Keyword Index

A

  • Abnormal Returns Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange [Volume 3, Issue 3, 2018, Pages 1-10]
  • Abnormal stock return The Effects of Accruals and Cash Flow Anomalies on Net Profit and Abnormal Stock Returns in Accepted Companies in Tehran Securities Exchange [Volume 2, Issue 2, 2017, Pages 29-43]
  • Accounting Investigating the Effects of Large Block Transactions and Owner-ship Nature on Non-Financial Disclosure [Volume 2, Issue 3, 2017, Pages 51-66]
  • Accounting-Based model The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models [(Articles in Press)]
  • Accounting data Impact of the Management Performance Evaluation Methods on the Data Quality in Accounting [Volume 2, Issue 1, 2017, Pages 41-53]
  • Accruals anomalies The Effects of Accruals and Cash Flow Anomalies on Net Profit and Abnormal Stock Returns in Accepted Companies in Tehran Securities Exchange [Volume 2, Issue 2, 2017, Pages 29-43]
  • Accruals component of earn-ing Impacts of Cash Dividend Components on Earning Persistence and Return on Stock [Volume 3, Issue 1, 2018, Pages 53-67]
  • Adverse selection hypothesis, The Analysis of the Existence of the Hypothesis of Adverse Selection on the Relationship between Off-balance Sheet Items and the Bank's Risk [Volume 1, Issue 1, 2016, Pages 85-94]
  • Agency Cost The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency [(Articles in Press)]
  • Agency costs Investigating the Effect of Financial Constraints and Different Levels of Agency Cost on Investment Efficiency [Volume 2, Issue 4, 2017, Pages 31-47]
  • Agency Theory According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle [Volume 3, Issue 1, 2018, Pages 1-16]
  • Agent-based modeling Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank [Volume 4, Issue 4, 2019, Pages 39-49]
  • American future contract option American Option Pricing of Future Contracts in an Effort to Investigate Trading Strategies; Evidence from North Sea Oil Exchange [Volume 2, Issue 3, 2017, Pages 67-77]
  • Annuities Application of Mathematics in Financial Management [Volume 4, Issue 2, 2019, Pages 1-14]
  • Ant Colony Algorithm Portfolio Optimization by Means of Meta Heuristic Algorithms [Volume 4, Issue 4, 2019, Pages 83-97]
  • Antithetic Variate Stock Option Pricing by Augmented Monte-Carlo Simulation models [(Articles in Press)]
  • ARFIMA-FIGARCH framework Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry [Volume 5, Issue 1, 2020, Pages 11-28]
  • Arfima-Figarch Model Comparative Approach to the Backward Elimination and for-ward Selection Methods in Modeling the Systematic Risk Based on the ARFIMA-FIGARCH Model [Volume 2, Issue 4, 2017, Pages 11-30]
  • Artificial Bee Colony Portfolio Optimization by Means of Meta Heuristic Algorithms [Volume 4, Issue 4, 2019, Pages 83-97]
  • Artificial Neural Network Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [(Articles in Press)]
  • Artificial Neural Network The Predictability Power of Neural Network and Genetic Algorithm from Fiems’ Financial crisis [(Articles in Press)]
  • Artificial Neural Network (ANN) Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network [Volume 1, Issue 2, 2016, Pages 95-104]
  • Artificial Neural Networks ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia [Volume 2, Issue 1, 2017, Pages 9-20]
  • Artificial Neural Networks Prediction the Return Fluctuations with Artificial Neural Networks' Approach [Volume 4, Issue 2, 2019, Pages 103-114]
  • Assets ratio Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange [Volume 2, Issue 3, 2017, Pages 1-11]
  • Assuming ownership According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle [Volume 3, Issue 1, 2018, Pages 1-16]
  • Asymmetric Information Factors Affecting Stock Prices regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange [(Articles in Press)]
  • Asymmetric Verifiability A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences [Volume 4, Issue 4, 2019, Pages 1-18]
  • Attitude to Citizens Rights Modeling the Ranking of Effective Indicators in the Corporate Social Responsibility Audit Process from the Perspective of Social Values With the Help of Multi-Criteria Decision Making [(Articles in Press)]
  • Audit Feed An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 19-28]
  • Audit Firm Size An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 19-28]
  • Auditing costs Assessment of Transparency Impact of Accounting Information on the Cost of the Audit for each Type of Industry [Volume 2, Issue 3, 2017, Pages 13-27]
  • Audit Market Concentration To study the effect of audit market concentration on auditors' job stress and audit quality of Tehran Stock Exchange (TSE) Listed Companies [Volume 5, Issue 1, 2020, Pages 113-128]
  • Auditor Opinion The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO [(Articles in Press)]
  • Auditors' Stress To study the effect of audit market concentration on auditors' job stress and audit quality of Tehran Stock Exchange (TSE) Listed Companies [Volume 5, Issue 1, 2020, Pages 113-128]
  • Auditor Size Surplus Free Cash Flow and Earnings Management: The Moderating Role of Auditor Size [Volume 5, Issue 1, 2020, Pages 81-93]
  • Auditor's Selection Tenure An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 19-28]
  • Auditor's Specialization in the Industry An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 19-28]
  • Audit Quality The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO [(Articles in Press)]
  • Audit Quality To study the effect of audit market concentration on auditors' job stress and audit quality of Tehran Stock Exchange (TSE) Listed Companies [Volume 5, Issue 1, 2020, Pages 113-128]

B

  • Backward elimination Method Comparative Approach to the Backward Elimination and for-ward Selection Methods in Modeling the Systematic Risk Based on the ARFIMA-FIGARCH Model [Volume 2, Issue 4, 2017, Pages 11-30]
  • Bank Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [(Articles in Press)]
  • Banking Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model [Volume 3, Issue 2, 2018, Pages 27-41]
  • Banking industry Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [Volume 4, Issue 1, 2019, Pages 1-13]
  • Banking industry Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank [Volume 4, Issue 4, 2019, Pages 39-49]
  • Bayes' rule Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting [Volume 3, Issue 4, 2018, Pages 67-82]
  • Bee Colony algorithm A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm [Volume 4, Issue 4, 2019, Pages 51-66]
  • Behavioral Accounting Reporting Quality of Financial Information Based On Behavioral and Value Accounting [Volume 5, Issue 1, 2020, Pages 95-111]
  • Behavioral Factors Designing a Sustainable Supply Chain Model with an Emphasis on Behavioral Factors for Foodstuffs in Kermanshah Province [Volume 4, Issue 4, 2019, Pages 67-82]
  • Behavioral Finance Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting [Volume 3, Issue 4, 2018, Pages 67-82]
  • Behavioral Finance A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences [Volume 4, Issue 4, 2019, Pages 1-18]
  • Behavioral Finance Stock Price Momentum Modeling: A Grounded Theory Approach [(Articles in Press)]
  • Behavioral Variables Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Bid-ask spread Evaluation of the association between company performance and Iran’s stock market liquidity [Volume 3, Issue 2, 2018, Pages 59-68]
  • Bitcoin Study and Research on the Six-Year Process of Bitcoin Price and Return [Volume 4, Issue 1, 2019, Pages 45-54]
  • Black Scholes model Confidence Interval for Solutions of the Black-Scholes Model [Volume 4, Issue 3, 2019, Pages 49-58]
  • Block Transactions Investigating the Effects of Large Block Transactions and Owner-ship Nature on Non-Financial Disclosure [Volume 2, Issue 3, 2017, Pages 51-66]
  • Board bonus Examining the Relationship between Social Responsibility and Disclosure of Remuneration Paid to Board of Directors [Volume 1, Issue 1, 2016, Pages 1-10]
  • Board Independence Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management [Volume 2, Issue 3, 2017, Pages 91-105]
  • Board members Studying the Relationship between the Financial Incentives of Board Members and Disclosure of Corporate Risk, Emphasizing the Levels of Corporate Performance and Risk [Volume 3, Issue 1, 2018, Pages 69-78]
  • Book risk to market Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 33-42]
  • Business The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange [Volume 2, Issue 1, 2017, Pages 69-81]
  • Business group affiliation Effect of Business Groups Affiliation on Cash Holdings and Return on Equity [Volume 2, Issue 4, 2017, Pages 1-9]
  • Business Strategy, Stock Price Synchronicity, Stock Price Crash Risk Investigating the Effect of Business Strategy and Stock Price Synchronicity on Stock Price Crash Risk [(Articles in Press)]

C

  • Calculus Application of Mathematics in Financial Management [Volume 4, Issue 2, 2019, Pages 1-14]
  • Capital asset pricing The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation [Volume 4, Issue 2, 2019, Pages 43-64]
  • Capital asset pricing model Studying the Expected Returns Based on Carhart Model Com-pared to CAPM Model and Implicit Capital Cost Model Based on Cash and Capital Flow of Growth and Value stocks [Volume 2, Issue 4, 2017, Pages 61-79]
  • Capital Productivity The Relationship between Capital Investment Choice and Capital Productivity: A Test of Firm Life Cycle Theory (A Comparative Investigation of Cyclical and Non-Cyclical Companies) [Volume 3, Issue 4, 2018, Pages 83-100]
  • Capital Structure The Impact of Institutional Ownership on the Relationship between Tax and Capital Structure [Volume 1, Issue 2, 2016, Pages 57-67]
  • Capital Structure Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange [Volume 2, Issue 3, 2017, Pages 1-11]
  • Capital Structure The investigation of the affectivity of various types of cash flows in a diversified capital structure based on the type of strategy [(Articles in Press)]
  • Career progression path planning Effective strategies for the establishment of integration model for succession planning and career progression path of iranian azad universities administrators (Qualitative Research Based Grounded Theory Approach) [Volume 3, Issue 2, 2018, Pages 97-112]
  • Carhart model Studying the Expected Returns Based on Carhart Model Com-pared to CAPM Model and Implicit Capital Cost Model Based on Cash and Capital Flow of Growth and Value stocks [Volume 2, Issue 4, 2017, Pages 61-79]
  • Cash component of earning Impacts of Cash Dividend Components on Earning Persistence and Return on Stock [Volume 3, Issue 1, 2018, Pages 53-67]
  • Cash conversion cycle The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance [Volume 4, Issue 1, 2019, Pages 71-88]
  • Cash Flow Recovery Comparing Relative and Additive Contents of Return with Cash Recovery Rate [Volume 2, Issue 1, 2017, Pages 21-39]
  • Cash flows The investigation of the affectivity of various types of cash flows in a diversified capital structure based on the type of strategy [(Articles in Press)]
  • Cash Holding Inflation, Operating Cycle, Cash Holding [Volume 2, Issue 3, 2017, Pages 79-90]
  • Cash holdings The Survey Relationship between Growth Opportunities, Corpo-rate Risk and Changes in Cash Holdings [Volume 2, Issue 1, 2017, Pages 97-106]
  • CCAPM Developing a Measurement Model for the Sensitivity Analysis of Asset Returns with Regard to Beta Index of Exchange Rate in the Context of the Modified Capital Asset Pricing Model [(Articles in Press)]
  • CEO’s Perceptual Bias in Economic Decisions The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality [Volume 4, Issue 4, 2019, Pages 99-127]
  • CEO’s perceptual bias in judgment The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality [Volume 4, Issue 4, 2019, Pages 99-127]
  • CEO’s Perceptual Biases An Investigation into the Effect of CEO’s Perceptual Biases on Investment Efficiency and Financing Constraints of the Iranian Listed Firms [(Articles in Press)]
  • Chaid rule-based algoritm Stock price prediction using the Chaid rule-based algorithm and particle swarm optimization (pso) [(Articles in Press)]
  • Chance constrained compromise Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 107-120]
  • Changes in the firms The Survey Relationship between Growth Opportunities, Corpo-rate Risk and Changes in Cash Holdings [Volume 2, Issue 1, 2017, Pages 97-106]
  • Characteristics of Auditor Providing a Model for Assessment Internal Control Quality Based on the Characteristics of the Entity, the Characteristics of Auditor and Their Expected Goals in the Firm's Listed in Tehran Stock Exchange [(Articles in Press)]
  • Characteristics of the Economic Unit Providing a Model for Assessment Internal Control Quality Based on the Characteristics of the Entity, the Characteristics of Auditor and Their Expected Goals in the Firm's Listed in Tehran Stock Exchange [(Articles in Press)]
  • CIR Model Factors Affecting Stock Prices regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange [(Articles in Press)]
  • Closed loop supply chain Unreliability Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm [(Articles in Press)]
  • Company's performance Evaluation of the association between company performance and Iran’s stock market liquidity [Volume 3, Issue 2, 2018, Pages 59-68]
  • Company Outlook A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences [Volume 4, Issue 4, 2019, Pages 1-18]
  • Company value The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards [(Articles in Press)]
  • Comparability of Financial Reports Comparability of Financial Reports and Negative Skewness of firm-Specific Monthly Returns: Evidence from Iranian firms [(Articles in Press)]
  • Competition strategies The investigation of the affectivity of various types of cash flows in a diversified capital structure based on the type of strategy [(Articles in Press)]
  • Conditional Value at Risk Using MODEA and MODM with Different Risk Measures for Portfolio Optimization [Volume 5, Issue 1, 2020, Pages 29-51]
  • Confidence interval Confidence Interval for Solutions of the Black-Scholes Model [Volume 4, Issue 3, 2019, Pages 49-58]
  • Conservative Accounting Investigating the Impact of the Financial Crisis on Conservative Accounting and Transparency of Banking Information [Volume 3, Issue 3, 2018, Pages 53-68]
  • Conservative reporting Effect of Conservative Reporting on Investors' Opinion Divergence at the Time of Earnings Announcement [Volume 3, Issue 2, 2018, Pages 81-95]
  • Control Variate Stock Option Pricing by Augmented Monte-Carlo Simulation models [(Articles in Press)]
  • Copula Clayton Application of Clayton Copula in Portfolio Optimization and its Comparison with Markowitz Mean-Variance Analysis [Volume 3, Issue 1, 2018, Pages 33-51]
  • Copula Function Application of Clayton Copula in Portfolio Optimization and its Comparison with Markowitz Mean-Variance Analysis [Volume 3, Issue 1, 2018, Pages 33-51]
  • Corporate cash holdings Effect of Business Groups Affiliation on Cash Holdings and Return on Equity [Volume 2, Issue 4, 2017, Pages 1-9]
  • Corporate Life Cycle According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle [Volume 3, Issue 1, 2018, Pages 1-16]
  • Corporate Social Responsibility The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency [(Articles in Press)]
  • Corporate Social Responsibility Audit Modeling the Ranking of Effective Indicators in the Corporate Social Responsibility Audit Process from the Perspective of Social Values With the Help of Multi-Criteria Decision Making [(Articles in Press)]
  • Correlation distribution The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes [(Articles in Press)]
  • Cost A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm [Volume 4, Issue 4, 2019, Pages 51-66]
  • Cost efficiency Cost Malmquist Productivity index in non competitive environment of price in Data Envelopment Analysis and the use of it in the dealings of the Iranian Stock Exchange [(Articles in Press)]
  • Cost Leadership Strategy The Study of the Effect of Diversification Strategy, Cost Leader-ship Strategies and Product Differentiation on Business Unit Value [Volume 2, Issue 1, 2017, Pages 83-96]
  • Credit rating Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks [Volume 4, Issue 1, 2019, Pages 89-102]
  • Credit Risk Fair Value Accounting for Liabilities and Own Credit Risk [Volume 2, Issue 1, 2017, Pages 55-68]
  • Credit Risk The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange [Volume 2, Issue 1, 2017, Pages 69-81]
  • Credit Risk Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks [Volume 4, Issue 1, 2019, Pages 89-102]
  • Crises magnitude An Analysis of the Repeated Financial Earthquakes [Volume 4, Issue 3, 2019, Pages 59-76]
  • Cumulative motion of particle algorithms Predict the Stock price crash risk by using firefly algorithm and comparison with regression [Volume 3, Issue 2, 2018, Pages 43-58]
  • Current investment The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 79-89]

D

  • Data envelopment analysis ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia [Volume 2, Issue 1, 2017, Pages 9-20]
  • Data envelopment analysis Performance Analysis and Rating of Insurance Companies Using DEA in Iran Capital Market [Volume 2, Issue 3, 2017, Pages 41-50]
  • Data envelopment analysis Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique [Volume 3, Issue 2, 2018, Pages 1-11]
  • Data envelopment analysis Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model [Volume 3, Issue 2, 2018, Pages 27-41]
  • Data envelopment analysis Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [Volume 4, Issue 1, 2019, Pages 1-13]
  • Data envelopment analysis Using MODEA and MODM with Different Risk Measures for Portfolio Optimization [Volume 5, Issue 1, 2020, Pages 29-51]
  • Data envelopment analysis Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange [Volume 5, Issue 1, 2020, Pages 53-67]
  • Data envelopment analysis Cost Malmquist Productivity index in non competitive environment of price in Data Envelopment Analysis and the use of it in the dealings of the Iranian Stock Exchange [(Articles in Press)]
  • Data envelopment analysis Ranking the efficiency and soundness of business banks using a combined method of data envelopment analysis and fuzzy vikor [(Articles in Press)]
  • Data Envelopment Analysis Model The Ranking of Fraudulent Financial Reporting By Using Data Envelopment Analysis: Case of Pharmaceutical Listed Companies [Volume 5, Issue 1, 2020, Pages 69-80]
  • Data mining Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm [(Articles in Press)]
  • DEA two-step Application of the two-stage DEA model for evaluating the efficiency and investigating the relationship between managerial ability and firm performance [(Articles in Press)]
  • Decision tree algorithm Forecasting Stock Trend by Data Mining Algorithm [Volume 3, Issue 1, 2018, Pages 97-105]
  • Default risk Fair Value Accounting for Liabilities and Own Credit Risk [Volume 2, Issue 1, 2017, Pages 55-68]
  • Demographic characteristics of management Management Demographic Characteristics, Auditor Choice and Earnings Quality: Empirical Evidence from Iran [Volume 4, Issue 3, 2019, Pages 95-106]
  • Deposit Interest rate Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran [Volume 3, Issue 4, 2018, Pages 53-66]
  • Deviation from target cash Investigating the Effect of Management Entrenchment on Speed of Cash Holding Adjustment in Companies Listed in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 81-92]
  • Deviation from target leverage Opaque Information, Deviation from Target Leverage and Speed of Adjustment [Volume 4, Issue 2, 2019, Pages 15-29]
  • Disclosure Studying the Relationship between the Financial Incentives of Board Members and Disclosure of Corporate Risk, Emphasizing the Levels of Corporate Performance and Risk [Volume 3, Issue 1, 2018, Pages 69-78]
  • Disclosure level The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards [(Articles in Press)]
  • Disclosure of bad news The Effect of the Sale of the Company to Disclose Bad News for Companies at Different Levels of Activity Ratios [Volume 1, Issue 2, 2016, Pages 85-94]
  • Disclosure of information Examining the Relationship between Social Responsibility and Disclosure of Remuneration Paid to Board of Directors [Volume 1, Issue 1, 2016, Pages 1-10]
  • Disclosure of social Examining the Relationship between Social Responsibility and Disclosure of Remuneration Paid to Board of Directors [Volume 1, Issue 1, 2016, Pages 1-10]
  • Discretionary accruals The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO [(Articles in Press)]
  • Disproportionate pricing Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 1-16]
  • Diversification Strategy The Study of the Effect of Diversification Strategy, Cost Leader-ship Strategies and Product Differentiation on Business Unit Value [Volume 2, Issue 1, 2017, Pages 83-96]
  • Dividends A Long-term Casual Nexus between Stock Price and Dividends: Empirical Evidence from the Accepted Firms in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 43-55]
  • Dynamic network data envelopment analysis Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [(Articles in Press)]

E

  • Earning management The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO [(Articles in Press)]
  • Earning management The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards [(Articles in Press)]
  • Earning persistence Impacts of Cash Dividend Components on Earning Persistence and Return on Stock [Volume 3, Issue 1, 2018, Pages 53-67]
  • Earning quality Prediction the Return Fluctuations with Artificial Neural Networks' Approach [Volume 4, Issue 2, 2019, Pages 103-114]
  • Earnings announcement Effect of Conservative Reporting on Investors' Opinion Divergence at the Time of Earnings Announcement [Volume 3, Issue 2, 2018, Pages 81-95]
  • Earnings Management Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management [Volume 2, Issue 3, 2017, Pages 91-105]
  • Earnings Management Surplus Free Cash Flow and Earnings Management: The Moderating Role of Auditor Size [Volume 5, Issue 1, 2020, Pages 81-93]
  • Earnings risk Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 33-42]
  • Earnin predicting Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network [Volume 1, Issue 2, 2016, Pages 95-104]
  • Econometric of panel data Application of HS Meta-heuristic Algorithm in Designing a Mathematical Model for Forecasting P/E in the Panel Data Approach [Volume 3, Issue 1, 2018, Pages 17-31]
  • Economic behavior Hyper-Rational Choice and Economic Behaviour [Volume 3, Issue 3, 2018, Pages 69-76]
  • Economic cost A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study [Volume 4, Issue 1, 2019, Pages 103-123]
  • Economic Growth Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies [Volume 4, Issue 2, 2019, Pages 75-88]
  • Economics equilibrium point On Vector Equilibrium Problem with Generalized Pseudomonotonicity [Volume 4, Issue 2, 2019, Pages 65-74]
  • Economics to scale Measurement of Economics to Scale in Corporates of Tehran Stock Exchange [Volume 4, Issue 4, 2019, Pages 19-37]
  • Effective strategies Effective strategies for the establishment of integration model for succession planning and career progression path of iranian azad universities administrators (Qualitative Research Based Grounded Theory Approach) [Volume 3, Issue 2, 2018, Pages 97-112]
  • Efficiency Performance Analysis and Rating of Insurance Companies Using DEA in Iran Capital Market [Volume 2, Issue 3, 2017, Pages 41-50]
  • Efficiency Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique [Volume 3, Issue 2, 2018, Pages 1-11]
  • Efficiency Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model [Volume 3, Issue 2, 2018, Pages 27-41]
  • Efficiency Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [Volume 4, Issue 1, 2019, Pages 1-13]
  • Efficiency Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange [Volume 5, Issue 1, 2020, Pages 53-67]
  • Efficiency Ranking the efficiency and soundness of business banks using a combined method of data envelopment analysis and fuzzy vikor [(Articles in Press)]
  • Efficiency estimating Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [(Articles in Press)]
  • Efficiency Firm size The Relationship Between Non-Transparent Financial Reporting and Risk Stock Futures Fall Due to the Size and Performance [Volume 2, Issue 2, 2017, Pages 61-71]
  • EGARCH model Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model [Volume 1, Issue 2, 2016, Pages 69-84]
  • Emotional Tendency Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Entrepreneurs Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies [Volume 4, Issue 2, 2019, Pages 75-88]
  • Environmental cost A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study [Volume 4, Issue 1, 2019, Pages 103-123]
  • Equity overvaluation The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk [(Articles in Press)]
  • Evaluating forecasts Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method [Volume 2, Issue 1, 2017, Pages 1-7]
  • Excess Free Cash Flow Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management [Volume 2, Issue 3, 2017, Pages 91-105]
  • Exchange Organization Developing a Paradigm for Fair Valuation in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 81-96]
  • Exchange Rate Movements Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry [Volume 5, Issue 1, 2020, Pages 11-28]
  • Expenses Explaining the Relationship Between Sticky of Expenses with Prediction Error of Profit in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 11-18]
  • Expert systems Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks [Volume 4, Issue 1, 2019, Pages 89-102]

F

  • Facility Interest Rate Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran [Volume 3, Issue 4, 2018, Pages 53-66]
  • Facility Interest Rate The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017) [Volume 4, Issue 3, 2019, Pages 15-29]
  • Fair Valuation Developing a Paradigm for Fair Valuation in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 81-96]
  • Fair Value Fair Value Accounting for Liabilities and Own Credit Risk [Volume 2, Issue 1, 2017, Pages 55-68]
  • Feature Selection Predict the Stock price crash risk by using firefly algorithm and comparison with regression [Volume 3, Issue 2, 2018, Pages 43-58]
  • Financial Assessment Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model [Volume 3, Issue 2, 2018, Pages 27-41]
  • Financial Bias Decline of Auditor's Financial Bias in Decision making by Professionalism in Auditing: Rough Set Analysis [(Articles in Press)]
  • Financial Characteristics Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior [(Articles in Press)]
  • Financial derivatives The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards [(Articles in Press)]
  • Financial Distress The Effect of Financial Distress on the Investment Behavior of Companies Listed on Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 17-28]
  • Financial Distress Prediction The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models [(Articles in Press)]
  • Financial Information Reporting Quality of Financial Information Based On Behavioral and Value Accounting [Volume 5, Issue 1, 2020, Pages 95-111]
  • Financial Instruments The Role of Financial Instruments and Derivatives Disclosure on the Excess Return and Company Value Based on Iran Accounting Standards [(Articles in Press)]
  • Financial Leverage Impact of Long-term Debt on Overinvestment Problem of Agency [Volume 2, Issue 4, 2017, Pages 93-105]
  • Financial Leverage Analysis of Financial Leverage, Operating Leverage and Capital Venture Effect on Tobin's Q Ratio of Investment and Holding Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 91-96]
  • Financial Leverage Studying the Role of Marketing Intensity on the Relation of Financial Leverage and Firm Function [Volume 3, Issue 3, 2018, Pages 27-39]
  • Financial Leverage Financial Statement Comparability and the Expected Crash Risk of Stock Prices [Volume 3, Issue 3, 2018, Pages 77-93]
  • Financial Performance The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance [Volume 4, Issue 1, 2019, Pages 71-88]
  • Financial Reporting Competitive-ness The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality [Volume 4, Issue 4, 2019, Pages 99-127]
  • Financial Reporting Reliability The Effects of the CEO’s Perceptual Bias in Economic Decision-Making and Judgment on the Capabilities of the Financial Reporting Quality [Volume 4, Issue 4, 2019, Pages 99-127]
  • Financial statements Comparability Financial Statement Comparability and the Expected Crash Risk of Stock Prices [Volume 3, Issue 3, 2018, Pages 77-93]
  • Financial Structure The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application [Volume 3, Issue 3, 2018, Pages 11-26]
  • Financing Constraints An Investigation into the Effect of CEO’s Perceptual Biases on Investment Efficiency and Financing Constraints of the Iranian Listed Firms [(Articles in Press)]
  • Financing through debt The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 79-89]
  • Financing through equity release The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 79-89]
  • Firefly Algorithm Predict the Stock price crash risk by using firefly algorithm and comparison with regression [Volume 3, Issue 2, 2018, Pages 43-58]
  • Firm characteristics The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance [Volume 4, Issue 1, 2019, Pages 71-88]
  • Firm Function Studying the Role of Marketing Intensity on the Relation of Financial Leverage and Firm Function [Volume 3, Issue 3, 2018, Pages 27-39]
  • Firm growth A Long-term Casual Nexus between Stock Price and Dividends: Empirical Evidence from the Accepted Firms in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 43-55]
  • Firm reporting quality Investigation of Effects of Corporate Reporting Quality, Timeliness and Quantity for Disclosure and Reliability of Financial Reports on Stock Price Delay [Volume 1, Issue 1, 2016, Pages 67-83]
  • Fixed assets The Effect of the Sale of the Company to Disclose Bad News for Companies at Different Levels of Activity Ratios [Volume 1, Issue 2, 2016, Pages 85-94]
  • Forecasting price to earnings (P/E) ratio Application of HS Meta-heuristic Algorithm in Designing a Mathematical Model for Forecasting P/E in the Panel Data Approach [Volume 3, Issue 1, 2018, Pages 17-31]
  • Forecasting stock price Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse [Volume 4, Issue 3, 2019, Pages 77-94]
  • Forward selection Approach Comparative Approach to the Backward Elimination and for-ward Selection Methods in Modeling the Systematic Risk Based on the ARFIMA-FIGARCH Model [Volume 2, Issue 4, 2017, Pages 11-30]
  • Fractal Market Hypothesis Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry [Volume 5, Issue 1, 2020, Pages 11-28]
  • Fraction of bad news The Study of the Effect of Fraction Resulted of Bad News on Stock Returns Emphasizing the Regulatory Power of Information Disclosure Policies [Volume 2, Issue 2, 2017, Pages 1-17]
  • Fraudulent Financial Reporting The Ranking of Fraudulent Financial Reporting By Using Data Envelopment Analysis: Case of Pharmaceutical Listed Companies [Volume 5, Issue 1, 2020, Pages 69-80]
  • Free Cash Flow Free Cash Flow, Institutional Ownership and Long-Term Performance [Volume 4, Issue 2, 2019, Pages 31-42]
  • Fund performance Effect of Information Delay on Joint Investment Fund's Performance [Volume 1, Issue 2, 2016, Pages 1-13]
  • Future Corporate Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior [(Articles in Press)]
  • Fuzzy Black-Scholes model Economic Appraisal of Investment Projects in Solar Energy under Uncertainty via Fuzzy Real Option Approach (Case Study: a 2-MW Photovoltaic Plant in South of Isfahan, Iran) [Volume 3, Issue 4, 2018, Pages 29-51]
  • Fuzzy DEA Forecasting the Profitability in the Firms Listed in Tehran Stock Exchange Using Data Envelopment Analysis and Artificial Neural Network [Volume 1, Issue 2, 2016, Pages 95-104]
  • Fuzzy DEA Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange [Volume 4, Issue 1, 2019, Pages 31-43]
  • Fuzzy Delphi Hierarchical Economic Appraisal of Investment Projects in Solar Energy under Uncertainty via Fuzzy Real Option Approach (Case Study: a 2-MW Photovoltaic Plant in South of Isfahan, Iran) [Volume 3, Issue 4, 2018, Pages 29-51]
  • Fuzzy Goal Programming Fuzzy Goal Programming Model to Rolling Performance Based Budgeting by Productivity Approach (Case Study: Gas Refiner-ies in Iran) [Volume 3, Issue 3, 2018, Pages 95-107]
  • Fuzzy Goal Programming A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study [Volume 4, Issue 1, 2019, Pages 103-123]
  • Fuzzy mathematics Designing an Expert System for Credit Rating of Real Customers of Banks Using Fuzzy Neural Networks [Volume 4, Issue 1, 2019, Pages 89-102]
  • Fuzzy system A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index [Volume 4, Issue 1, 2019, Pages 15-30]
  • Fuzzy time series Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse [Volume 4, Issue 3, 2019, Pages 77-94]
  • Fuzzy VIKOR Ranking the efficiency and soundness of business banks using a combined method of data envelopment analysis and fuzzy vikor [(Articles in Press)]

G

  • Game Theory Hyper-Rational Choice and Economic Behaviour [Volume 3, Issue 3, 2018, Pages 69-76]
  • GDP The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange) [Volume 1, Issue 2, 2016, Pages 43-56]
  • General and AdministraTive Explaining the Relationship Between Sticky of Expenses with Prediction Error of Profit in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 11-18]
  • Generalized Methods of Moments Evaluation of Monetary and Fiscal Policy Based on New Keynesian Dynamic General Equilibrium Model in Iran’s Economy [(Articles in Press)]
  • Generalized pre-requisites A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm [Volume 4, Issue 4, 2019, Pages 51-66]
  • Generalized pseudomonotonicity On Vector Equilibrium Problem with Generalized Pseudomonotonicity [Volume 4, Issue 2, 2019, Pages 65-74]
  • Genetic Algorithm Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 107-120]
  • Genetic Algorithm Portfolio Optimization by Means of Meta Heuristic Algorithms [Volume 4, Issue 4, 2019, Pages 83-97]
  • Genetic Algorithm The Predictability Power of Neural Network and Genetic Algorithm from Fiems’ Financial crisis [(Articles in Press)]
  • Genetic Algorithm Presenting a Model for Financial Reporting Fraud Detection using Genetic Algorithm [(Articles in Press)]
  • GK model A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index [Volume 4, Issue 1, 2019, Pages 15-30]
  • GMM Method Developing a Measurement Model for the Sensitivity Analysis of Asset Returns with Regard to Beta Index of Exchange Rate in the Context of the Modified Capital Asset Pricing Model [(Articles in Press)]
  • Golden Ratio algorithm Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse [Volume 4, Issue 3, 2019, Pages 77-94]
  • Granger causality test A Long-term Casual Nexus between Stock Price and Dividends: Empirical Evidence from the Accepted Firms in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 43-55]
  • Gray Forecasting Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market [Volume 1, Issue 2, 2016, Pages 15-28]
  • Gross domestic product, Investigating the Relationship between Accounting Earning and Gross Domestic Product in Companies Listed in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 57-66]
  • Grounded Theory Stock Price Momentum Modeling: A Grounded Theory Approach [(Articles in Press)]
  • Growth opportunities The Survey Relationship between Growth Opportunities, Corpo-rate Risk and Changes in Cash Holdings [Volume 2, Issue 1, 2017, Pages 97-106]
  • Gutenberg–Richter law An Analysis of the Repeated Financial Earthquakes [Volume 4, Issue 3, 2019, Pages 59-76]

H

  • Harmonic function On Integral Operator and Argument Estimation of a Novel Subclass of Harmonic Univalent Functions [(Articles in Press)]
  • Harmony search Application of HS Meta-heuristic Algorithm in Designing a Mathematical Model for Forecasting P/E in the Panel Data Approach [Volume 3, Issue 1, 2018, Pages 17-31]
  • Herding Behavior Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Hierarchical Clustering The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes [(Articles in Press)]

I

  • IFRS Replacing IFRS instead of Iranian accounting standard [Volume 2, Issue 2, 2017, Pages 53-59]
  • Implicit capital cost model Studying the Expected Returns Based on Carhart Model Com-pared to CAPM Model and Implicit Capital Cost Model Based on Cash and Capital Flow of Growth and Value stocks [Volume 2, Issue 4, 2017, Pages 61-79]
  • Industry average Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse [Volume 4, Issue 3, 2019, Pages 77-94]
  • Inflation Control Taylor Rule: A Model for the Mechanism of Monetary Policy and Inflation Control in the Framework of the Interest-Free Banking Act [Volume 1, Issue 2, 2016, Pages 29-41]
  • Information Asymmetry Investigating the relationship among information asymmetry, dividend policy and ownership structure [Volume 3, Issue 2, 2018, Pages 69-80]
  • Information Asymmetry Investigating the impact of monitoring intensity and financial reporting time on information asymmetry with respect to agency costs on corporate governance [(Articles in Press)]
  • Information Asymmetry The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency [(Articles in Press)]
  • Information Asymmetry The Empirical Test of the relationship between information asymmetry, Overvalued Equities and Stock Price Crash Risk [(Articles in Press)]
  • Information delay Effect of Information Delay on Joint Investment Fund's Performance [Volume 1, Issue 2, 2016, Pages 1-13]
  • Initial Public Offering The Impact of Audit Quality on Earnings Management: An Experimental Study with Evidence from IPO [(Articles in Press)]
  • Institutional Ownership The Impact of Institutional Ownership on the Relationship between Tax and Capital Structure [Volume 1, Issue 2, 2016, Pages 57-67]
  • Institutional Ownership Impact of Institutional Ownership and Board Independence on the Relationship Between Excess Free Cash Flow and Earnings Management [Volume 2, Issue 3, 2017, Pages 91-105]
  • Institutional Ownership Free Cash Flow, Institutional Ownership and Long-Term Performance [Volume 4, Issue 2, 2019, Pages 31-42]
  • Insurance Companies Performance Analysis and Rating of Insurance Companies Using DEA in Iran Capital Market [Volume 2, Issue 3, 2017, Pages 41-50]
  • Insurance Companies Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange [Volume 4, Issue 1, 2019, Pages 31-43]
  • Integration model Effective strategies for the establishment of integration model for succession planning and career progression path of iranian azad universities administrators (Qualitative Research Based Grounded Theory Approach) [Volume 3, Issue 2, 2018, Pages 97-112]
  • Intensity of supervision Examining the Relationship between Corporate Governance and the Corporate Performance Valuation [Volume 2, Issue 3, 2017, Pages 29-39]
  • Interest Application of Mathematics in Financial Management [Volume 4, Issue 2, 2019, Pages 1-14]
  • Internal Controls Quality Providing a Model for Assessment Internal Control Quality Based on the Characteristics of the Entity, the Characteristics of Auditor and Their Expected Goals in the Firm's Listed in Tehran Stock Exchange [(Articles in Press)]
  • Internal control weaknesses Providing a Model for Assessment Internal Control Quality Based on the Characteristics of the Entity, the Characteristics of Auditor and Their Expected Goals in the Firm's Listed in Tehran Stock Exchange [(Articles in Press)]
  • Internal Return Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange [Volume 3, Issue 3, 2018, Pages 1-10]
  • International Diversification ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia [Volume 2, Issue 1, 2017, Pages 9-20]
  • Investment Efficiency Investigating the Effect of Financial Constraints and Different Levels of Agency Cost on Investment Efficiency [Volume 2, Issue 4, 2017, Pages 31-47]
  • Investment Efficiency An Investigation into the Effect of CEO’s Perceptual Biases on Investment Efficiency and Financing Constraints of the Iranian Listed Firms [(Articles in Press)]
  • Investment Efficiency The Role of Social Interest Rate Risk Management in the Rela-tionship between Sustainability Performance and Investment Ef-ficiency [(Articles in Press)]
  • Investment Efficiency The Mediating Effect of Information Asymmetry and Agency Costs on the Relationship Between CSR and Investment Efficiency [(Articles in Press)]
  • Investors' Differences Expectations A Corporate Perspective on Effect of Asymmetric Verifiability on Investors’ Expectation Differences [Volume 4, Issue 4, 2019, Pages 1-18]
  • Investors' opinion Effect of Conservative Reporting on Investors' Opinion Divergence at the Time of Earnings Announcement [Volume 3, Issue 2, 2018, Pages 81-95]
  • Investors' Sentiment Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Iran Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran [Volume 3, Issue 4, 2018, Pages 53-66]
  • Iran The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017) [Volume 4, Issue 3, 2019, Pages 15-29]
  • Iranin accounting standard Replacing IFRS instead of Iranian accounting standard [Volume 2, Issue 2, 2017, Pages 53-59]

J

  • JCPOA The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes [(Articles in Press)]
  • Jonson index Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market [Volume 1, Issue 2, 2016, Pages 15-28]

K

  • Key words: Distress Finance Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies [(Articles in Press)]
  • Keywords: Succession planning Effective strategies for the establishment of integration model for succession planning and career progression path of iranian azad universities administrators (Qualitative Research Based Grounded Theory Approach) [Volume 3, Issue 2, 2018, Pages 97-112]

L

  • Leadership Strategy Investigating the Effect of Internal Rate of Return on Cash Re-cycling on the Abnormal Returns of Companies Accepted in Tehran Stock Exchange [Volume 3, Issue 3, 2018, Pages 1-10]
  • Liquidity The Effect of Liquidity and Credit Risk on the Relationship be-tween Business Activities and Fluctuations in the Price of all Com-panies Listed on the Tehran Stock Exchange [Volume 2, Issue 1, 2017, Pages 69-81]
  • Long Memory property Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry [Volume 5, Issue 1, 2020, Pages 11-28]
  • Long-Term Debt Impact of Long-term Debt on Overinvestment Problem of Agency [Volume 2, Issue 4, 2017, Pages 93-105]
  • Long-term investment The Effect of Investment on the Financing of Listed Companies in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 79-89]
  • Loss functions Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method [Volume 2, Issue 1, 2017, Pages 1-7]

M

  • Machine learning Adaboost Algorithm Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies [(Articles in Press)]
  • Macroeconomic variable of Iran The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017) [Volume 4, Issue 3, 2019, Pages 15-29]
  • Malmquist Productivity Index Cost Malmquist Productivity index in non competitive environment of price in Data Envelopment Analysis and the use of it in the dealings of the Iranian Stock Exchange [(Articles in Press)]
  • Management entrenchments Investigating the Effect of Management Entrenchment on Speed of Cash Holding Adjustment in Companies Listed in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 81-92]
  • Managerial Efficiency The Managerial Ability and Value of Cash: Evidence from Iran [Volume 1, Issue 1, 2016, Pages 19-31]
  • Managerial overconfidence Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies [(Articles in Press)]
  • Managers 'optimism Impact of Managers’ Optimism on the Relationship between Patience of Major Shareholders and Information Influence Management [Volume 4, Issue 3, 2019, Pages 31-48]
  • Market Conditions Impact of momentum on stock returns in different market conditions [(Articles in Press)]
  • Marketing Intensity Studying the Role of Marketing Intensity on the Relation of Financial Leverage and Firm Function [Volume 3, Issue 3, 2018, Pages 27-39]
  • Market reaction Investigating the Effect of Successive News of Distributed Profits, Negative Adjustment and Late Announcement of Adjustment on the Market Reaction Process [(Articles in Press)]
  • Market risk Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 33-42]
  • Metaheuristic Algorithms Application of HS Meta-heuristic Algorithm in Designing a Mathematical Model for Forecasting P/E in the Panel Data Approach [Volume 3, Issue 1, 2018, Pages 17-31]
  • Meta-Heuristic Algorithms Comparison of Portfolio Optimization for Investors at Different Levels of Investors' Risk Aversion in Tehran Stock Exchange with Meta-Heuristic Algorithms [Volume 5, Issue 1, 2020, Pages 1-10]
  • Mishkin’s test Analyzing the efficiency of capital market relative to the decreas-ing and increasing information of the components of accounting earnings [(Articles in Press)]
  • Momentum Impact of momentum on stock returns in different market conditions [(Articles in Press)]
  • Monetary and Fiscal policy Evaluation of Monetary and Fiscal Policy Based on New Keynesian Dynamic General Equilibrium Model in Iran’s Economy [(Articles in Press)]
  • Monetary Policy Taylor Rule: A Model for the Mechanism of Monetary Policy and Inflation Control in the Framework of the Interest-Free Banking Act [Volume 1, Issue 2, 2016, Pages 29-41]
  • Monte Carlo Simulation Stock Option Pricing by Augmented Monte-Carlo Simulation models [(Articles in Press)]
  • MST The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes [(Articles in Press)]
  • Multi-criteria ABC inventory classification A CRITIC-based improved version for multiple criteria ABC inventory classification [(Articles in Press)]
  • Multi criteria decision making Comparison of Selected Performance of Portfolio Investment Companies by Using of Grey Forecasting and Johnson’s Index in Tehran Stock Exchange Market [Volume 1, Issue 2, 2016, Pages 15-28]
  • Multi criteria decision making Stochastic Programming Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 107-120]
  • Multi-factor models The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation [Volume 4, Issue 2, 2019, Pages 43-64]
  • Multi-Objective Decision Making Using MODEA and MODM with Different Risk Measures for Portfolio Optimization [Volume 5, Issue 1, 2020, Pages 29-51]
  • Multi-objective planning Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm [(Articles in Press)]
  • Multivariate GARCH Model Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies [(Articles in Press)]

N

  • Nash Equilibrium Hyper-Rational Choice and Economic Behaviour [Volume 3, Issue 3, 2018, Pages 69-76]
  • Natural gas supply chain A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study [Volume 4, Issue 1, 2019, Pages 103-123]
  • Nature of Owners Investigating the Effects of Large Block Transactions and Owner-ship Nature on Non-Financial Disclosure [Volume 2, Issue 3, 2017, Pages 51-66]
  • Negative adjustment of profit Investigating the Effect of Successive News of Distributed Profits, Negative Adjustment and Late Announcement of Adjustment on the Market Reaction Process [(Articles in Press)]
  • Negative data Using MODEA and MODM with Different Risk Measures for Portfolio Optimization [Volume 5, Issue 1, 2020, Pages 29-51]
  • Neoclassical Theory According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle [Volume 3, Issue 1, 2018, Pages 1-16]
  • Network Analysis The Effect of JCPOA on the Network Behavior Analysis of Tehran Stock Exchange Indexes [(Articles in Press)]
  • Network data envelopment analysis Estimating Efficiency of Bank Branches by Dynamic Network Data Envelopment Analysis and Artificial Neural Network [(Articles in Press)]
  • New Keynesian Evaluation of Monetary and Fiscal Policy Based on New Keynesian Dynamic General Equilibrium Model in Iran’s Economy [(Articles in Press)]
  • Non-financial Disclosure Investigating the Effects of Large Block Transactions and Owner-ship Nature on Non-Financial Disclosure [Volume 2, Issue 3, 2017, Pages 51-66]
  • Nonlinear behavior of costs Measurement of Economics to Scale in Corporates of Tehran Stock Exchange [Volume 4, Issue 4, 2019, Pages 19-37]
  • Non-transparent financial reporting The Relationship Between Non-Transparent Financial Reporting and Risk Stock Futures Fall Due to the Size and Performance [Volume 2, Issue 2, 2017, Pages 61-71]
  • NSGA-II algorithm Development of closed-loop supply chain mathematical model (cost-benefit-environmental effects) under uncertainty conditions by approach of genetic algorithm [(Articles in Press)]
  • Number of board meetings Examining the Relationship between Corporate Governance and the Corporate Performance Valuation [Volume 2, Issue 3, 2017, Pages 29-39]

O

  • Off-balance sheet activities, The Analysis of the Existence of the Hypothesis of Adverse Selection on the Relationship between Off-balance Sheet Items and the Bank's Risk [Volume 1, Issue 1, 2016, Pages 85-94]
  • Ogneva Model Providing a Model for Assessment Internal Control Quality Based on the Characteristics of the Entity, the Characteristics of Auditor and Their Expected Goals in the Firm's Listed in Tehran Stock Exchange [(Articles in Press)]
  • Oil price volatility Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model [Volume 1, Issue 2, 2016, Pages 69-84]
  • Opaque information Opaque Information, Deviation from Target Leverage and Speed of Adjustment [Volume 4, Issue 2, 2019, Pages 15-29]
  • Operating cash flow Investigating the Effect of Profitability and Operating Cash Flow on Trademarks Value [Volume 2, Issue 4, 2017, Pages 49-60]
  • Operating cycle Inflation, Operating Cycle, Cash Holding [Volume 2, Issue 3, 2017, Pages 79-90]
  • Operating Leverage Analysis of Financial Leverage, Operating Leverage and Capital Venture Effect on Tobin's Q Ratio of Investment and Holding Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 91-96]
  • Optimal strategy of trader American Option Pricing of Future Contracts in an Effort to Investigate Trading Strategies; Evidence from North Sea Oil Exchange [Volume 2, Issue 3, 2017, Pages 67-77]
  • Optimization algorithm Applying Optimized Mathematical Algorithms to Forecast Stock Price Average Accredited Banks in Tehran Stock Exchange and Iran Fara Bourse [Volume 4, Issue 3, 2019, Pages 77-94]
  • Organizational ambidexterity Evaluating the Performance of an Ambidextrous Bank Using an Agent-based Modeling Approach: A Case Study of Sepah Bank [Volume 4, Issue 4, 2019, Pages 39-49]
  • Outstanding claims The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange) [Volume 1, Issue 2, 2016, Pages 43-56]
  • Overconfidence in Management Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Overinvestment of the agency Impact of Long-term Debt on Overinvestment Problem of Agency [Volume 2, Issue 4, 2017, Pages 93-105]
  • Overreaction Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 1-16]
  • Overreaction Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting [Volume 3, Issue 4, 2018, Pages 67-82]
  • Oxmetrics7 Identification the Periods of Formation and Bursting of Speculative Bubbles in Iranian Stock Market Using Quantitative Models [Volume 4, Issue 4, 2019, Pages 129-140]

P

  • PANEL-GARCH Model Modelling and Investigating the Differences and Similarities in the Volatility of the Stocks Return in Tehran Stock Exchange Using the Hybrid Model PANEL-GARCH [Volume 3, Issue 2, 2018, Pages 13-26]
  • Paradigm Developing a Paradigm for Fair Valuation in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 81-96]
  • Parametric bootstrap An Analysis of the Repeated Financial Earthquakes [Volume 4, Issue 3, 2019, Pages 59-76]
  • Penalty function The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation [Volume 4, Issue 2, 2019, Pages 43-64]
  • Perceptions Bias Decline of Auditor's Financial Bias in Decision making by Professionalism in Auditing: Rough Set Analysis [(Articles in Press)]
  • Performance Evaluating and Ranking the Firms in Chemical Industry Listed in Tehran Stock Exchange with TOPSIS [Volume 2, Issue 2, 2017, Pages 73-79]
  • Performance Criteria Comparison of Portfolio Optimization for Investors at Different Levels of Investors' Risk Aversion in Tehran Stock Exchange with Meta-Heuristic Algorithms [Volume 5, Issue 1, 2020, Pages 1-10]
  • Performance Evaluation Impact of the Management Performance Evaluation Methods on the Data Quality in Accounting [Volume 2, Issue 1, 2017, Pages 41-53]
  • Performance Evaluation Designing A Mixed System of Network DEA for Evaluating the Efficiency of Branches of Commercial Banks in Iran [Volume 4, Issue 1, 2019, Pages 1-13]
  • Performance sustainability The Role of Social Interest Rate Risk Management in the Rela-tionship between Sustainability Performance and Investment Ef-ficiency [(Articles in Press)]
  • Performance valuation Examining the Relationship between Corporate Governance and the Corporate Performance Valuation [Volume 2, Issue 3, 2017, Pages 29-39]
  • Petrochemical Industry Does Exchange Rate Non-Linear Movements Matter for Analyzing Investment Risk? Evidence from Investing in Iran’s Petrochemical Industry [Volume 5, Issue 1, 2020, Pages 11-28]
  • Petroleum products index Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model [Volume 1, Issue 2, 2016, Pages 69-84]
  • Photovoltaic Plant Economic Appraisal of Investment Projects in Solar Energy under Uncertainty via Fuzzy Real Option Approach (Case Study: a 2-MW Photovoltaic Plant in South of Isfahan, Iran) [Volume 3, Issue 4, 2018, Pages 29-51]
  • PIH and BIH Comparison of Public Investment Approaches on Social Welfare Function: A Case Study of Iran [Volume 4, Issue 2, 2019, Pages 89-101]
  • Portfolio Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange [Volume 5, Issue 1, 2020, Pages 53-67]
  • Portfolio allocation Evaluating the Performance of Forecasting Models for Portfolio Allocation Purposes with Generalized GRACH Method [Volume 2, Issue 1, 2017, Pages 1-7]
  • Portfolio optimization Using Genetic Algorithm in Solving Stochastic Programming for Multi-Objective Portfolio Selection in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 107-120]
  • Portfolio optimization Application of Clayton Copula in Portfolio Optimization and its Comparison with Markowitz Mean-Variance Analysis [Volume 3, Issue 1, 2018, Pages 33-51]
  • Portfolio optimization Portfolio Optimization by Means of Meta Heuristic Algorithms [Volume 4, Issue 4, 2019, Pages 83-97]
  • Portfolio optimization Using MODEA and MODM with Different Risk Measures for Portfolio Optimization [Volume 5, Issue 1, 2020, Pages 29-51]
  • Predicting Earnings Investigating the effect of rounding and revision in predicting earnings per share on investors' attention [Volume 4, Issue 1, 2019, Pages 55-69]
  • Prediction Prediction the Return Fluctuations with Artificial Neural Networks' Approach [Volume 4, Issue 2, 2019, Pages 103-114]
  • Present and Future value Application of Mathematics in Financial Management [Volume 4, Issue 2, 2019, Pages 1-14]
  • Price difference of model and market American Option Pricing of Future Contracts in an Effort to Investigate Trading Strategies; Evidence from North Sea Oil Exchange [Volume 2, Issue 3, 2017, Pages 67-77]
  • Price Momentum Stock Price Momentum Modeling: A Grounded Theory Approach [(Articles in Press)]
  • Probit Regression Evaluation of Intelligent and Statistical Prediction Models for Overconfidence of Managers in the Iranian Capital Market Companies [(Articles in Press)]
  • Product differentiation strategy The Study of the Effect of Diversification Strategy, Cost Leader-ship Strategies and Product Differentiation on Business Unit Value [Volume 2, Issue 1, 2017, Pages 83-96]
  • Production function Measurement of Economics to Scale in Corporates of Tehran Stock Exchange [Volume 4, Issue 4, 2019, Pages 19-37]
  • Professional Audit Decline of Auditor's Financial Bias in Decision making by Professionalism in Auditing: Rough Set Analysis [(Articles in Press)]
  • Profitability indicator Effect of Profitability Indices on the Capital Structure of Listed Companies in Tehran Stock Exchange [Volume 2, Issue 3, 2017, Pages 1-11]
  • Project quality A mathematical model for balancing (cost-time-quality and environmental risks) in oil and gas projects and solving it by multi-objective Bee Colony Algorithm [Volume 4, Issue 4, 2019, Pages 51-66]
  • Public Investment Approaches Comparison of Public Investment Approaches on Social Welfare Function: A Case Study of Iran [Volume 4, Issue 2, 2019, Pages 89-101]

Q

  • Qualified Report An Investigation of Financing Costs Factors on the Auditor's Qualified Report in the Companies Listed in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 19-28]
  • Quality Management Impact of the Management Performance Evaluation Methods on the Data Quality in Accounting [Volume 2, Issue 1, 2017, Pages 41-53]
  • Quality of risk disclosure Studying the Relationship between the Financial Incentives of Board Members and Disclosure of Corporate Risk, Emphasizing the Levels of Corporate Performance and Risk [Volume 3, Issue 1, 2018, Pages 69-78]
  • Quick-reduct algorithm Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange [Volume 5, Issue 1, 2020, Pages 53-67]

R

  • Random forest algorithm Forecasting Stock Trend by Data Mining Algorithm [Volume 3, Issue 1, 2018, Pages 97-105]
  • Rankings The Ranking of Fraudulent Financial Reporting By Using Data Envelopment Analysis: Case of Pharmaceutical Listed Companies [Volume 5, Issue 1, 2020, Pages 69-80]
  • Rationality Hyper-Rational Choice and Economic Behaviour [Volume 3, Issue 3, 2018, Pages 69-76]
  • Ratio of speed of cash adjustment Investigating the Effect of Management Entrenchment on Speed of Cash Holding Adjustment in Companies Listed in Tehran Stock Exchange [Volume 2, Issue 4, 2017, Pages 81-92]
  • Real Earnings Management The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models [(Articles in Press)]
  • Real Option Economic Appraisal of Investment Projects in Solar Energy under Uncertainty via Fuzzy Real Option Approach (Case Study: a 2-MW Photovoltaic Plant in South of Isfahan, Iran) [Volume 3, Issue 4, 2018, Pages 29-51]
  • Regulatory power The Study of the Effect of Fraction Resulted of Bad News on Stock Returns Emphasizing the Regulatory Power of Information Disclosure Policies [Volume 2, Issue 2, 2017, Pages 1-17]
  • Relative Content Comparing Relative and Additive Contents of Return with Cash Recovery Rate [Volume 2, Issue 1, 2017, Pages 21-39]
  • Return Additive Comparing Relative and Additive Contents of Return with Cash Recovery Rate [Volume 2, Issue 1, 2017, Pages 21-39]
  • Return on assets The Effect of Internal and External Factors on Outstanding Claims of Banks (Case Study of Listed Banks on the Tehran Stock Exchange) [Volume 1, Issue 2, 2016, Pages 43-56]
  • Return on assets The Effect of the Sale of the Company to Disclose Bad News for Companies at Different Levels of Activity Ratios [Volume 1, Issue 2, 2016, Pages 85-94]
  • Return on assets Evaluation of the association between company performance and Iran’s stock market liquidity [Volume 3, Issue 2, 2018, Pages 59-68]
  • Return on equity Evaluation of the association between company performance and Iran’s stock market liquidity [Volume 3, Issue 2, 2018, Pages 59-68]
  • Returns on equity Effect of Business Groups Affiliation on Cash Holdings and Return on Equity [Volume 2, Issue 4, 2017, Pages 1-9]
  • Returns to Scale Improving the Banks Shareholder Long Term Values by Using Data Envelopment Analysis Model [Volume 3, Issue 2, 2018, Pages 27-41]
  • Revenue A Fuzzy Goal-Programming Model for Optimization of Sustainable Supply Chain by Focusing on the Environmental and Economic Costs and Revenue: A Case Study [Volume 4, Issue 1, 2019, Pages 103-123]
  • Revision Investigating the effect of rounding and revision in predicting earnings per share on investors' attention [Volume 4, Issue 1, 2019, Pages 55-69]
  • Risk The Analysis of the Existence of the Hypothesis of Adverse Selection on the Relationship between Off-balance Sheet Items and the Bank's Risk [Volume 1, Issue 1, 2016, Pages 85-94]
  • Risk Ambiguity Theory and Asset Pricing: Empirical Evidence from Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 101-114]
  • Risk Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies [Volume 4, Issue 2, 2019, Pages 75-88]
  • Risk Aversion Developing a Measurement Model for the Sensitivity Analysis of Asset Returns with Regard to Beta Index of Exchange Rate in the Context of the Modified Capital Asset Pricing Model [(Articles in Press)]
  • Risk falling stock futures The Relationship Between Non-Transparent Financial Reporting and Risk Stock Futures Fall Due to the Size and Performance [Volume 2, Issue 2, 2017, Pages 61-71]
  • Risk-Taking Behavior Impact of Financial Characteristics on Future Corporate Risk-Taking Behavior [(Articles in Press)]
  • ROA The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application [Volume 3, Issue 3, 2018, Pages 11-26]
  • ROE The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application [Volume 3, Issue 3, 2018, Pages 11-26]
  • Rough Set Theory Reduction of DEA-Performance Factors Using Rough Set Theory: An Application of Companies in the Iranian Stock Exchange [Volume 5, Issue 1, 2020, Pages 53-67]
  • Rounding Investigating the effect of rounding and revision in predicting earnings per share on investors' attention [Volume 4, Issue 1, 2019, Pages 55-69]

S

  • Salience Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 1-16]
  • Securities Banks Assessment of the efficiency of banks accepted in Tehran Stock Exchange using the data envelopment analysis technique [Volume 3, Issue 2, 2018, Pages 1-11]
  • Seizing assets According to Agency Theory and Neoclassical Theory; New Ownership and Diversity of Public Sector Companies in Corporate Life Cycle [Volume 3, Issue 1, 2018, Pages 1-16]
  • Share Investigating the effect of rounding and revision in predicting earnings per share on investors' attention [Volume 4, Issue 1, 2019, Pages 55-69]
  • Sharpe index Effect of Information Delay on Joint Investment Fund's Performance [Volume 1, Issue 2, 2016, Pages 1-13]
  • Simulation study An Analysis of the Repeated Financial Earthquakes [Volume 4, Issue 3, 2019, Pages 59-76]
  • Size risk Studying the Effects of Related Factors to Risk on Shareholders’ Equity Cost by Considering Earnings Quality for Accepted Companies in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 33-42]
  • Social interest rate risk management (SIRRM) The Role of Social Interest Rate Risk Management in the Rela-tionship between Sustainability Performance and Investment Ef-ficiency [(Articles in Press)]
  • Social Responsibility The Role of Social Interest Rate Risk Management in the Rela-tionship between Sustainability Performance and Investment Ef-ficiency [(Articles in Press)]
  • Social Welfare Function Comparison of Public Investment Approaches on Social Welfare Function: A Case Study of Iran [Volume 4, Issue 2, 2019, Pages 89-101]
  • Solvency Fair Value Accounting for Liabilities and Own Credit Risk [Volume 2, Issue 1, 2017, Pages 55-68]
  • Speed of adjustment Opaque Information, Deviation from Target Leverage and Speed of Adjustment [Volume 4, Issue 2, 2019, Pages 15-29]
  • Spillover effect Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies [(Articles in Press)]
  • Statistical test Study and Research on the Six-Year Process of Bitcoin Price and Return [Volume 4, Issue 1, 2019, Pages 45-54]
  • Sticky cost behavior of sold Explaining the Relationship Between Sticky of Expenses with Prediction Error of Profit in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 11-18]
  • Stochastic differential equations Confidence Interval for Solutions of the Black-Scholes Model [Volume 4, Issue 3, 2019, Pages 49-58]
  • Stock Developing a Paradigm for Fair Valuation in Tehran Stock Exchange [Volume 2, Issue 2, 2017, Pages 81-96]
  • Stock Studying the Role of Marketing Intensity on the Relation of Financial Leverage and Firm Function [Volume 3, Issue 3, 2018, Pages 27-39]
  • Stock Options Stock Option Pricing by Augmented Monte-Carlo Simulation models [(Articles in Press)]
  • Stock Prices Factors Affecting Stock Prices regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange [(Articles in Press)]
  • Stock Return Modelling and Investigating the Differences and Similarities in the Volatility of the Stocks Return in Tehran Stock Exchange Using the Hybrid Model PANEL-GARCH [Volume 3, Issue 2, 2018, Pages 13-26]
  • Stock Return Investigating the Effect of Investors' Behavior and Management on the Stock Returns: Evidence from Iran [Volume 3, Issue 3, 2018, Pages 41-52]
  • Stock return evaluation The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation [Volume 4, Issue 2, 2019, Pages 43-64]
  • Stock Returns The Study of the Effect of Fraction Resulted of Bad News on Stock Returns Emphasizing the Regulatory Power of Information Disclosure Policies [Volume 2, Issue 2, 2017, Pages 1-17]
  • Stock Returns Impact of Speculative Bubble on Stock Returns in Companies Listed on Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 115-127]
  • Stock Returns Impact of momentum on stock returns in different market conditions [(Articles in Press)]
  • Stocks Ranking Fuzzy Data Envelopment Analysis Approach for Ranking of Stocks with an Application to Tehran Stock Exchange [Volume 4, Issue 1, 2019, Pages 31-43]
  • Stock trend forecasting Forecasting Stock Trend by Data Mining Algorithm [Volume 3, Issue 1, 2018, Pages 97-105]
  • Successive news of distributed profit Investigating the Effect of Successive News of Distributed Profits, Negative Adjustment and Late Announcement of Adjustment on the Market Reaction Process [(Articles in Press)]
  • Sudden shocks The Integration of Multi-Factor Model of Capital Asset Pricing and Penalty Function for Stock Return Evaluation [Volume 4, Issue 2, 2019, Pages 43-64]
  • Supply chain Companies Study of Financial Distress Spillover Effect among Automobile Supply Chain Companies [(Articles in Press)]
  • Surplus Free Cash Flow Surplus Free Cash Flow and Earnings Management: The Moderating Role of Auditor Size [Volume 5, Issue 1, 2020, Pages 81-93]
  • Sustainability Indicators Designing a Sustainable Supply Chain Model with an Emphasis on Behavioral Factors for Foodstuffs in Kermanshah Province [Volume 4, Issue 4, 2019, Pages 67-82]
  • Systematic Risk A Long-term Casual Nexus between Stock Price and Dividends: Empirical Evidence from the Accepted Firms in Tehran Stock Exchange [Volume 1, Issue 1, 2016, Pages 43-55]
  • Systematic Risk Comparative Approach to the Backward Elimination and for-ward Selection Methods in Modeling the Systematic Risk Based on the ARFIMA-FIGARCH Model [Volume 2, Issue 4, 2017, Pages 11-30]

T

  • Taylor Rule Taylor Rule: A Model for the Mechanism of Monetary Policy and Inflation Control in the Framework of the Interest-Free Banking Act [Volume 1, Issue 2, 2016, Pages 29-41]
  • Technical patterns The Effectiveness of the Automatic System of Fuzzy Logic-Based Technical Patterns Recognition: Evidence from Tehran Stock Exchange [Volume 4, Issue 3, 2019, Pages 107-125]
  • Tehran Stock Exchange Impact of Long-term Debt on Overinvestment Problem of Agency [Volume 2, Issue 4, 2017, Pages 93-105]
  • Tehran Stock Exchange The Impacts of Financial Structure on Financial Performance of Banks listed in Tehran Stock Exchange: An Empirical Application [Volume 3, Issue 3, 2018, Pages 11-26]
  • Tehran stock exchange index Effect of Oil Price Volatility and Petroleum Bloomberg Index on Stock Market Returns of Tehran Stock Exchange Using EGARCH Model [Volume 1, Issue 2, 2016, Pages 69-84]
  • Tehran stock exchange index A Fuzzy Random Walk Technique to Forecasting Volatility of Iran Stock Exchange Index [Volume 4, Issue 1, 2019, Pages 15-30]
  • Tehran Stock Exchange (TSE) Impacts of Cash Dividend Components on Earning Persistence and Return on Stock [Volume 3, Issue 1, 2018, Pages 53-67]
  • The asset valuation models Confidence Interval for Solutions of the Black-Scholes Model [Volume 4, Issue 3, 2019, Pages 49-58]
  • The company's risk The Survey Relationship between Growth Opportunities, Corpo-rate Risk and Changes in Cash Holdings [Volume 2, Issue 1, 2017, Pages 97-106]
  • The CRITIC approach A CRITIC-based improved version for multiple criteria ABC inventory classification [(Articles in Press)]
  • Theoretical Price Factors Affecting Stock Prices regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange [(Articles in Press)]
  • Three stage least squar The Relationship Between the Facility Interest Rate and Three Main Variable of the Money Market In Iran (1986-2017) [Volume 4, Issue 3, 2019, Pages 15-29]
  • Three-stage Least Squar Investigating the Relationship between the Facility Interest Rate and the Bank Deposit Interest Rate in Iran [Volume 3, Issue 4, 2018, Pages 53-66]
  • Time value of money Application of Mathematics in Financial Management [Volume 4, Issue 2, 2019, Pages 1-14]
  • Tobin's Q ratio Analysis of Financial Leverage, Operating Leverage and Capital Venture Effect on Tobin's Q Ratio of Investment and Holding Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 91-96]
  • Tobin's Q ratio Evaluation of the association between company performance and Iran’s stock market liquidity [Volume 3, Issue 2, 2018, Pages 59-68]
  • TOPSIS Evaluating and Ranking the Firms in Chemical Industry Listed in Tehran Stock Exchange with TOPSIS [Volume 2, Issue 2, 2017, Pages 73-79]
  • Total Product Diversification ANN-DEA Approach of Corporate Diversification and Efficiency in Bursa Malaysia [Volume 2, Issue 1, 2017, Pages 9-20]
  • TP statistic An Analysis of the Repeated Financial Earthquakes [Volume 4, Issue 3, 2019, Pages 59-76]
  • Trademarks Investigating the Effect of Profitability and Operating Cash Flow on Trademarks Value [Volume 2, Issue 4, 2017, Pages 49-60]
  • Trading Strategies Comparison of Portfolio Optimization for Investors at Different Levels of Investors' Risk Aversion in Tehran Stock Exchange with Meta-Heuristic Algorithms [Volume 5, Issue 1, 2020, Pages 1-10]
  • Transparency of accounting information Assessment of Transparency Impact of Accounting Information on the Cost of the Audit for each Type of Industry [Volume 2, Issue 3, 2017, Pages 13-27]
  • Transparency of Bank Information Investigating the Impact of the Financial Crisis on Conservative Accounting and Transparency of Banking Information [Volume 3, Issue 3, 2018, Pages 53-68]
  • Trend information Study and Research on the Six-Year Process of Bitcoin Price and Return [Volume 4, Issue 1, 2019, Pages 45-54]
  • Type of industry Assessment of Transparency Impact of Accounting Information on the Cost of the Audit for each Type of Industry [Volume 2, Issue 3, 2017, Pages 13-27]

U

  • Uncertainty Factors Affecting Stock Prices regarding Uncertainty and Asymmetric Information in Tehran Stock Exchange [(Articles in Press)]
  • Under-reaction Behavioral Finance Models and Behavioral Biases in Stock Price Forecasting [Volume 3, Issue 4, 2018, Pages 67-82]
  • Under risk selection Salience Theory and Pricing Stock of Corporates in Tehran Stock Exchange [Volume 3, Issue 4, 2018, Pages 1-16]

V

  • Value Accounting Reporting Quality of Financial Information Based On Behavioral and Value Accounting [Volume 5, Issue 1, 2020, Pages 95-111]
  • Value of Cash Holding The Managerial Ability and Value of Cash: Evidence from Iran [Volume 1, Issue 1, 2016, Pages 19-31]
  • Vector equilibrium problem On Vector Equilibrium Problem with Generalized Pseudomonotonicity [Volume 4, Issue 2, 2019, Pages 65-74]
  • Venture Capital Analysis of Financial Leverage, Operating Leverage and Capital Venture Effect on Tobin's Q Ratio of Investment and Holding Companies Listed in Tehran Stock Exchange [Volume 3, Issue 1, 2018, Pages 91-96]
  • Venture Capital Designing Native Decision-Making Model for Selecting Venture Capital Investment in Emerging Companies [Volume 4, Issue 2, 2019, Pages 75-88]

W

  • Working Capital The Moderating Role of Firms characteristics on the Relationship between Working Capital Management and Financial Performance [Volume 4, Issue 1, 2019, Pages 71-88]

Z

  • Z_Score Model The Role of Earnings Management in Theoretical Development and Improving the Efficiency of Accounting-Based Financial Distress Prediction Models [(Articles in Press)]