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1
Investigating the intelligence of investors of mutual funds during the recession and economic prosperity of the capital market
Published 2025-03-01“…راهبرد مدیریت مالی…”
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2
Investors Sentiments and Firm Financial Leverage: An Examination of Market Timing and Debt Capacity Theories
Published 2025-06-01“…راهبرد مدیریت مالی…”
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3
Dynamic risk spillover between exchange rates, stocks, housing, and gold coin in Iran: New evidence from the comparison between sanctions and non-sanctions periods
Published 2025-03-01“…راهبرد مدیریت مالی…”
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4
Identifying the Threshold of the Effect of Systematic and Unsystematic Risks on the Supply Chain of the Oil-Petrochemical and Chemical Industries (Hybrid Fuzzy Delphi Models Type 3...
Published 2024-12-01“…راهبرد مدیریت مالی…”
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5
Diversified Security in Uncertain Conditions: An Investigation of Risk Transfer Among Bitcoin, Gold, Dollar, and Fixed-Income Funds in Iran in the Presence of Geo-Political Risk –...
Published 2025-03-01“…راهبرد مدیریت مالی…”
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6
The Pattern of Return Changes based on Profit Forecast Changes with a Behavioral Finance Approach in the Framework of the Role of Anchor bias
Published 2025-06-01“…راهبرد مدیریت مالی…”
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7
The Impact of Synchronicity on Block Trading: Moderating Role of Media Coverage
Published 2025-03-01“…راهبرد مدیریت مالی…”
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8
Investigating the Dynamic Return Spillover Effect amidst Selected large Stock Exchange Companies: New Evidence from the Contemporaneous and Lagged R2 Connectedness Approach
Published 2025-06-01“…راهبرد مدیریت مالی…”
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9
The Role of Managers' Personality Characteristics and Ownership Concentration on the Relationship between Financing Decisions and Environmental, social and Governance Performance:...
Published 2025-06-01“…راهبرد مدیریت مالی…”
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10
Non-fungible tokens and factors affecting their pricing in a meta synthesis method
Published 2024-09-01“…راهبرد مدیریت مالی…”
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11
A Framework for Identifying and Analyzing the Factors Affecting Corporate Governance in the Country's Banking System with the Approach of Realizing Resistance Economy
Published 2024-12-01“…راهبرد مدیریت مالی…”
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12
Forecasting of Stock Returns based on the Approach of Bayesian Models Averaging; Quantum Finance and Continuous Wavelet Analysis
Published 2025-03-01“…راهبرد مدیریت مالی…”
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13
Investigating the Role and Position of Multiple Personality Components on the Organizational Commitments of Senior Financial Managers in Companies Listed on the Tehran Stock Exchan...
Published 2024-12-01“…راهبرد مدیریت مالی…”
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14
Investigating the Impact Corporate Financialization on Investment Efficiency based on the Moderating role of Financing Constraints of Companies listed on the Tehran Stock Exchange
Published 2025-06-01“…راهبرد مدیریت مالی…”
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15
Investigating the Effectiveness of Option Pricing Using Machine learning models Compared to the Black-Scholes model
Published 2025-06-01“…راهبرد مدیریت مالی…”
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16
COVID-19 and Herd Behavior in Cryptocurrency Market
Published 2025-03-01“…راهبرد مدیریت مالی…”
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17
Measuring the amount of influencing factors on block spending in each of the active industries in Iran's capital market
Published 2024-09-01“…راهبرد مدیریت مالی…”
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18
The Impact of Corporate Reputation on Financial Leverage and Trade Credit
Published 2025-03-01“…راهبرد مدیریت مالی…”
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19
Unraveling Herd Behavior: Its Impact on Investment Management and Perceptions of Market Efficiency
Published 2025-06-01“…راهبرد مدیریت مالی…”
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20
Proposing a Conceptual-Mathematical Model for Financial Distress Prediction by Focusing on Adjusted Cash Flow Statement
Published 2025-06-01“…راهبرد مدیریت مالی…”
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