Audit Committee StructureDeveloping a Financial Performance Evaluation Model for Companies with a Focus on Audit Committee Structure [Volume 13, Issue 49, 2028, Pages 233-258]
Audit MarketingBehavioral Characteristics and Auditors' Attitude to Marketing Activities [Volume 13, Issue 49, 2028, Pages 259-270]
Auditor Litigation RiskCosmetic Accounting and Auditor Litigation Risk in Emerging Market: The Moderating Effect of Corporate Governance [Volume 13, Issue 49, 2028, Pages 43-60]
Auditors' ethical whistleblowingHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
Automatablemanagement monitoring modelDesigning Key Performance and Risk Indicators (KPI/KRI) for a Five-Layer Framework of International Financial Transfers and Proposing an Automatable Management Monitoring Model [Volume 13, Issue 49, 2028, Pages 219-232]
Board CharacteristicsCosmetic Accounting and Auditor Litigation Risk in Emerging Market: The Moderating Effect of Corporate Governance [Volume 13, Issue 49, 2028, Pages 43-60]
Budgeting, Performance, Sustainable DevelopmentExamination of Success Factors for Implementing Performance-Based Budgeting in the Public Sector for Sustainable Development [Volume 13, Issue 48, 2028, Pages 1-22]
Co-movement AnalysisDependencies and Volatility Spillovers between Stock Markets and Futures Markets using Time-Varying Conditional Copula Models and Multivariate GARCH [Volume 13, Issue 48, 2028, Pages 61-80]
Corporate GovernanceCosmetic Accounting and Auditor Litigation Risk in Emerging Market: The Moderating Effect of Corporate Governance [Volume 13, Issue 49, 2028, Pages 43-60]
Corporate Sustainability ReportingExamining the impact and prioritization of corporate sustainability criteria on negative return skewness in the Tehran Stock Exchange [Volume 13, Issue 49, 2028, Pages 157-166]
Cosmetic AccountingCosmetic Accounting and Auditor Litigation Risk in Emerging Market: The Moderating Effect of Corporate Governance [Volume 13, Issue 49, 2028, Pages 43-60]
Cross-Market DynamicsDependencies and Volatility Spillovers between Stock Markets and Futures Markets using Time-Varying Conditional Copula Models and Multivariate GARCH [Volume 13, Issue 48, 2028, Pages 61-80]
D
Divergence of investors' opinionsInvestigating the Effect of Unusual Auditors' Fees on the Divergence of Investors' Opinions on the Tehran Stock Exchange [Volume 13, Issue 48, 2028, Pages 123-134]
Downside risksExplaining Optimal Portfolio Management and Adverse Risk Management Using Econometric Systems [Volume 13, Issue 49, 2028, Pages 205-218]
Dynamic Correlation StructureDependencies and Volatility Spillovers between Stock Markets and Futures Markets using Time-Varying Conditional Copula Models and Multivariate GARCH [Volume 13, Issue 48, 2028, Pages 61-80]
E
Emerging marketsHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
Financial BehaviorDevelopment of a Model of Financial Literacy Impacting the Decisions, Behaviors, and Financial Well-being of Capital Market Investors [Volume 13, Issue 49, 2028, Pages 179-204]
Financial Decision-MakingDevelopment of a Model of Financial Literacy Impacting the Decisions, Behaviors, and Financial Well-being of Capital Market Investors [Volume 13, Issue 49, 2028, Pages 179-204]
FinancializationDeveloping a Financial Performance Evaluation Model for Companies with a Focus on Audit Committee Structure [Volume 13, Issue 49, 2028, Pages 233-258]
Financial LiteracyDevelopment of a Model of Financial Literacy Impacting the Decisions, Behaviors, and Financial Well-being of Capital Market Investors [Volume 13, Issue 49, 2028, Pages 179-204]
Financial PerformanceDeveloping a Financial Performance Evaluation Model for Companies with a Focus on Audit Committee Structure [Volume 13, Issue 49, 2028, Pages 233-258]
Financial StatementsDeveloping a Corporate Tax Model Based on Audit Quality: An Approach towards Financial Transparency and Regulatory Compliance [Volume 13, Issue 49, 2028, Pages 13-30]
Five-layer modelDesigning Key Performance and Risk Indicators (KPI/KRI) for a Five-Layer Framework of International Financial Transfers and Proposing an Automatable Management Monitoring Model [Volume 13, Issue 49, 2028, Pages 219-232]
Fuzzy DelphiDesigning an Investor Decision-Making Model in the Tehran Stock Exchange Based on Quantum Probability Theory [Volume 13, Issue 49, 2028, Pages 149-156]
G
Gold MarketPortfolio Risk Management in Oil, Gold, and Stock Markets Based on Dynamic Modeling and Targeted Risk Hedging [Volume 13, Issue 49, 2028, Pages 131-148]
Governance SystemIdentifying and Prioritizing the Constituent Factors of the Governance System of Holdings Based on Risk Appetite [Volume 13, Issue 49, 2028, Pages 167-178]
Grounded TheoryHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
H
Hedging strategyPortfolio Risk Management in Oil, Gold, and Stock Markets Based on Dynamic Modeling and Targeted Risk Hedging [Volume 13, Issue 49, 2028, Pages 131-148]
Holding CompaniesIdentifying and Prioritizing the Constituent Factors of the Governance System of Holdings Based on Risk Appetite [Volume 13, Issue 49, 2028, Pages 167-178]
I
Intellectual CapitalDeveloping a Financial Performance Evaluation Model for Companies with a Focus on Audit Committee Structure [Volume 13, Issue 49, 2028, Pages 233-258]
Intermarket DependenciesDependencies and Volatility Spillovers between Stock Markets and Futures Markets using Time-Varying Conditional Copula Models and Multivariate GARCH [Volume 13, Issue 48, 2028, Pages 61-80]
Internal auditIdentifying and Ranking Weaknesses in Municipalities' Internal Auditing [Volume 13, Issue 49, 2028, Pages 119-130]
Internal Audit WeaknessesIdentifying and Ranking Weaknesses in Municipalities' Internal Auditing [Volume 13, Issue 49, 2028, Pages 119-130]
International financial transfersDesigning Key Performance and Risk Indicators (KPI/KRI) for a Five-Layer Framework of International Financial Transfers and Proposing an Automatable Management Monitoring Model [Volume 13, Issue 49, 2028, Pages 219-232]
Investor decision-makingDesigning an Investor Decision-Making Model in the Tehran Stock Exchange Based on Quantum Probability Theory [Volume 13, Issue 49, 2028, Pages 149-156]
ISM modelingDesigning an Investor Decision-Making Model in the Tehran Stock Exchange Based on Quantum Probability Theory [Volume 13, Issue 49, 2028, Pages 149-156]
K
Key performance and risk indicatorsDesigning Key Performance and Risk Indicators (KPI/KRI) for a Five-Layer Framework of International Financial Transfers and Proposing an Automatable Management Monitoring Model [Volume 13, Issue 49, 2028, Pages 219-232]
Kohlberg's Moral Development TheoryHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
KPI/KRIDesigning Key Performance and Risk Indicators (KPI/KRI) for a Five-Layer Framework of International Financial Transfers and Proposing an Automatable Management Monitoring Model [Volume 13, Issue 49, 2028, Pages 219-232]
Market riskExplaining Optimal Portfolio Management and Adverse Risk Management Using Econometric Systems [Volume 13, Issue 49, 2028, Pages 205-218]
Mean, Variance, Skewness, Kurtosis, TimeDevelopment of Markowitz Portfolio Optimization Model Considering Time Factor and Skewness and kurtosis of Returns [Volume 13, Issue 48, 2028, Pages 193-204]
Moral HazardsDeveloping a Financial Performance Evaluation Model for Companies with a Focus on Audit Committee Structure [Volume 13, Issue 49, 2028, Pages 233-258]
MunicipalitiesIdentifying and Ranking Weaknesses in Municipalities' Internal Auditing [Volume 13, Issue 49, 2028, Pages 119-130]
N
Negative Stock Return SkewnessExamining the impact and prioritization of corporate sustainability criteria on negative return skewness in the Tehran Stock Exchange [Volume 13, Issue 49, 2028, Pages 157-166]
P
Political Shock, Iran&rsquoIdentification and Ranking of Indicators Affected by Political Shocks in Iran’s Capital Market: An Exploratory Approach with CVR and CVI Validation [Volume 13, Issue 49, 2028, Pages 31-42]
Price fluctuationsExplaining Optimal Portfolio Management and Adverse Risk Management Using Econometric Systems [Volume 13, Issue 49, 2028, Pages 205-218]
Professional CommitmentBehavioral Characteristics and Auditors' Attitude to Marketing Activities [Volume 13, Issue 49, 2028, Pages 259-270]
Q
Quality of Financial InformationInvestigating the Effect of Unusual Auditors' Fees on the Divergence of Investors' Opinions on the Tehran Stock Exchange [Volume 13, Issue 48, 2028, Pages 123-134]
Quantum probability theoryDesigning an Investor Decision-Making Model in the Tehran Stock Exchange Based on Quantum Probability Theory [Volume 13, Issue 49, 2028, Pages 149-156]
R
Regulatory governancePresenting a regulatory governance model for the country's industrial development in medical equipment based on the Fuzzy Multi-Criteria Decision-Making Method (MCDM-Fuzzy) [Volume 13, Issue 48, 2028, Pages 105-122]
Rest's Four-Component ModelHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
RiskDesigning a Risk Disclosure Model for Banks Listed on the Iranian Capital Market [Volume 13, Issue 48, 2028, Pages 93-104]
RiskTokenization of Real Estate and Identifying it's Risks in Iran [Volume 13, Issue 49, 2028, Pages 101-118]
Risk AppetiteIdentifying and Prioritizing the Constituent Factors of the Governance System of Holdings Based on Risk Appetite [Volume 13, Issue 49, 2028, Pages 167-178]
S
Schwartz's theoryHighlighting the Role of Motivational Values in Auditors' Ethical [Volume 13, Issue 48, 2028, Pages 153-174]
Stock MarketPortfolio Risk Management in Oil, Gold, and Stock Markets Based on Dynamic Modeling and Targeted Risk Hedging [Volume 13, Issue 49, 2028, Pages 131-148]
Tax discrepanciesDeveloping a Corporate Tax Model Based on Audit Quality: An Approach towards Financial Transparency and Regulatory Compliance [Volume 13, Issue 49, 2028, Pages 13-30]
Tehran Stock ExchangeExamining the impact and prioritization of corporate sustainability criteria on negative return skewness in the Tehran Stock Exchange [Volume 13, Issue 49, 2028, Pages 157-166]
U
UncertaintyDesigning an Investor Decision-Making Model in the Tehran Stock Exchange Based on Quantum Probability Theory [Volume 13, Issue 49, 2028, Pages 149-156]