Accounting TheoryFinancial Accounting Development and Modernity [Volume 10, Issue 36, 2025, Pages 209-222]
Accruals QualityAudit Committee, External Auditor, and Financial Reporting Quality in Indian Corporate Sector [Volume 10, Issue 36, 2025, Pages 169-190]
Agent-based modelingComparative Comparison of the Efficiency of Hybrid Model of an Agent-based & Recursive Neural Network in Automating Algorithmic Trading Strategies in Global Financial Markets [Volume 10, Issue 37, 2025, Pages 209-234]
Agent-based modeling simulationDesigning a Social Banking Model to Reduce Conflict of Financial Interest between Banks and Manufacturing Firms through Agent-Based Modeling Simulation [Volume 10, Issue 37, 2025, Pages 47-60]
Algorithmic tradingComparative Comparison of the Efficiency of Hybrid Model of an Agent-based & Recursive Neural Network in Automating Algorithmic Trading Strategies in Global Financial Markets [Volume 10, Issue 37, 2025, Pages 209-234]
Algorithmic tradingAn Optimal Multi-price Simultaneous Estimation Approach Based on Deep Learning and Genetic Algorithms [Volume 10, Issue 38, 2025, Pages 61-72]
Analysis contentIdentifying The Key Elements Of Lend Tech In Iran's Banking System [Volume 10, Issue 37, 2025, Pages 75-88]
Artificial IntelligenceA Hybrid Neural Network based Model for Liquidity Management in Bank Branches [Volume 10, Issue 39, 2025, Pages 37-54]
Artificial Neural NetworkIdentifying and determining the priority of financial supply chain optimization indicators for production improvement with using Hopfield artificial neural network [Volume 10, Issue 36, 2025, Pages 297-312]
Artificial Neural NetworksA Hybrid Neural Network based Model for Liquidity Management in Bank Branches [Volume 10, Issue 39, 2025, Pages 37-54]
AttitudeThe attitude of the auditing profession to the emerging blockchain technology and the obstacles ahead with the structural equation modeling approach [Volume 10, Issue 39, 2025, Pages 69-86]
AuditThe attitude of the auditing profession to the emerging blockchain technology and the obstacles ahead with the structural equation modeling approach [Volume 10, Issue 39, 2025, Pages 69-86]
AuditThe Effect of Financial Statement Readability on Audit Report Readability [Volume 10, Issue 39, 2025, Pages 215-232]
Audit CommitteeAudit Committee, External Auditor, and Financial Reporting Quality in Indian Corporate Sector [Volume 10, Issue 36, 2025, Pages 169-190]
Auditing InstitutionsInterpretive Structural Modeling of Factors Affecting the Quality of Auditors' Work Life (Case Study: Auditing Institutions in Tehran) [Volume 10, Issue 37, 2025, Pages 105-122]
AuditorAudit warning test on the financial reporting quality [Volume 10, Issue 39, 2025, Pages 101-118]
Auditor IndependenceThe relationship between auditor characteristics with intellectual capital and knowledge-based economy [Volume 10, Issue 37, 2025, Pages 17-30]
Auditor InterlockThe relationship between auditor characteristics with intellectual capital and knowledge-based economy [Volume 10, Issue 37, 2025, Pages 17-30]
Auditor judgmentThe Role of Transformational Leadership in Auditor Knowledge Management and Judgment Processes [Volume 10, Issue 38, 2025, Pages 127-138]
Auditor knowledge creationThe Role of Transformational Leadership in Auditor Knowledge Management and Judgment Processes [Volume 10, Issue 38, 2025, Pages 127-138]
AuditorsInterpretive Structural Modeling of Factors Affecting the Quality of Auditors' Work Life (Case Study: Auditing Institutions in Tehran) [Volume 10, Issue 37, 2025, Pages 105-122]
B
BankEffect of the Corporate Governance Structure on the Performance of Banks in Financial Crises [Volume 10, Issue 37, 2025, Pages 133-140]
BankProviding a model for evaluating the performance and position of banks based on the innovation of financial technology services (Fintech) [Volume 10, Issue 37, 2025, Pages 141-156]
Banking IndustryPrioritizing the use of parachain technology and presenting the pattern of using this technology in the banking industry using theme analysis [Volume 10, Issue 38, 2025, Pages 139-150]
BankruptcyEvaluating the Model and Formula of Continuity of Activities and Use of the Health Diagnosis Division in Iranian Firms [Volume 10, Issue 36, 2025, Pages 153-168]
Bayesian averagingPrioritization of factors affecting behavior and financial literacy based on non-linear Bayesian approaches [Volume 10, Issue 39, 2025, Pages 1-18]
Bayesian Best-Worst MethodAn Integrated Ranking Model of Tehran Stock Exchange Companies Using Bayesian Best-Worst, CoCoSo, and MARCOS Methods (Case Study: Food and Beverage Companies) [Volume 10, Issue 39, 2025, Pages 55-88]
Bayesian networkFraud Prediction in Financial Statements through Comparative Analysis of Data Mining Methods [Volume 10, Issue 38, 2025, Pages 151-166]
Behavioral BiasesTrading behavior of investors in the stock market under the conditions of adherence to social responsibility and behavioral biases [Volume 10, Issue 36, 2025, Pages 191-208]
BiorhythmDesigning a biorhythm cycle model in investigating the biorhythm of capital market investors [Volume 10, Issue 38, 2025, Pages 25-40]
Block chainProviding a supply chain financing model based on block chain technology [Volume 10, Issue 36, 2025, Pages 53-62]
BlockchainPrioritizing the use of parachain technology and presenting the pattern of using this technology in the banking industry using theme analysis [Volume 10, Issue 38, 2025, Pages 139-150]
Blockchain TechnologyThe attitude of the auditing profession to the emerging blockchain technology and the obstacles ahead with the structural equation modeling approach [Volume 10, Issue 39, 2025, Pages 69-86]
Business Continuity RisksThe Role of Managerial Ability, Enterprise Risk Management (ERM) in Reducing the Business Continuity Risk Using the Support Vector Machine (SVM) Model [Volume 10, Issue 37, 2025, Pages 123-132]
C
Capital Formation and Investors ProtectionRelationship between corporate governance and capital formation using the financial development channel in the Middle East and OECD countries [Volume 10, Issue 37, 2025, Pages 61-74]
CapitalismFinancial Accounting Development and Modernity [Volume 10, Issue 36, 2025, Pages 209-222]
Cash FlowAnalysis of the role of managers' characteristics in the relationship between Classes of cash flow statement and capital structure adjustment speed [Volume 10, Issue 38, 2025, Pages 95-110]
CoCoSo Method and MARCOS MethodAn Integrated Ranking Model of Tehran Stock Exchange Companies Using Bayesian Best-Worst, CoCoSo, and MARCOS Methods (Case Study: Food and Beverage Companies) [Volume 10, Issue 39, 2025, Pages 55-88]
Conflict of financial interestDesigning a Social Banking Model to Reduce Conflict of Financial Interest between Banks and Manufacturing Firms through Agent-Based Modeling Simulation [Volume 10, Issue 37, 2025, Pages 47-60]
Corporate GovernanceFactors affecting the quality of management accounting information systems emphasizing on the implementation of corporate governance [Volume 10, Issue 39, 2025, Pages 191-202]
Corporate GovernanceRelationship between corporate governance and capital formation using the financial development channel in the Middle East and OECD countries [Volume 10, Issue 37, 2025, Pages 61-74]
Corporate GovernanceEffect of the Corporate Governance Structure on the Performance of Banks in Financial Crises [Volume 10, Issue 37, 2025, Pages 133-140]
Corporate social responsibilityTrading behavior of investors in the stock market under the conditions of adherence to social responsibility and behavioral biases [Volume 10, Issue 36, 2025, Pages 191-208]
CrowdfundingIdentification and Modeling of Crowdfunding Risk Indicators in FinTech-Based Businesses Based on the Combined Approach of Thematic Analysis and Partial Least Squares in SEM [Volume 10, Issue 38, 2025, Pages 13-24]
D
DCC-GHARCHCompilation of the financial stress index in the stock exchange using the GHARCH-DCC approach [Volume 10, Issue 36, 2025, Pages 75-94]
Deep Neural NetworksAn Optimal Multi-price Simultaneous Estimation Approach Based on Deep Learning and Genetic Algorithms [Volume 10, Issue 38, 2025, Pages 61-72]
Delta Conditional Value-at-Risk (∆CoVaR)Modified systemic risk model with ∆CoVaR approach in banking system with an Emphasis on Bank Indicators [Volume 10, Issue 38, 2025, Pages 73-86]
Digital LendingIdentifying The Key Elements Of Lend Tech In Iran's Banking System [Volume 10, Issue 37, 2025, Pages 75-88]
Dynamic conditional correlationModified systemic risk model with ∆CoVaR approach in banking system with an Emphasis on Bank Indicators [Volume 10, Issue 38, 2025, Pages 73-86]
E
Earnings QualityAudit Committee, External Auditor, and Financial Reporting Quality in Indian Corporate Sector [Volume 10, Issue 36, 2025, Pages 169-190]
Economic ComponentsIdentifying the Financial, Economic and Structural Components Effective in Preventing Financial Frauds [Volume 10, Issue 36, 2025, Pages 255-278]
Economic growthThe Role of Infrastructure Asset Valuation in Infrastructure Asset Management and Sustainable Development.. [Volume 10, Issue 36, 2025, Pages 95-104]
Enterprise Risk Management (ERM)The Role of Managerial Ability, Enterprise Risk Management (ERM) in Reducing the Business Continuity Risk Using the Support Vector Machine (SVM) Model [Volume 10, Issue 37, 2025, Pages 123-132]
Environmental Discourse StrategiesEnvironmental Discourse Strategies and Green Accounting Consequences: Development of Agonism Theory [Volume 10, Issue 36, 2025, Pages 37-52]
EvaluationCompilation of the financial stress index in the stock exchange using the GHARCH-DCC approach [Volume 10, Issue 36, 2025, Pages 75-94]
Experts in the field of auditingClarifying the Professional Audit Supervision Pattern [Volume 10, Issue 38, 2025, Pages 167-178]
External AuditorAudit Committee, External Auditor, and Financial Reporting Quality in Indian Corporate Sector [Volume 10, Issue 36, 2025, Pages 169-190]
External orientationAnalysis of the non-financial value creation mechanisms of venture capitalists for start-up companies [Volume 10, Issue 36, 2025, Pages 232-242]
F
Financial and credit institutionsProvide an Efficient Financial Portfolio for Financial and Credit Institutions Using the Game Theory Mechanism [Volume 10, Issue 36, 2025, Pages 139-152]
Financial BehaviorPrioritization of factors affecting behavior and financial literacy based on non-linear Bayesian approaches [Volume 10, Issue 39, 2025, Pages 1-18]
Financial CrisisThe moderating effect of the firm size on the relationship between the financial crisis and the ownership structure (Evidence from Tehran Stock Exchange) [Volume 10, Issue 36, 2025, Pages 27-35]
Financial DevelopmentRelationship between corporate governance and capital formation using the financial development channel in the Middle East and OECD countries [Volume 10, Issue 37, 2025, Pages 61-74]
Financial educationPrioritization of factors affecting behavior and financial literacy based on non-linear Bayesian approaches [Volume 10, Issue 39, 2025, Pages 1-18]
Financial FraudsIdentifying the Financial, Economic and Structural Components Effective in Preventing Financial Frauds [Volume 10, Issue 36, 2025, Pages 255-278]
Financial LiteracyPrioritization of factors affecting behavior and financial literacy based on non-linear Bayesian approaches [Volume 10, Issue 39, 2025, Pages 1-18]
Financial PerformanceEffect of the Corporate Governance Structure on the Performance of Banks in Financial Crises [Volume 10, Issue 37, 2025, Pages 133-140]
Financial planningPresent a pattern of financial planning based on management performance auditing [Volume 10, Issue 39, 2025, Pages 139-162]
Financial ResilienceIdentifying and prioritizing financial resilience strategies of financial technological business with a risk management approach [Volume 10, Issue 36, 2025, Pages 279-296]
Financial StressCompilation of the financial stress index in the stock exchange using the GHARCH-DCC approach [Volume 10, Issue 36, 2025, Pages 75-94]
Financial stress index (FSI)Designing a Financial Stress Index Based on Global Volatility and Its Relationship with the VIX Index [Volume 10, Issue 37, 2025, Pages 177-192]
FinancingProviding a supply chain financing model based on block chain technology [Volume 10, Issue 36, 2025, Pages 53-62]
Financing chainIdentifying and determining the priority of financial supply chain optimization indicators for production improvement with using Hopfield artificial neural network [Volume 10, Issue 36, 2025, Pages 297-312]
FinTech businessesIdentifying and prioritizing financial resilience strategies of financial technological business with a risk management approach [Volume 10, Issue 36, 2025, Pages 279-296]
Firm SizeThe moderating effect of the firm size on the relationship between the financial crisis and the ownership structure (Evidence from Tehran Stock Exchange) [Volume 10, Issue 36, 2025, Pages 27-35]
Fuzzy FDAHP methodIdentifying and prioritizing financial resilience strategies of financial technological business with a risk management approach [Volume 10, Issue 36, 2025, Pages 279-296]
G
G35Analyzing Threshold Effects of Dividend per Share on Financial Return in TSE-Listed Companies [Volume 10, Issue 37, 2025, Pages 89-104]
Game theoryProvide an Efficient Financial Portfolio for Financial and Credit Institutions Using the Game Theory Mechanism [Volume 10, Issue 36, 2025, Pages 139-152]
Genetic algorithmAn Optimal Multi-price Simultaneous Estimation Approach Based on Deep Learning and Genetic Algorithms [Volume 10, Issue 38, 2025, Pages 61-72]
Green Accounting ConsequencesEnvironmental Discourse Strategies and Green Accounting Consequences: Development of Agonism Theory [Volume 10, Issue 36, 2025, Pages 37-52]
H
HedgingCommon Stocks as a Hedge Against Inflation through the Shares of Tehran Stock Exchange Member Companies [Volume 10, Issue 38, 2025, Pages 1-11]
Herd behaviorModeling the effects of Tehran Stock Exchange investors' sentiment on stock price within a heterogeneous agent model [Volume 10, Issue 36, 2025, Pages 63-74]
Heterogeneous agent modelModeling the effects of Tehran Stock Exchange investors' sentiment on stock price within a heterogeneous agent model [Volume 10, Issue 36, 2025, Pages 63-74]
I
IFRS standardA Review Of International Financial Reporting Standards In Iran And Its Effect On The Quality Of Accounting Financial Statements [Volume 10, Issue 39, 2025, Pages 119-138]
Improvement of the production performance cycleIdentifying and determining the priority of financial supply chain optimization indicators for production improvement with using Hopfield artificial neural network [Volume 10, Issue 36, 2025, Pages 297-312]
InflationCommon Stocks as a Hedge Against Inflation through the Shares of Tehran Stock Exchange Member Companies [Volume 10, Issue 38, 2025, Pages 1-11]
Information Presentation FormatModerating the impact of information presentation format on the relationship between emotional intelligence and judgment decision-making quality of investors [Volume 10, Issue 39, 2025, Pages 19-36]
Infrastructure Asset ManagementThe Role of Infrastructure Asset Valuation in Infrastructure Asset Management and Sustainable Development.. [Volume 10, Issue 36, 2025, Pages 95-104]
Infrastructure Asset ValuationThe Role of Infrastructure Asset Valuation in Infrastructure Asset Management and Sustainable Development.. [Volume 10, Issue 36, 2025, Pages 95-104]
Intellectual CapitalThe relationship between auditor characteristics with intellectual capital and knowledge-based economy [Volume 10, Issue 37, 2025, Pages 17-30]
Internal ControlImpact of Internal Control Regulations on the Financial Reporting Quality [Volume 10, Issue 38, 2025, Pages 41-60]
Internal orientationAnalysis of the non-financial value creation mechanisms of venture capitalists for start-up companies [Volume 10, Issue 36, 2025, Pages 232-242]
Investors' sentimentModeling the effects of Tehran Stock Exchange investors' sentiment on stock price within a heterogeneous agent model [Volume 10, Issue 36, 2025, Pages 63-74]
Investors ‘Trading BehaviorTrading behavior of investors in the stock market under the conditions of adherence to social responsibility and behavioral biases [Volume 10, Issue 36, 2025, Pages 191-208]
ISMInterpretive Structural Modeling of Factors Affecting the Quality of Auditors' Work Life (Case Study: Auditing Institutions in Tehran) [Volume 10, Issue 37, 2025, Pages 105-122]
J
Judgment Decision-Making QualityModerating the impact of information presentation format on the relationship between emotional intelligence and judgment decision-making quality of investors [Volume 10, Issue 39, 2025, Pages 19-36]
K
Keywords: FinancialIdentifying the Financial, Economic and Structural Components Effective in Preventing Financial Frauds [Volume 10, Issue 36, 2025, Pages 255-278]
Key words: "market timing"Determining a model to improve the performance of capital market specialists in the Tehran Stock Exchange using the fuzzy A N P method [Volume 10, Issue 36, 2025, Pages 105-124]
Keywords: ModernityFinancial Accounting Development and Modernity [Volume 10, Issue 36, 2025, Pages 209-222]
Keywords: resilienceIdentifying and prioritizing financial resilience strategies of financial technological business with a risk management approach [Volume 10, Issue 36, 2025, Pages 279-296]
Knowledge-based economyThe relationship between auditor characteristics with intellectual capital and knowledge-based economy [Volume 10, Issue 37, 2025, Pages 17-30]
Knowledge Management (KM) processesThe Role of Transformational Leadership in Auditor Knowledge Management and Judgment Processes [Volume 10, Issue 38, 2025, Pages 127-138]
L
Liquidity managementA Hybrid Neural Network based Model for Liquidity Management in Bank Branches [Volume 10, Issue 39, 2025, Pages 37-54]
LSTMAn Optimal Multi-price Simultaneous Estimation Approach Based on Deep Learning and Genetic Algorithms [Volume 10, Issue 38, 2025, Pages 61-72]
M
M41Analyzing Threshold Effects of Dividend per Share on Financial Return in TSE-Listed Companies [Volume 10, Issue 37, 2025, Pages 89-104]
MachiavellianismThe role of organizational paranoia in the formation of the Machiavellian personality of accountants with emphasis on Gardner's theory of multiple intelligences [Volume 10, Issue 37, 2025, Pages 157-176]
Management performance AuditingPresent a pattern of financial planning based on management performance auditing [Volume 10, Issue 39, 2025, Pages 139-162]
Manager CompetenceFactors affecting the quality of management accounting information systems emphasizing on the implementation of corporate governance [Volume 10, Issue 39, 2025, Pages 191-202]
Managerial abilityThe Role of Managerial Ability, Enterprise Risk Management (ERM) in Reducing the Business Continuity Risk Using the Support Vector Machine (SVM) Model [Volume 10, Issue 37, 2025, Pages 123-132]
Market ResilienceIdentifying Factors Affecting the Resilience of Iran's Capital Market Based on Meta-Synthesis and Fuzzy Delphi [Volume 10, Issue 39, 2025, Pages 203-214]
Meta-synthesisIdentifying Factors Affecting the Resilience of Iran's Capital Market Based on Meta-Synthesis and Fuzzy Delphi [Volume 10, Issue 39, 2025, Pages 203-214]
Method DelphiIdentifying The Key Elements Of Lend Tech In Iran's Banking System [Volume 10, Issue 37, 2025, Pages 75-88]
Multi-criteria decision-makingAn Integrated Ranking Model of Tehran Stock Exchange Companies Using Bayesian Best-Worst, CoCoSo, and MARCOS Methods (Case Study: Food and Beverage Companies) [Volume 10, Issue 39, 2025, Pages 55-88]
Multi-objective optimizationProvide an Efficient Financial Portfolio for Financial and Credit Institutions Using the Game Theory Mechanism [Volume 10, Issue 36, 2025, Pages 139-152]
Multiple IntelligencesThe role of organizational paranoia in the formation of the Machiavellian personality of accountants with emphasis on Gardner's theory of multiple intelligences [Volume 10, Issue 37, 2025, Pages 157-176]
Multi-Price EstimationAn Optimal Multi-price Simultaneous Estimation Approach Based on Deep Learning and Genetic Algorithms [Volume 10, Issue 38, 2025, Pages 61-72]
Multivariate GARCH modelModified systemic risk model with ∆CoVaR approach in banking system with an Emphasis on Bank Indicators [Volume 10, Issue 38, 2025, Pages 73-86]
Multivariate GARCH modelEvaluating volatility of markets parallel to the money market on return of the capital market banking industry [Volume 10, Issue 39, 2025, Pages 233-243]
N
Neural NetworksCompilation of the financial stress index in the stock exchange using the GHARCH-DCC approach [Volume 10, Issue 36, 2025, Pages 75-94]
Non-financial value creation mechanismsAnalysis of the non-financial value creation mechanisms of venture capitalists for start-up companies [Volume 10, Issue 36, 2025, Pages 232-242]
O
OPEC member countriesExperimental Study of the Effect of Exchange Rate Volatility Spillover on Capital Market index: A Case Study of Selected Oil-Exporting OPEC Member Countries [Volume 10, Issue 36, 2025, Pages 1-10]
Operational AccountabilityPresent a pattern of financial planning based on management performance auditing [Volume 10, Issue 39, 2025, Pages 139-162]
OptimizationIdentifying and determining the priority of financial supply chain optimization indicators for production improvement with using Hopfield artificial neural network [Volume 10, Issue 36, 2025, Pages 297-312]
OptimizationA Hybrid Neural Network based Model for Liquidity Management in Bank Branches [Volume 10, Issue 39, 2025, Pages 37-54]
Organizational ParanoiaThe role of organizational paranoia in the formation of the Machiavellian personality of accountants with emphasis on Gardner's theory of multiple intelligences [Volume 10, Issue 37, 2025, Pages 157-176]
OverconfidenceAnalysis of the role of managers' characteristics in the relationship between Classes of cash flow statement and capital structure adjustment speed [Volume 10, Issue 38, 2025, Pages 95-110]
Ownership StructureThe moderating effect of the firm size on the relationship between the financial crisis and the ownership structure (Evidence from Tehran Stock Exchange) [Volume 10, Issue 36, 2025, Pages 27-35]
P
ParachinPrioritizing the use of parachain technology and presenting the pattern of using this technology in the banking industry using theme analysis [Volume 10, Issue 38, 2025, Pages 139-150]
Particle Swarm Optimization AlgorithmFraud Prediction in Financial Statements through Comparative Analysis of Data Mining Methods [Volume 10, Issue 38, 2025, Pages 151-166]
Performance appraisalAn Integrated Ranking Model of Tehran Stock Exchange Companies Using Bayesian Best-Worst, CoCoSo, and MARCOS Methods (Case Study: Food and Beverage Companies) [Volume 10, Issue 39, 2025, Pages 55-88]
Performance based budgeting,Present a pattern of financial planning based on management performance auditing [Volume 10, Issue 39, 2025, Pages 139-162]
Performance DimensionsExplaining the Public-Private Partnership Model for Financing National Iranian Gas Company Projects Based on Structural Model and Kohunen Neural Networks [Volume 10, Issue 36, 2025, Pages 11-26]
Performance evaluationProviding a model for evaluating the performance and position of banks based on the innovation of financial technology services (Fintech) [Volume 10, Issue 37, 2025, Pages 141-156]
Political AccountingFinancial Accounting Development and Modernity [Volume 10, Issue 36, 2025, Pages 209-222]
PoolkadatPrioritizing the use of parachain technology and presenting the pattern of using this technology in the banking industry using theme analysis [Volume 10, Issue 38, 2025, Pages 139-150]
Public-private partnershipExplaining the Public-Private Partnership Model for Financing National Iranian Gas Company Projects Based on Structural Model and Kohunen Neural Networks [Volume 10, Issue 36, 2025, Pages 11-26]
Quality of work lifeInterpretive Structural Modeling of Factors Affecting the Quality of Auditors' Work Life (Case Study: Auditing Institutions in Tehran) [Volume 10, Issue 37, 2025, Pages 105-122]
Quantitative Modeling of Systemic RiskModified systemic risk model with ∆CoVaR approach in banking system with an Emphasis on Bank Indicators [Volume 10, Issue 38, 2025, Pages 73-86]
R
RankingAn Integrated Ranking Model of Tehran Stock Exchange Companies Using Bayesian Best-Worst, CoCoSo, and MARCOS Methods (Case Study: Food and Beverage Companies) [Volume 10, Issue 39, 2025, Pages 55-88]
Recurrent Neural NetworkComparative Comparison of the Efficiency of Hybrid Model of an Agent-based & Recursive Neural Network in Automating Algorithmic Trading Strategies in Global Financial Markets [Volume 10, Issue 37, 2025, Pages 209-234]
Regulation EstablishmentImpact of Internal Control Regulations on the Financial Reporting Quality [Volume 10, Issue 38, 2025, Pages 41-60]
ReliabilityA Review Of International Financial Reporting Standards In Iran And Its Effect On The Quality Of Accounting Financial Statements [Volume 10, Issue 39, 2025, Pages 119-138]
RiskIdentification and Modeling of Crowdfunding Risk Indicators in FinTech-Based Businesses Based on the Combined Approach of Thematic Analysis and Partial Least Squares in SEM [Volume 10, Issue 38, 2025, Pages 13-24]
RiskDevelopment of Credit Rating Scales in Investment Industry Companies [Volume 10, Issue 38, 2025, Pages 111-126]
Risk AppetiteA Hybrid Neural Network based Model for Liquidity Management in Bank Branches [Volume 10, Issue 39, 2025, Pages 37-54]
Risk-Based ApproachThe Role of Managerial Ability, Enterprise Risk Management (ERM) in Reducing the Business Continuity Risk Using the Support Vector Machine (SVM) Model [Volume 10, Issue 37, 2025, Pages 123-132]
S
SimulationModeling the effects of Tehran Stock Exchange investors' sentiment on stock price within a heterogeneous agent model [Volume 10, Issue 36, 2025, Pages 63-74]
Smart ContractPrioritizing the use of parachain technology and presenting the pattern of using this technology in the banking industry using theme analysis [Volume 10, Issue 38, 2025, Pages 139-150]
Social bankingDesigning a Social Banking Model to Reduce Conflict of Financial Interest between Banks and Manufacturing Firms through Agent-Based Modeling Simulation [Volume 10, Issue 37, 2025, Pages 47-60]
Socially Responsible Investing (SRI)The Risk and Performance of ESG Portfolio Strategies in Global Financial Markets [Volume 10, Issue 39, 2025, Pages 173-190]
Start-up companiesAnalysis of the non-financial value creation mechanisms of venture capitalists for start-up companies [Volume 10, Issue 36, 2025, Pages 232-242]
Stock MarketCommon Stocks as a Hedge Against Inflation through the Shares of Tehran Stock Exchange Member Companies [Volume 10, Issue 38, 2025, Pages 1-11]
Supply chainProviding a supply chain financing model based on block chain technology [Volume 10, Issue 36, 2025, Pages 53-62]
Support Vector MachineFraud Prediction in Financial Statements through Comparative Analysis of Data Mining Methods [Volume 10, Issue 38, 2025, Pages 151-166]
Sustainable developmentThe Role of Infrastructure Asset Valuation in Infrastructure Asset Management and Sustainable Development.. [Volume 10, Issue 36, 2025, Pages 95-104]
Sustainable/Green FinanceThe Risk and Performance of ESG Portfolio Strategies in Global Financial Markets [Volume 10, Issue 39, 2025, Pages 173-190]
T
Tehran Stock ExchangeThe moderating effect of the firm size on the relationship between the financial crisis and the ownership structure (Evidence from Tehran Stock Exchange) [Volume 10, Issue 36, 2025, Pages 27-35]
Theory of AgonismEnvironmental Discourse Strategies and Green Accounting Consequences: Development of Agonism Theory [Volume 10, Issue 36, 2025, Pages 37-52]
Transformational leadershipThe Role of Transformational Leadership in Auditor Knowledge Management and Judgment Processes [Volume 10, Issue 38, 2025, Pages 127-138]
V
Venture CapitalAnalysis of the non-financial value creation mechanisms of venture capitalists for start-up companies [Volume 10, Issue 36, 2025, Pages 232-242]
VIX indexDesigning a Financial Stress Index Based on Global Volatility and Its Relationship with the VIX Index [Volume 10, Issue 37, 2025, Pages 177-192]