A
-
Abnormal Trading Volume
The Effect of Market Uncertainty on Abnormal Trading Volume Surrounding Quarterly Earnings Announcements: Moderating Roles of Firm Size and Market-Level Information [Volume 27, Issue 3, 2025, Pages 632-659]
-
Artificial Neural Network
Reducing Fraud Detection Costs in Credit Card Transactions: An Information Fusion Approach [Volume 27, Issue 2, 2025, Pages 324-353]
-
Assemetric effect
Asymmetric Effect of Investor Sentiment and Its Volatility on Trading Volume and Stock Returns: Evidence from the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 189-217]
-
Asset pricing model
Developing "Multifactor Asset Pricing Models" Using Threshold Regression Approach and Credit Risk Factor [Volume 27, Issue 1, 2025, Pages 140-166]
-
Asset pricing models
Redesigning the Consumption-Based Asset Pricing Model Based on Fundamental Accounting Variables [Volume 27, Issue 3, 2025, Pages 742-777]
-
Auditors' professional skepticism
The Role and Significance of Auditors’ Professional Skepticism in the Iranian Capital Market: A Phenomenological Study [Volume 27, Issue 3, 2025, Pages 778-798]
B
-
Banking
Predicting Bank Customer Churn Using Machine Learning [Volume 27, Issue 2, 2025, Pages 218-245]
-
Banking Industry
Financial Sustainability Assessment under Economic Uncertainty in Iranian Banking Industry: An Importance-Performance Approach [Volume 27, Issue 3, 2025, Pages 597-631]
-
Bibliometric analysis
Mapping and Analyzing Research on COVID-19 and the Stock Market: A Bibliometric Analysis [Volume 27, Issue 1, 2025, Pages 167-188]
-
Bibliometrics
Corporate Social Responsibility in Family Businesses: A Sustainability-Focused Bibliometric Approach [Volume 27, Issue 2, 2025, Pages 375-408]
-
Bitcoin
The COVID-19 Pandemic, the US Dollar Index, and Bitcoin Prices: Evidence from the Wavelet Analysis Method [Volume 27, Issue 2, 2025, Pages 246-273]
-
Board member selection
A Model for the Election of the Board of Directors [Volume 27, Issue 2, 2025, Pages 485-507]
C
-
Capital market indices
Examining the Impact of Changes in Natural Gas, Oil, and Currency Prices on the Return of Selected Stock Market Indices [Volume 27, Issue 1, 2025, Pages 58-84]
-
Characteristics of the insured
Applications of the Generalized Lorenz Curve and Gini Coefficient in Insurance [Volume 27, Issue 3, 2025, Pages 718-741]
-
Clustering
Displaying Investment Knowledge Based on Returns in the Iranian Stock Market Using Deep Neural Models under Environmental Uncertainty [Volume 27, Issue 3, 2025, Pages 531-565]
-
Consequences of Auditors' professional skepticism in the capital market
The Role and Significance of Auditors’ Professional Skepticism in the Iranian Capital Market: A Phenomenological Study [Volume 27, Issue 3, 2025, Pages 778-798]
-
Consumption-based factors
Redesigning the Consumption-Based Asset Pricing Model Based on Fundamental Accounting Variables [Volume 27, Issue 3, 2025, Pages 742-777]
-
Content elements of management commentary
A Reporting Framework for Management Commentary Reporting in Iran [Volume 27, Issue 2, 2025, Pages 438-484]
-
Continuous wavelet transform
The COVID-19 Pandemic, the US Dollar Index, and Bitcoin Prices: Evidence from the Wavelet Analysis Method [Volume 27, Issue 2, 2025, Pages 246-273]
-
Control variables
A Meta-analysis of the Role of Control Variables in Studies on the Impact of Information Asymmetry on the Cost of Equity Capital [Volume 27, Issue 2, 2025, Pages 297-323]
-
Convolution
Predicting Index Trend Using Hybrid Neural Networks with a Focus on Multi-Scale Temporal Feature Extraction in the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 85-113]
-
Corporate governance
A Model for the Election of the Board of Directors [Volume 27, Issue 2, 2025, Pages 485-507]
-
Corporate social responsibility
The Impact of Corporate Social Responsibility Disclosure on Human Capital Investment Efficiency: The Mediating Role of Internal Control Weakness Disclosure [Volume 27, Issue 3, 2025, Pages 685-717]
-
Corporate Social Responsibility (CSR)
Corporate Social Responsibility in Family Businesses: A Sustainability-Focused Bibliometric Approach [Volume 27, Issue 2, 2025, Pages 375-408]
-
Cost of capital
A Meta-analysis of the Role of Control Variables in Studies on the Impact of Information Asymmetry on the Cost of Equity Capital [Volume 27, Issue 2, 2025, Pages 297-323]
-
Covid-19
Mapping and Analyzing Research on COVID-19 and the Stock Market: A Bibliometric Analysis [Volume 27, Issue 1, 2025, Pages 167-188]
-
Covid-19 pandemic
The COVID-19 Pandemic, the US Dollar Index, and Bitcoin Prices: Evidence from the Wavelet Analysis Method [Volume 27, Issue 2, 2025, Pages 246-273]
-
Credit cards
Reducing Fraud Detection Costs in Credit Card Transactions: An Information Fusion Approach [Volume 27, Issue 2, 2025, Pages 324-353]
-
Customer churn prediction
Predicting Bank Customer Churn Using Machine Learning [Volume 27, Issue 2, 2025, Pages 218-245]
D
-
Deep learning
Displaying Investment Knowledge Based on Returns in the Iranian Stock Market Using Deep Neural Models under Environmental Uncertainty [Volume 27, Issue 3, 2025, Pages 531-565]
-
Deep learning
Predicting Bank Customer Churn Using Machine Learning [Volume 27, Issue 2, 2025, Pages 218-245]
-
Default
Developing "Multifactor Asset Pricing Models" Using Threshold Regression Approach and Credit Risk Factor [Volume 27, Issue 1, 2025, Pages 140-166]
-
Dempster-Shafer evidence theory
Reducing Fraud Detection Costs in Credit Card Transactions: An Information Fusion Approach [Volume 27, Issue 2, 2025, Pages 324-353]
-
Developing Countries
Investigating the Effects of Financial Inclusion on Economic Growth: A Generalized Method of Moments and Quantile Approach [Volume 27, Issue 2, 2025, Pages 274-296]
-
Distance to default
Developing "Multifactor Asset Pricing Models" Using Threshold Regression Approach and Credit Risk Factor [Volume 27, Issue 1, 2025, Pages 140-166]
E
-
Ease of Use
A Foresight Model for Adopting Artificial Intelligence in Financial Reporting: Emphasizing Perceived Usefulness and Ease of Use [Volume 27, Issue 3, 2025, Pages 660-684]
-
Economic Uncertainty
Financial Sustainability Assessment under Economic Uncertainty in Iranian Banking Industry: An Importance-Performance Approach [Volume 27, Issue 3, 2025, Pages 597-631]
-
Effect Size
A Meta-analysis of the Role of Control Variables in Studies on the Impact of Information Asymmetry on the Cost of Equity Capital [Volume 27, Issue 2, 2025, Pages 297-323]
-
Exchange
Designing a Model for Improving Integrated Financial Reporting and Internal Control (IFICR) [Volume 27, Issue 2, 2025, Pages 354-374]
-
Expected return
Redesigning the Consumption-Based Asset Pricing Model Based on Fundamental Accounting Variables [Volume 27, Issue 3, 2025, Pages 742-777]
F
-
Fama-French and Carhart models
Redesigning the Consumption-Based Asset Pricing Model Based on Fundamental Accounting Variables [Volume 27, Issue 3, 2025, Pages 742-777]
-
Family businesses
Corporate Social Responsibility in Family Businesses: A Sustainability-Focused Bibliometric Approach [Volume 27, Issue 2, 2025, Pages 375-408]
-
Financial Flexibility
The Impact of Financial Flexibility and Managerial Ability on Stock Return Volatility: The Mediation of Company Default Risk (A Dynamic Behavioral Approach) [Volume 27, Issue 3, 2025, Pages 566-596]
-
Financial Inclusion
Investigating the Effects of Financial Inclusion on Economic Growth: A Generalized Method of Moments and Quantile Approach [Volume 27, Issue 2, 2025, Pages 274-296]
-
Financial literacy
A Policy Framework for Promoting Financial Literacy in Iran [Volume 27, Issue 1, 2025, Pages 114-139]
-
Financial markets
An Analytical and Explanatory Framework for Establishing Offshore Banks in the Free Trade-Industrial Zones of Iran [Volume 27, Issue 2, 2025, Pages 409-437]
-
Financial reporting quality
A Foresight Model for Adopting Artificial Intelligence in Financial Reporting: Emphasizing Perceived Usefulness and Ease of Use [Volume 27, Issue 3, 2025, Pages 660-684]
-
Financial sustainability
Financial Sustainability Assessment under Economic Uncertainty in Iranian Banking Industry: An Importance-Performance Approach [Volume 27, Issue 3, 2025, Pages 597-631]
-
Firm Size
The Effect of Market Uncertainty on Abnormal Trading Volume Surrounding Quarterly Earnings Announcements: Moderating Roles of Firm Size and Market-Level Information [Volume 27, Issue 3, 2025, Pages 632-659]
-
Foresight of artificial intelligence application
A Foresight Model for Adopting Artificial Intelligence in Financial Reporting: Emphasizing Perceived Usefulness and Ease of Use [Volume 27, Issue 3, 2025, Pages 660-684]
-
Forward-looking information
A Reporting Framework for Management Commentary Reporting in Iran [Volume 27, Issue 2, 2025, Pages 438-484]
-
Framework
An Analytical and Explanatory Framework for Establishing Offshore Banks in the Free Trade-Industrial Zones of Iran [Volume 27, Issue 2, 2025, Pages 409-437]
-
Fraud detection
Reducing Fraud Detection Costs in Credit Card Transactions: An Information Fusion Approach [Volume 27, Issue 2, 2025, Pages 324-353]
-
Fuzzy logistic membership function
Multi-Criteria Fuzzy Portfolio Optimization Considering Varying Levels of Investor Expectations [Volume 27, Issue 1, 2025, Pages 1-30]
G
-
Generalized Lorenz curve
Applications of the Generalized Lorenz Curve and Gini Coefficient in Insurance [Volume 27, Issue 3, 2025, Pages 718-741]
-
Generalized Method of Moments
Investigating the Effects of Financial Inclusion on Economic Growth: A Generalized Method of Moments and Quantile Approach [Volume 27, Issue 2, 2025, Pages 274-296]
I
-
Individual characteristics
A Model for the Election of the Board of Directors [Volume 27, Issue 2, 2025, Pages 485-507]
-
Information Asymmetry
A Meta-analysis of the Role of Control Variables in Studies on the Impact of Information Asymmetry on the Cost of Equity Capital [Volume 27, Issue 2, 2025, Pages 297-323]
-
Insurance pricing
Applications of the Generalized Lorenz Curve and Gini Coefficient in Insurance [Volume 27, Issue 3, 2025, Pages 718-741]
-
Integrated Financial Reporting
Designing a Model for Improving Integrated Financial Reporting and Internal Control (IFICR) [Volume 27, Issue 2, 2025, Pages 354-374]
-
Internal Control
Designing a Model for Improving Integrated Financial Reporting and Internal Control (IFICR) [Volume 27, Issue 2, 2025, Pages 354-374]
-
Internal Control
The Impact of Corporate Social Responsibility Disclosure on Human Capital Investment Efficiency: The Mediating Role of Internal Control Weakness Disclosure [Volume 27, Issue 3, 2025, Pages 685-717]
-
Internal Control Weaknesses
The Impact of Corporate Social Responsibility Disclosure on Human Capital Investment Efficiency: The Mediating Role of Internal Control Weakness Disclosure [Volume 27, Issue 3, 2025, Pages 685-717]
-
Investment portfolio optimization
Multi-Criteria Fuzzy Portfolio Optimization Considering Varying Levels of Investor Expectations [Volume 27, Issue 1, 2025, Pages 1-30]
-
Investor’s sentiments
Asymmetric Effect of Investor Sentiment and Its Volatility on Trading Volume and Stock Returns: Evidence from the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 189-217]
J
-
Johansen's cointegration cest
Examining the Impact of Changes in Natural Gas, Oil, and Currency Prices on the Return of Selected Stock Market Indices [Volume 27, Issue 1, 2025, Pages 58-84]
L
-
Labor investment efficiency
The Impact of Corporate Social Responsibility Disclosure on Human Capital Investment Efficiency: The Mediating Role of Internal Control Weakness Disclosure [Volume 27, Issue 3, 2025, Pages 685-717]
-
Lyapunov exponent
The Impact of Financial Flexibility and Managerial Ability on Stock Return Volatility: The Mediation of Company Default Risk (A Dynamic Behavioral Approach) [Volume 27, Issue 3, 2025, Pages 566-596]
M
-
Machine learning
Predicting Bank Customer Churn Using Machine Learning [Volume 27, Issue 2, 2025, Pages 218-245]
-
Machine learning models
Comparing the Estimation Power of Machine Learning Models and Statistical Models in Predicting Profit Component Changes and Selecting the Optimal Model [Volume 27, Issue 1, 2025, Pages 31-57]
-
Managerial ability
The Impact of Financial Flexibility and Managerial Ability on Stock Return Volatility: The Mediation of Company Default Risk (A Dynamic Behavioral Approach) [Volume 27, Issue 3, 2025, Pages 566-596]
-
Market-level Information
The Effect of Market Uncertainty on Abnormal Trading Volume Surrounding Quarterly Earnings Announcements: Moderating Roles of Firm Size and Market-Level Information [Volume 27, Issue 3, 2025, Pages 632-659]
-
Market uncertainty
The Effect of Market Uncertainty on Abnormal Trading Volume Surrounding Quarterly Earnings Announcements: Moderating Roles of Firm Size and Market-Level Information [Volume 27, Issue 3, 2025, Pages 632-659]
-
Meta-analysis
A Meta-analysis of the Role of Control Variables in Studies on the Impact of Information Asymmetry on the Cost of Equity Capital [Volume 27, Issue 2, 2025, Pages 297-323]
-
Model Selection
Applications of the Generalized Lorenz Curve and Gini Coefficient in Insurance [Volume 27, Issue 3, 2025, Pages 718-741]
-
Multi-criteria portfolio
Multi-Criteria Fuzzy Portfolio Optimization Considering Varying Levels of Investor Expectations [Volume 27, Issue 1, 2025, Pages 1-30]
N
-
Natural gas price
Examining the Impact of Changes in Natural Gas, Oil, and Currency Prices on the Return of Selected Stock Market Indices [Volume 27, Issue 1, 2025, Pages 58-84]
-
Natural Gradient Boost
Probabilistic Forecasting and Robust Optimization for Managing Uncertainty in Smart Beta Portfolio Optimization [Volume 27, Issue 2, 2025, Pages 508-530]
O
-
Objectives of management commentary
A Reporting Framework for Management Commentary Reporting in Iran [Volume 27, Issue 2, 2025, Pages 438-484]
-
Offshore bank
An Analytical and Explanatory Framework for Establishing Offshore Banks in the Free Trade-Industrial Zones of Iran [Volume 27, Issue 2, 2025, Pages 409-437]
P
-
Phenomenology in Auditing
The Role and Significance of Auditors’ Professional Skepticism in the Iranian Capital Market: A Phenomenological Study [Volume 27, Issue 3, 2025, Pages 778-798]
-
Policy Framework
A Policy Framework for Promoting Financial Literacy in Iran [Volume 27, Issue 1, 2025, Pages 114-139]
-
Policy-making
A Policy Framework for Promoting Financial Literacy in Iran [Volume 27, Issue 1, 2025, Pages 114-139]
-
Policymaking and research planning
Mapping and Analyzing Research on COVID-19 and the Stock Market: A Bibliometric Analysis [Volume 27, Issue 1, 2025, Pages 167-188]
-
Profit change direction
Comparing the Estimation Power of Machine Learning Models and Statistical Models in Predicting Profit Component Changes and Selecting the Optimal Model [Volume 27, Issue 1, 2025, Pages 31-57]
R
-
Reporting Quality
Designing a Model for Improving Integrated Financial Reporting and Internal Control (IFICR) [Volume 27, Issue 2, 2025, Pages 354-374]
-
Robust optimization
Probabilistic Forecasting and Robust Optimization for Managing Uncertainty in Smart Beta Portfolio Optimization [Volume 27, Issue 2, 2025, Pages 508-530]
S
-
Scientific Map
Mapping and Analyzing Research on COVID-19 and the Stock Market: A Bibliometric Analysis [Volume 27, Issue 1, 2025, Pages 167-188]
-
Smart Beta
Probabilistic Forecasting and Robust Optimization for Managing Uncertainty in Smart Beta Portfolio Optimization [Volume 27, Issue 2, 2025, Pages 508-530]
-
Social Responsibility
Financial Sustainability Assessment under Economic Uncertainty in Iranian Banking Industry: An Importance-Performance Approach [Volume 27, Issue 3, 2025, Pages 597-631]
-
Statistical models
Comparing the Estimation Power of Machine Learning Models and Statistical Models in Predicting Profit Component Changes and Selecting the Optimal Model [Volume 27, Issue 1, 2025, Pages 31-57]
-
Stock market
Mapping and Analyzing Research on COVID-19 and the Stock Market: A Bibliometric Analysis [Volume 27, Issue 1, 2025, Pages 167-188]
-
Stock Returns
Asymmetric Effect of Investor Sentiment and Its Volatility on Trading Volume and Stock Returns: Evidence from the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 189-217]
-
Supplemental medical insurance
Applications of the Generalized Lorenz Curve and Gini Coefficient in Insurance [Volume 27, Issue 3, 2025, Pages 718-741]
-
Sustainable banking strategy
Financial Sustainability Assessment under Economic Uncertainty in Iranian Banking Industry: An Importance-Performance Approach [Volume 27, Issue 3, 2025, Pages 597-631]
T
-
Tax
An Analytical and Explanatory Framework for Establishing Offshore Banks in the Free Trade-Industrial Zones of Iran [Volume 27, Issue 2, 2025, Pages 409-437]
-
Tehran Stock Exchange
Asymmetric Effect of Investor Sentiment and Its Volatility on Trading Volume and Stock Returns: Evidence from the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 189-217]
-
Thematic analysis
A Model for the Election of the Board of Directors [Volume 27, Issue 2, 2025, Pages 485-507]
-
Threshold effect
Developing "Multifactor Asset Pricing Models" Using Threshold Regression Approach and Credit Risk Factor [Volume 27, Issue 1, 2025, Pages 140-166]
-
Trading volume
Asymmetric Effect of Investor Sentiment and Its Volatility on Trading Volume and Stock Returns: Evidence from the Tehran Stock Exchange [Volume 27, Issue 1, 2025, Pages 189-217]
U
-
U.S. Dollar Index
The COVID-19 Pandemic, the US Dollar Index, and Bitcoin Prices: Evidence from the Wavelet Analysis Method [Volume 27, Issue 2, 2025, Pages 246-273]
V
-
Vector autoregression
Examining the Impact of Changes in Natural Gas, Oil, and Currency Prices on the Return of Selected Stock Market Indices [Volume 27, Issue 1, 2025, Pages 58-84]
-
VOSViewer
Corporate Social Responsibility in Family Businesses: A Sustainability-Focused Bibliometric Approach [Volume 27, Issue 2, 2025, Pages 375-408]
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