahian, Hossein Identifying and Prioritizing the Factors Affecting Enterprise Risk Management Implementation [Volume 9, Issue 1, 2025, Pages 134-161]
  • Parvaneh, Fatemeh Comparing the Effect of Information Quality on Economic Profit and Accounting Profit with the Artificial Intelligence Approach [Volume 7, Issue 2, 2023, Pages 22-47]
  • Peymani Foroushani, Moslem Evaluating and Comparing Systemic Risk and Market Risk of Mutual Funds in Iran Capital Market [Volume 3, Issue 4, 2019, Pages 90-112]
  • Peymany, Moslem Asymmetric Reaction of Investors to Market Risk, Illiquidity Risk, and Credit Risk: Evidence from Tehran Stock Exchange (TSE) [Volume 4, Issue 4, 2020, Pages 44-65]
  • Peymany, Moslem Modeling price dynamics and risk Forecasting in Tehran Stock Exchange: Conditional Variance Heteroscedasticity Hidden Markov Models [Volume 7, Issue 3, 2023, Pages 1-24]
  • Peymany foroushani, Moslem Predicting the trend of the total index of the Tehran Stock Exchange using an image processing technique [Volume 9, Issue 1, 2025, Pages 1-31]
  • Pifeh, Ahmad Privatization, Changes in Management Accounting Practices and their impacts on Financial Performance – Evidence from Iran [Volume 4, Issue 3, 2020, Pages 18-48]
  • Piri, Parviz Evaluation and comparison net assets value of joint investment funds using support machine models versus statistical models - A case study from FEAS member countries [Volume 7, Issue 4, 2023, Pages 142-160]
  • Piri, Parviz Risk prediction of investment funds in member countries of the Federation of European and Asian Stock Exchanges - Machine Learning Approaches [Volume 9, Issue 4, 2025, Pages 140-188]
  • Pooraghajan, Abbasali Analyze the Behavioral Foundation of Stylized Facts Using Agent-Based Simulation and STGP Algorithm [Volume 6, Issue 4, 2022, Pages 1-30]
  • Pooresmaeil Niaki, Roxane Predicting the trend of the total index of the Tehran Stock Exchange using an image processing technique [Volume 9, Issue 1, 2025, Pages 1-31]
  • Poor Etemadi, Mahjoobeh The effect of Related Parties Transactions on the Firm Value: Moderating Role of Audit Committee [Volume 3, Issue 2, 2019, Pages 25-43]
  • Poostforoush, Mohammad Hossein Automation of Algorithmic Trading Strategies in Artificial Financial Markets by Combining Machine Learning Techniques and Agent-based Modeling [Volume 9, Issue 3, 2025, Pages 95-134]
  • Pourgholamali, Mohammad How Value Added of Intellectual Coefficient affect Iranian Banking Performance (A CAMEL Approach) [Volume 9, Issue 2, 2025, Pages 107-125]
  • Pourheidari, Omid An approach from the perspective theory framework and past stock performance on investors' financial behavior [Volume 9, Issue 2, 2025, Pages 126-146]
  • Poursina, Hadi Earning Quality and Investment Efficiency; Do Board Characteristics Matter? Evidence from Tehran Stock Exchange [Volume 3, Issue 1, 2019, Pages 1-23]
  • Pouyanfard, Reyhane A Multiscale Pricing Model with the Wavelet Analysis Approach, Fama-French Three-Factor Model, and Nonliquidity in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 7-20]
R
  • Rabiee, Hamidreza Dynamic Product Portfolio Management Modeling for the Financial Technology Industry [Volume 4, Issue 3, 2020, Pages 49-79]
  • Radfar, Reza Drivers Affecting Bitcoin Adoption as a Payment Mechanism in the Tourism Industry [Volume 6, Issue 4, 2022, Pages 56-80]
  • Raei, Reza Analysis of Iran Banking Sector by Multi-Layer Approach [Volume 3, Issue 1, 2019, Pages 73-89]
  • Raei, Reza Analysis of Collective Behavior of Iran Banking Sector by Random Matrix Theory [Volume 3, Issue 4, 2019, Pages 60-75]
  • Raei, Reza Designing a Causal Model for Multi-Criteria Decision-Making in Financial Risk Analysis and Financing of IT-Based Startup Companies (BWM-DEMATEL) approach [Volume 9, Issue 1, 2025, Pages 162-198]
  • Rahimzadeh, Ashkan Investigating the impact of financial, economic, and political risks and economic complexity on sukuk market development (NARDL Approach) [Volume 8, Issue 2, 2024, Pages 105-130]
  • Rahmani, Ali Risk disclosure, stability and the economic consequences in the banking system [Volume 4, Issue 1, 2020, Pages 81-104]
  • Rahmani, Ali Portfolio Optimization with Systemic Risk Approach [Volume 9, Issue 1, 2025, Pages 32-61]
  • Rahmani, Mohsen Drivers of Managers' Inertia in Response to Reliable Disclosure of Information [Volume 8, Issue 1, 2024, Pages 71-97]
  • Rahmanian Koushkaki, Abdolrasoul Investigating the Relationship between Information Asymmetry and Political Communication with Investment Efficiency in Tehran Stock Exchange [Volume 6, Issue 3, 2022, Pages 116-141]
  • Rahnamay Roodposhti, Fereydon Reviewing & Offering a Solution of Transferring Catastrophic Risk to Iranian Capital Market [Volume 1, Issue 2, 2017, Pages 47-71]
  • Rajabdorri, Hossein The Relationship between Audit Fees and Stock Price Crash Risk [Volume 3, Issue 4, 2019, Pages 76-89]
  • Rajabdorri, Hossein The Relationship between Technology Use Factors based on the Developed Unified Theory of Acceptance and Use of Technology with Auditors' Ethical Behavior [Volume 4, Issue 3, 2020, Pages 80-102]
  • Ramezani, Abbas Can Spending Management mediate the relationship between financial literacy, English Teacher's Risk Tolerance, and financial anxiety? [Volume 8, Issue 3, 2024, Pages 73-97]
  • Ramezani, Masoome Investigating the Importance of Different Companies of Tehran Stock Exchange using Lower Tail Dependency based Interaction Network [Volume 7, Issue 1, 2023, Pages 1-20]
  • Ranjandish, Neda The Effects of Monetary and Fiscal Policies on the Systemic Risk of Iran's Financial Markets (SURE Approach in Panel Data) [Volume 4, Issue 1, 2020, Pages 1-24]
  • Ranjbarfallah, Mohammad Reza Performance Enhancement Model of Stock Market Portfolio of Iran Social Security Organization [Volume 8, Issue 1, 2024, Pages 1-25]
  • Rashidi, Mohsen The Impact of Market Inefficiency and Environmental Uncert`ainty on CEO Risk-Taking Incentives [Volume 3, Issue 3, 2019, Pages 19-34]
  • Rasti, Fatemeh A Comparative Approach to Financial Clustering Models: (A Study of the Companies Listed on Tehran Stock Exchange) [Volume 6, Issue 4, 2022, Pages 31-55]
  • Rezaei, Farzin Investigating the nonlinear relationship between debt structure and real and accrual-based earnings management [Volume 6, Issue 3, 2022, Pages 25-53]
  • Rezaei, GholamReza An Analysis of the Board of Directors Network Relations Regarding Determination of their Tax Policies Planning [Volume 7, Issue 2, 2023, Pages 48-67]
  • Rezaei Pitenoei, Yasser Corporate Integrity and Information Asymmetry: Evidence from Iran. [Volume 7, Issue 4, 2023, Pages 90-119]
  • Rezasoltani, Arman Comparative Analysis of Machine Learning Algorithms in Predicting Jumps in Stock Closing Price: Case Study of Iran Khodro Using NearMiss and SMOTE Approaches [Volume 9, Issue 3, 2025, Pages 27-54]
  • R.N, Anzer Investigating Budgeting Process and Budgetary Control System within Organizations: A Study with Reference to Indian Listed Companies and Financial Institutions [Volume 7, Issue 2, 2023, Pages 1-21]
  • Rostami, Mohammadreza A Multiscale Pricing Model with the Wavelet Analysis Approach, Fama-French Three-Factor Model, and Nonliquidity in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 7-20]
  • Rostami, Mohammad Reza Analyzing the Causal Relations between Trading Volume and Stock Returns and between Trading Volume and Return Volatility in Tehran Stock Exchange [Volume 2, Issue 4, 2018, Pages 27-40]
  • Rostami, Nasrin Investigating the Asymmetric Effects of Banking Sector Development and Stock Market Development on Economic Growth in Iran Using Smooth Transition Regression (STR) Model [Volume 2, Issue 2, 2018, Pages 131-150]
  • Rouhani, Saeed Tehran Stock Exchange, Stocks Price Prediction, Using Wisdom of Crowd [Volume 7, Issue 4, 2023, Pages 1-28]
S
  • Sadaghiani, Mehdi An Analysis of Venture Capital Contracts in Iran [Volume 8, Issue 2, 2024, Pages 73-104]
  • Sadat, Amin Studying the Effect of Corporation’s Disclosure Quality Rank on Income-Smoothing and Informativeness of Tehran Stock Exchange’s Listed Companies [Volume 2, Issue 1, 2018, Pages 137-156]
  • Sadat, Amin Dynamic relationships between financial conditions index and stock returns [Volume 4, Issue 1, 2020, Pages 124-145]
  • SadeghzadehMaharluie, Mohammad Analyzing Shareholder Network in the Tehran Stock Exchange [Volume 3, Issue 4, 2019, Pages 113-134]
  • SadeghzadehMaharluie, Mohammad An Analysis of the Board of Directors Network Relations Regarding Determination of their Tax Policies Planning [Volume 7, Issue 2, 2023, Pages 48-67]
  • Sadeqi, Hojjatollah Hierarchical Risk Parity as an Alternative to Conventional Methods of Portfolio Optimization: (A Study of Tehran Stock Exchange) [Volume 5, Issue 4, 2021, Pages 1-24]
  • Sadeqi, Hojjatollah A Comparative Approach to Financial Clustering Models: (A Study of the Companies Listed on Tehran Stock Exchange) [Volume 6, Issue 4, 2022, Pages 31-55]
  • Saedodin, Seyfolah Providing a Model to Evaluate Corporate Social Responsibility by Social Value Added (Case Study: Nano-Engine Oil) [Volume 2, Issue 2, 2018, Pages 83-102]
  • Saedodin, Seyfolah Social Value Added; A New Model for Developing Sustainability Accounting [Volume 3, Issue 2, 2019, Pages 105-128]
  • Saeidi, Parviz Which Investment method is selected by companies in each stage of their Life Cycle? (Investing in operating assets or non-operational assets) [Volume 3, Issue 1, 2019, Pages 110-129]
  • Saeidi, Parviz Review of Effects of Internal and External Factors on Selection of Financing Strategies by New Technology Ventures [Volume 4, Issue 4, 2020, Pages 66-101]
  • Safaie, Nasser The Quantitative Diversity Index in Multi-Objective Portfolio Model [Volume 5, Issue 1, 2021, Pages 122-146]
  • Safari Gerayli, Mehdi Developing the effectiveness of professional audit judgment based on the mindfulness of auditors [Volume 7, Issue 1, 2023, Pages 35-65]
  • Safari Gerayli, Mehdi Managerial Ability and Investors Protect: Test of Stimulating Decision-Making Functions by Devil's Advocate Theory [Volume 6, Issue 3, 2022, Pages 83-115]
  • Safari Gerayli, Mehdi Corporate Integrity and Information Asymmetry: Evidence from Iran. [Volume 7, Issue 4, 2023, Pages 90-119]
  • Safari Sarchah, Fatemeh Privatization, Changes in Management Accounting Practices and their impacts on Financial Performance – Evidence from Iran [Volume 4, Issue 3, 2020, Pages 18-48]
  • Safarzadeh, Esmaeil Investigating the Asymmetric Effects of Banking Sector Development and Stock Market Development on Economic Growth in Iran Using Smooth Transition Regression (STR) Model [Volume 2, Issue 2, 2018, Pages 131-150]
  • Sahebgharani, Amir Abbas Investigation the strength of Five-factor model of Fama and French (2015) in describing fluctuations in stock returns [Volume 1, Issue 2, 2017, Pages 105-119]
  • Sahebgharani, Amir Abbas Description Of Ijareh Sukuk Rating Dimensions In Iranian Capital Market [Volume 2, Issue 1, 2018, Pages 81-91]
  • Salari, Hojjatollah The Relationship between Technology Use Factors based on the Developed Unified Theory of Acceptance and Use of Technology with Auditors' Ethical Behavior [Volume 4, Issue 3, 2020, Pages 80-102]
  • Salehi, Mahdi The Relationship between Corporate Reputation and Different Types of Earnings Management [Volume 5, Issue 1, 2021, Pages 1-30]
  • Salehi, Mohammad Javad Developing New Financing Instruments for Iran’s Higher Education System (Case Study: Mortgage Securities Model) [Volume 3, Issue 3, 2019, Pages 62-88]
  • Salehirad, Fatemeh Smart-Beta Portfolio Optimization Using Machine Learning Techniques [Volume 9, Issue 4, 2025, Pages 91-116]
  • Salimi, Mohammad Javad Comparing Different Models of Evolutionary Three-Objective Optimization Using Fuzzy Logic in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 83-104]
  • Salmanzadeh, Hossein The Role of Management Accounting in Improving Management Control System in Public Sector [Volume 6, Issue 1, 2022, Pages 54-82]
  • Samadi, Saeed Automation of Algorithmic Trading Strategies in Artificial Financial Markets by Combining Machine Learning Techniques and Agent-based Modeling [Volume 9, Issue 3, 2025, Pages 95-134]
  • Samiee Tabrizi, Kamyar Reviewing Accounting Conservatism and Earnings Value Relevance Across the Business Cycle in Tehran Stock Exchange [Volume 1, Issue 2, 2017, Pages 21-38]
  • Saranj, Alireza Firm-Level Prediction of Money Laundering Risk in Iranian Listed Companies; an Integrated Quantitative-Qualitative Approach [Volume 9, Issue 4, 2025, Pages 117-139]
  • Saranj, Ali Reza The Dynamic Impact of Oil Price on Investor Sentiment in Tehran Stock Exchange: An Industry-Level Analysis [Volume 5, Issue 3, 2021, Pages 38-57]
  • Sardari, Roozbeh Studying the Moderating Role of Audit Committee Independence in the Relationship between CEO Narcissism and Real Earnings Management [Volume 5, Issue 3, 2021, Pages 58-77]
  • Sargolzaei, Mostafa Investigating the Relationship between Liquidity Creation and Capital Adequacy in Banks [Volume 10, Issue 1, 2026, Pages 43-62]
  • Sarkamaryan, Saeideh Analyze the Behavioral Foundation of Stylized Facts Using Agent-Based Simulation and STGP Algorithm [Volume 6, Issue 4, 2022, Pages 1-30]
  • Sarlak, Ahmad Investigating the Asymmetric Effects of Banking Sector Development and Stock Market Development on Economic Growth in Iran Using Smooth Transition Regression (STR) Model [Volume 2, Issue 2, 2018, Pages 131-150]
  • Sarraf, Fatemeh Cash flow forecasting by using simple and sophisticated models in Iranian companies [Volume 3, Issue 1, 2019, Pages 24-52]
  • Sarraf, Fatemeh Modeling Assets Pricing Using Behavioral Patterns; Fama-French Approach [Volume 3, Issue 3, 2019, Pages 35-61]
  • Sarraf, Fatemeh Identifying path of Global Financial Crisis Contagion Direction on Industries of Iran Stock Market [Volume 4, Issue 1, 2020, Pages 25-54]
  • Sattari, Hojjat Studing the relationship between unsystematic risk fluctuations and noise trading [Volume 2, Issue 1, 2018, Pages 121-136]
  • Sayeedi, Parviz Drivers of Managers' Inertia in Response to Reliable Disclosure of Information [Volume 8, Issue 1, 2024, Pages 71-97]
  • Sayyar, Tahereh Efficiency analysis of Tose'e Ta'avon Bank branches of Iran in 5 years considering undesirable outputs-A DEA based approach [Volume 8, Issue 2, 2024, Pages 131-156]
  • Seddighi, Roohollah The Effect of Using Fair Value Approach on Performance Prediction in Investment Companies [Volume 5, Issue 2, 2021, Pages 1-20]
  • Seddighi, Roohollah Management Ability Effects on Information Environment Quality [Volume 7, Issue 1, 2023, Pages 21-34]
  • Seifi, Farnaz Asymmetric Reaction of Investors to Market Risk, Illiquidity Risk, and Credit Risk: Evidence from Tehran Stock Exchange (TSE) [Volume 4, Issue 4, 2020, Pages 44-65]
  • Seighali, Mohen Evaluating and Comparing Systemic Risk and Market Risk of Mutual Funds in Iran Capital Market [Volume 3, Issue 4, 2019, Pages 90-112]
  • Seighali, Mohsen .Modeling the selection of the optimal stock portfolio based on the combined approach of clustered value at risk and Mental Accounting [Volume 5, Issue 2, 2021, Pages 70-94]
  • Seighali, Mohsen Investigation of the Effect of Behavioral and Macroeconomic Factors on the Volatility of Tehran Stocks Market: FIAPGARCH-X [Volume 6, Issue 1, 2022, Pages 28-53]
  • Setayesh, Mohammadreza Studying the Moderating Role of Audit Committee Independence in the Relationship between CEO Narcissism and Real Earnings Management [Volume 5, Issue 3, 2021, Pages 58-77]
  • Seyedi, Seyed Ahmad Modeling and Rating Financial Soundness Indicators of Commercial Banks Using Confirmatory Factor Analysis and TOPSIS method [Volume 3, Issue 3, 2019, Pages 107-136]
  • Seyed Khosroshahi, Seyed Ali The Relationship between Stock Market Liquidity, Firm Characteristics and Dividend Payout: Evidence from Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 85-97]
  • Seyed Nourani, Seyed Mohamad Reza Developing a Comprehensive Pattern of Preventing Stock Price Manipulation in Iran’s Capital Market: A Grounded Theory Approach [Volume 2, Issue 3, 2018, Pages 104-121]
  • Shafieinia, Ata The Impact of Monetary Policy and Moderating Role of Capital on the Relationship between Bank Liquidity Creation and Failure Risk in Banks listed on the Tehran Stock Exchange [Volume 9, Issue 3, 2025, Pages 1-26]
  • Shahali, Marjan Corona Anxiety and Women Trading Style [Volume 8, Issue 3, 2024, Pages 48-72]
  • Shahbazin, Fereshteh Evaluating and Comparing Systemic Risk and Market Risk of Mutual Funds in Iran Capital Market [Volume 3, Issue 4, 2019, Pages 90-112]
  • Shahhoseini, Mohammad Ali Dynamic Product Portfolio Management Modeling for the Financial Technology Industry [Volume 4, Issue 3, 2020, Pages 49-79]
  • Shahhoseini, Mohammad Ali Presenting the Corporate Governance Model of Holdings Financed Through the Internal Capital Market with a Theoretical Approach of Stakeholders [Volume 7, Issue 3, 2023, Pages 120-139]
  • Shahri, Maryam Presenting a Behavioral Alienation Role Model in Career Path Development of Stock Exchange Organization Certified Auditors [Volume 6, Issue 4, 2022, Pages 95-124]
  • Shahri, Maryam Managerial Ability and Investors Protect: Test of Stimulating Decision-Making Functions by Devil's Advocate Theory [Volume 6, Issue 3, 2022, Pages 83-115]
  • Shakeri Bostanabad, Reza Transaction Cost of Financing Knowledge-Based Companies in Iran [Volume 7, Issue 3, 2023, Pages 48-72]
  • Shams, Shahabeddin .Modeling the selection of the optimal stock portfolio based on the combined approach of clustered value at risk and Mental Accounting [Volume 5, Issue 2, 2021, Pages 70-94]
  • Sheikhhoseini, Mohammad Efficiency analysis of Tose'e Ta'avon Bank branches of Iran in 5 years considering undesirable outputs-A DEA based approach [Volume 8, Issue 2, 2024, Pages 131-156]
  • Sheikhpour, Razieh A Profitable Portfolio Allocation Strategy Based on Money Net-Flow Adjusted Deep Reinforcement Learning [Volume 7, Issue 4, 2023, Pages 59-89]
  • Sohaili, Kiomars The effect of the main variable of Money Market on stock price index in Iran [Volume 3, Issue 2, 2019, Pages 88-104]
  • Sohrabi, Babak Credit Scoring Active Telegram Channels Offering Stock Signals [Volume 6, Issue 3, 2022, Pages 142-164]
  • Sohrabi, Babak Tehran Stock Exchange, Stocks Price Prediction, Using Wisdom of Crowd [Volume 7, Issue 4, 2023, Pages 1-28]
  • Soleimani Amiri, Gholamreza Explaining Factors and Consequences of Working Capital Management Using Content Analysis Approach [Volume 2, Issue 2, 2018, Pages 29-58]
  • Soleimany Amiri, Gholamreza An Analysis of Fraudulent Financial Reporting Based on Fraud Hexagon Theory in Companies Listed on the Tehran Stock Exchange [Volume 8, Issue 3, 2024, Pages 1-24]
  • Soleymani, Seyed Mohammad Choosing Influential Dimension of Mindfulness of Auditors' Professional Judgments Based on Social Pressure: An Analysis Based on Rough Theory [Volume 6, Issue 2, 2022, Pages 135-166]
  • Solimani, Gholamreza Risk disclosure, stability and the economic consequences in the banking system [Volume 4, Issue 1, 2020, Pages 81-104]
  • Soltani, Fatemeh The Impact of Anchoring Bias and Disposition Effect on Momentum Profit: The Role of Stock Liquidity [Volume 6, Issue 1, 2022, Pages 83-116]
  • Soroushyar, Afsaneh The Impact of Anchoring Bias and Disposition Effect on Momentum Profit: The Role of Stock Liquidity [Volume 6, Issue 1, 2022, Pages 83-116]
T
  • Tabatabaei, Seyed Jalal Integrating Engineering Principles with Financial Asset Management: The Three-Sigma Approach in Financial Markets [Volume 9, Issue 4, 2025, Pages 65-90]
  • Taftiyan, ََAkram Integrated Modeling of Causes and Consequences of Forward-Looking Information Disclosure in Annual Reports [Volume 7, Issue 2, 2023, Pages 122-151]
  • Taghavi Fard, Mohammad Taghi Corporate Default Prediction among Tehran Stock Exchange’s Selected Industries [Volume 2, Issue 1, 2018, Pages 7-58]
  • Taghipour, Mojtaba Firm-Level Prediction of Money Laundering Risk in Iranian Listed Companies; an Integrated Quantitative-Qualitative Approach [Volume 9, Issue 4, 2025, Pages 117-139]
  • Taghizadeh, Reza Analyzing Shareholder Network in the Tehran Stock Exchange [Volume 3, Issue 4, 2019, Pages 113-134]
  • Taghizadeh, Reza An Analysis of the Board of Directors Network Relations Regarding Determination of their Tax Policies Planning [Volume 7, Issue 2, 2023, Pages 48-67]
  • Taheri, Mandana Risk disclosure, stability and the economic consequences in the banking system [Volume 4, Issue 1, 2020, Pages 81-104]
  • Talebnia, Ghodratallah Comparison of linear regression models Ordinary Lasso, Adaptive Group Lasso and Ordinary Least Squares models in selecting effective characteristics to predict the expected return [Volume 2, Issue 3, 2018, Pages 49-69]
  • Talebnia, Ghodratallah Forming Efficient Frontier in Stock Portfolios by Utility Function, Risk Aversion, and Target Return [Volume 6, Issue 2, 2022, Pages 95-119]
  • Talebnia, Ghodrat Allah The Role of Auditors' Biases and Decision Making on Errorswith a Cognitive Approach in Capital Market (A Case Study: Securities and Exchange's Certified Auditors) [Volume 2, Issue 2, 2018, Pages 59-82]
  • Tamimi, Mohammad Network Analysis of Tehran Stock Exchange using Minimum Spanning Tree and Hierarchical Clustering [Volume 4, Issue 2, 2020, Pages 1-18]
  • Tamoradi, Ali The Effect of Customers Concentration on Company Risks [Volume 4, Issue 2, 2020, Pages 19-39]
  • Tari, Fathollah Developing a Comprehensive Pattern of Preventing Stock Price Manipulation in Iran’s Capital Market: A Grounded Theory Approach [Volume 2, Issue 3, 2018, Pages 104-121]
  • Tehrani, Reza Asset-Liability Management (ALM) Following Liquidity Management Approach Based on Goal Programming in the Commercial Bank [Volume 2, Issue 3, 2018, Pages 25-48]
  • Tehrani, Reza Technical analysis and the strategy-based portfolio versus random one [Volume 3, Issue 2, 2019, Pages 66-87]
  • Tehrani, Reza Network Analysis of Tehran Stock Exchange using Minimum Spanning Tree and Hierarchical Clustering [Volume 4, Issue 2, 2020, Pages 1-18]
  • Tehrani, Reza .Modeling the selection of the optimal stock portfolio based on the combined approach of clustered value at risk and Mental Accounting [Volume 5, Issue 2, 2021, Pages 70-94]
  • Tehrani, Reza CEO Power, Corporate Risk-Taking, and the Role of Institutional Owners: Pieces of Evidence of Tehran Stock Exchange Market and Iran Fara Bourse [Volume 6, Issue 1, 2022, Pages 117-141]
  • Tehrani, Reza Stability of the Correlation Between Book and Market Value at Risk as a Measure of Banks' Information Transparency [Volume 8, Issue 2, 2024, Pages 47-72]
  • Tehrani, Reza Predicting Corporate Loan Defaults Using Deep Learning Algorithms and a Comparative Analysis with Linear Models: A Case Study of a Major Commercial Bank [Volume 10, Issue 1, 2026, Pages 1-42]
  • Tohidi, Mohamad Identification and Prioritization of Factors Affecting the Development of the Islamic Debt Securities Market (Sukuk) Using the Fuzzy Screening Technique [Volume 9, Issue 4, 2025, Pages 1-33]
  • Tohidi, Mohammad Developing an Innovative Islamic Model for SME Financing through Iran Sukuk market [Volume 8, Issue 4, 2024, Pages 113-135]
  • Tondnevis, Farid Smart-Beta Portfolio Optimization Using Machine Learning Techniques [Volume 9, Issue 4, 2025, Pages 91-116]
  • Torkaman Ahmadi, Masoomeh Investigating the relationship between privatization and information efficiency, regime switch and structural failure in the Iranian economy [Volume 1, Issue 1, 2017, Pages 7-28]
V
  • Vahabi, Hanie Analysis of Collective Behavior of Iran Banking Sector by Random Matrix Theory [Volume 3, Issue 4, 2019, Pages 60-75]
  • Vakilifard, Hamidreza The Relationship between Technology Use Factors based on the Developed Unified Theory of Acceptance and Use of Technology with Auditors' Ethical Behavior [Volume 4, Issue 3, 2020, Pages 80-102]
  • Vakilifard, Hamid Reza Comparison of linear regression models Ordinary Lasso, Adaptive Group Lasso and Ordinary Least Squares models in selecting effective characteristics to predict the expected return [Volume 2, Issue 3, 2018, Pages 49-69]
  • Valipour, Hashem Investigating the Effects of Disclosure of Non-Financial Intangible Information on Investors’ Judgment about Future Financial Performance of the Company [Volume 5, Issue 2, 2021, Pages 21-45]
  • Valiyan, Hasan Auditors’ Wise Tactfulness in Professional Judgments by Total Interpretive Structural Modeling (TISM) [Volume 5, Issue 2, 2021, Pages 95-127]
  • Valiyan, Hasan Investor Protection Evaluation based on Themes of Corporate Governance Civilization [Volume 7, Issue 1, 2023, Pages 105-140]
  • Valiyan, Hasan Managerial Ability and Investors Protect: Test of Stimulating Decision-Making Functions by Devil's Advocate Theory [Volume 6, Issue 3, 2022, Pages 83-115]
  • Vatankhah, Parisa The Relationship between Stock Market Liquidity, Firm Characteristics and Dividend Payout: Evidence from Tehran Stock Exchange [Volume 1, Issue 1, 2017, Pages 85-97]
  • Vaziri, Mohamad Taghi Portfolio Optimization based on the Risk Minimization by the Weight-Modified CVaR vs. CVaR Method [Volume 6, Issue 2, 2022, Pages 70-94]
Y
  • Yazdani, Hamidreza Identification and Prioritization of Factors Affecting the Development of the Islamic Debt Securities Market (Sukuk) Using the Fuzzy Screening Technique [Volume 9, Issue 4, 2025, Pages 1-33]
  • Yazdani, Hamid Reza Tehran Stock Exchange, Stocks Price Prediction, Using Wisdom of Crowd [Volume 7, Issue 4, 2023, Pages 1-28]
  • Yazdani, Shohreh Governments’ Economic Performance and Earnings Management Methods: Evidence from Tehran Stock Exchange [Volume 2, Issue 2, 2018, Pages 103-129]
  • Yazdifar, Hassan Privatization, Changes in Management Accounting Practices and their impacts on Financial Performance – Evidence from Iran [Volume 4, Issue 3, 2020, Pages 18-48]
Z
  • Zakerian, Morteza The Relationship between Corporate Reputation and Different Types of Earnings Management [Volume 5, Issue 1, 2021, Pages 1-30]
  • Zakizadeh, Babak Neurotransmitters and the Behavior of Individual Investors: Exploratory and Confirmatory Factor Analysis [Volume 9, Issue 2, 2025, Pages 1-25]
  • Zamanianfar, Leila Ranking Psychological Theories with the Accounting-based Approach to Contingency Management using AHP Technique [Volume 7, Issue 2, 2023, Pages 94-121]
  • Zandi, Ahmad Providing a Logistic Model to Predict Individual Trading Behavior in Tehran Stock Exchange [Volume 2, Issue 3, 2018, Pages 70-87]
  • Zandieh, Mostafa Investigating the Importance of Different Companies of Tehran Stock Exchange using Lower Tail Dependency based Interaction Network [Volume 7, Issue 1, 2023, Pages 1-20]
  • Zare Bahnamiri, Mohammad Javad Investigating the Effect of Environmental Uncertainty on the Relationship between Herd Behavior and Negative Price Shock in TSE [Volume 7, Issue 1, 2023, Pages 66-84]
  • Zarinjooei, Kourosh Identifying and Prioritizing the Factors Affecting Enterprise Risk Management Implementation [Volume 9, Issue 1, 2025, Pages 134-161]
  • Zarintaj, Bahareh Pairs Trading Based on Empirical Mode Decomposition (EMD) [Volume 7, Issue 3, 2023, Pages 95-119]
  • Zavari Rezaei,, Akbar Risk prediction of investment funds in member countries of the Federation of European and Asian Stock Exchanges - Machine Learning Approaches [Volume 9, Issue 4, 2025, Pages 140-188]
  • Zeinali, Mahdi Working Capital Management Model for Listed Companies on the Tehran Stock Exchange [Volume 9, Issue 1, 2025, Pages 89-133]
  • Zolfaghary Tabesh, Javad Analysis of the characteristics affecting the trading risk of listed companies' stocks: A hybrid spatial artificial intelligence approach [Volume 10, Issue 1, 2026, Pages 173-237]
  • Zomorodian, Gholamreza Reviewing & Offering a Solution of Transferring Catastrophic Risk to Iranian Capital Market [Volume 1, Issue 2, 2017, Pages 47-71]
  • Zomorodian, Gholamreza A Hybrid Artificial Intelligence Approach to Portfolio Management [Volume 6, Issue 1, 2022, Pages 1-27]