Financial Management Perspective

Financial Management Perspective

A
  • Abnormal Stock Return Firm reputation, risk, and stock return [Volume 14, Issue 48, 2024, Pages 34-54]
  • Agency Theory The Effect of Information Transparency on Firm Value: The Moderating Role of Industry Competitiveness [Volume 14, Issue 47, 2024, Pages 89-107]
  • Assets under management Analysis of the Impact of Stock Market Yield Fluctuations on the Assets Under Management of Fixed-Income Funds: Examining Periods of Upturns and Downturns [Volume 14, Issue 47, 2024, Pages 59-88]
  • Auditor Selection Concern About Information Spillover and Choosing Auditor [Volume 14, Issue 46, 2024, Pages 9-31]
B
  • Bankruptcy Risk Firm reputation, risk, and stock return [Volume 14, Issue 48, 2024, Pages 34-54]
  • BART Experiment The Initial Investment Experience of Novice Investors on Their Future Behavior Through Risk Perception [Volume 14, Issue 47, 2024, Pages 108-129]
  • Behavioral Bias The role of market entry time in strengthening or weakening the investors' Disposition Effect [Volume 14, Issue 46, 2024, Pages 33-58]
  • Behavioral Finance The role of market entry time in strengthening or weakening the investors' Disposition Effect [Volume 14, Issue 46, 2024, Pages 33-58]
  • Behavioral Finance The Initial Investment Experience of Novice Investors on Their Future Behavior Through Risk Perception [Volume 14, Issue 47, 2024, Pages 108-129]
  • Behavioral Finance The Effect of Overconfidence of the Manager and Internal Financing on the Scale of Investment Efficiency [Volume 14, Issue 48, 2024, Pages 119-139]
C
  • Capital Market Stock Price Manipulation in the Iran Stock Market Using VAE-LSTM Hybrid Model [Volume 14, Issue 46, 2024, Pages 133-161]
  • Capital Market The Effect of Central Bank Policies (Interbank Interest Rate) on Capital Market Performance with the Dynamic Stochastic General Equilibrium Model [Volume 14, Issue 46, 2024, Pages 163-190]
  • Clarification announcements The effectiveness of investors' decision-making from legal requirements in the capital market [Volume 14, Issue 45, 2024, Pages 9-36]
  • CNN Presenting an Optimized CNN-LSTM Model for Stock Price Forecasting in the Tehran Stock Exchange [Volume 14, Issue 45, 2024, Pages 123-147]
  • Collateral Liquidity Estimating Loss Given Default Considering Firm’s Debt Structure and Collateral Liquidity: A Case Study of Selected Firms Listed on the Iranian Capital Market [Volume 14, Issue 45, 2024, Pages 85-122]
  • Common Auditor Concern About Information Spillover and Choosing Auditor [Volume 14, Issue 46, 2024, Pages 9-31]
  • Cross-Validation Interpreting Forecast the Return of the Price Index of Manufacturing Industries in the Tehran Stock Exchange Using Explainable Ensemble Learning [Volume 14, Issue 48, 2024, Pages 55-78]
D
  • Debt Structure Estimating Loss Given Default Considering Firm’s Debt Structure and Collateral Liquidity: A Case Study of Selected Firms Listed on the Iranian Capital Market [Volume 14, Issue 45, 2024, Pages 85-122]
  • Deep Learning Presenting an Optimized CNN-LSTM Model for Stock Price Forecasting in the Tehran Stock Exchange [Volume 14, Issue 45, 2024, Pages 123-147]
  • Deep Learning Stock Price Manipulation in the Iran Stock Market Using VAE-LSTM Hybrid Model [Volume 14, Issue 46, 2024, Pages 133-161]
  • Disposition Effect The role of market entry time in strengthening or weakening the investors' Disposition Effect [Volume 14, Issue 46, 2024, Pages 33-58]
  • Dynamic Stochastic General Equilibrium Model The Effect of Central Bank Policies (Interbank Interest Rate) on Capital Market Performance with the Dynamic Stochastic General Equilibrium Model [Volume 14, Issue 46, 2024, Pages 163-190]
E
  • Emerging Technologies Identifying and Evaluating the Effective Fields of Metaverse in Financial Flexibility: Future Perspectives of the Capital Market [Volume 14, Issue 46, 2024, Pages 59-91]
  • Employee Training Expenses The moderating role of education and R&D expenses on the relationship between labor investment efficiency and operating cash flow volatility: Evidence from listed company on TSE (Tehran Stock Exchange) [Volume 14, Issue 45, 2024, Pages 37-58]
  • Exchange Factors Affecting the Quality of Integrated Financial Reporting and Internal Control of Active Companies on the Tehran Stock Exchange [Volume 14, Issue 47, 2024, Pages 35-58]
  • Exchange Rate Fluctuations Relationship monetary policies and changes in exchange rate with herding behavior [Volume 14, Issue 45, 2024, Pages 59-83]
  • Explainable Artificial Intelligence Interpreting Forecast the Return of the Price Index of Manufacturing Industries in the Tehran Stock Exchange Using Explainable Ensemble Learning [Volume 14, Issue 48, 2024, Pages 55-78]
F
  • Financial Flexibility Identifying and Evaluating the Effective Fields of Metaverse in Financial Flexibility: Future Perspectives of the Capital Market [Volume 14, Issue 46, 2024, Pages 59-91]
  • Financial statement comparability The Role of Financial Statement Comparability and Product Diversification in the Internal Capital Allocation Efficiency [Volume 14, Issue 48, 2024, Pages 79-99]
  • Firm Reputation Firm reputation, risk, and stock return [Volume 14, Issue 48, 2024, Pages 34-54]
  • Firm Value The Effect of Information Transparency on Firm Value: The Moderating Role of Industry Competitiveness [Volume 14, Issue 47, 2024, Pages 89-107]
  • Future Contract Role of Evaluation Period Characteristics in the Efficiency Analysis of Futures Contracts for Equity Index Risk Management [Volume 14, Issue 48, 2024, Pages 9-33]
G
  • GARCH Analysis of the Impact of Stock Market Yield Fluctuations on the Assets Under Management of Fixed-Income Funds: Examining Periods of Upturns and Downturns [Volume 14, Issue 47, 2024, Pages 59-88]
  • Genetic algorithm Interpreting Forecast the Return of the Price Index of Manufacturing Industries in the Tehran Stock Exchange Using Explainable Ensemble Learning [Volume 14, Issue 48, 2024, Pages 55-78]
  • Government Ownership The Effect of the Possibility of Fraud on Misvaluation: The Role of Government Ownership [Volume 14, Issue 47, 2024, Pages 130-148]
  • Gram-Charlier Expansions Analyzing the Information Contained in the Skewness and Kurtosis of TEPIX Returns for Forecasting Risk: GARCH Model with Gram-Charlier Expansions for Innovations [Volume 14, Issue 45, 2024, Pages 149-174]
H
  • Herding Herd Behavior Asymmetry During the Tehran Stock Exchange Bubble [Volume 14, Issue 47, 2024, Pages 9-33]
  • Herding Asymmetry Herd Behavior Asymmetry During the Tehran Stock Exchange Bubble [Volume 14, Issue 47, 2024, Pages 9-33]
  • Herding Behavior Relationship monetary policies and changes in exchange rate with herding behavior [Volume 14, Issue 45, 2024, Pages 59-83]
I
  • Industry Competitiveness The Effect of Information Transparency on Firm Value: The Moderating Role of Industry Competitiveness [Volume 14, Issue 47, 2024, Pages 89-107]
  • Information Asymmetry The Role of Financial Statement Comparability and Product Diversification in the Internal Capital Allocation Efficiency [Volume 14, Issue 48, 2024, Pages 79-99]
  • Information spillover Concern About Information Spillover and Choosing Auditor [Volume 14, Issue 46, 2024, Pages 9-31]
  • Information Transparency The Effect of Information Transparency on Firm Value: The Moderating Role of Industry Competitiveness [Volume 14, Issue 47, 2024, Pages 89-107]
  • Initial Investment Experience The Initial Investment Experience of Novice Investors on Their Future Behavior Through Risk Perception [Volume 14, Issue 47, 2024, Pages 108-129]
  • Integrated Financial Reporting Factors Affecting the Quality of Integrated Financial Reporting and Internal Control of Active Companies on the Tehran Stock Exchange [Volume 14, Issue 47, 2024, Pages 35-58]
  • Internal Control Factors Affecting the Quality of Integrated Financial Reporting and Internal Control of Active Companies on the Tehran Stock Exchange [Volume 14, Issue 47, 2024, Pages 35-58]
  • Internal Resource Financing The Effect of Overconfidence of the Manager and Internal Financing on the Scale of Investment Efficiency [Volume 14, Issue 48, 2024, Pages 119-139]
  • Investment Efficiency The Effect of Overconfidence of the Manager and Internal Financing on the Scale of Investment Efficiency [Volume 14, Issue 48, 2024, Pages 119-139]
  • Investor decision-making The effectiveness of investors' decision-making from legal requirements in the capital market [Volume 14, Issue 45, 2024, Pages 9-36]
L
  • Labor investment efficiency The moderating role of education and R&D expenses on the relationship between labor investment efficiency and operating cash flow volatility: Evidence from listed company on TSE (Tehran Stock Exchange) [Volume 14, Issue 45, 2024, Pages 37-58]
  • Liquidity volume Relationship monetary policies and changes in exchange rate with herding behavior [Volume 14, Issue 45, 2024, Pages 59-83]
  • Loss Given Default Estimating Loss Given Default Considering Firm’s Debt Structure and Collateral Liquidity: A Case Study of Selected Firms Listed on the Iranian Capital Market [Volume 14, Issue 45, 2024, Pages 85-122]
  • LSTM Presenting an Optimized CNN-LSTM Model for Stock Price Forecasting in the Tehran Stock Exchange [Volume 14, Issue 45, 2024, Pages 123-147]
M
  • Manager Overconfidence The Effect of Overconfidence of the Manager and Internal Financing on the Scale of Investment Efficiency [Volume 14, Issue 48, 2024, Pages 119-139]
  • Market Bubble Herd Behavior Asymmetry During the Tehran Stock Exchange Bubble [Volume 14, Issue 47, 2024, Pages 9-33]
  • Market efficiency The role of market entry time in strengthening or weakening the investors' Disposition Effect [Volume 14, Issue 46, 2024, Pages 33-58]
  • Market Entry Timing The role of market entry time in strengthening or weakening the investors' Disposition Effect [Volume 14, Issue 46, 2024, Pages 33-58]
  • Median Shortfall Analyzing the Information Contained in the Skewness and Kurtosis of TEPIX Returns for Forecasting Risk: GARCH Model with Gram-Charlier Expansions for Innovations [Volume 14, Issue 45, 2024, Pages 149-174]
  • Metaverse Identifying and Evaluating the Effective Fields of Metaverse in Financial Flexibility: Future Perspectives of the Capital Market [Volume 14, Issue 46, 2024, Pages 59-91]
  • Monetary Policy The Effect of Central Bank Policies (Interbank Interest Rate) on Capital Market Performance with the Dynamic Stochastic General Equilibrium Model [Volume 14, Issue 46, 2024, Pages 163-190]
N
  • News conferences The effectiveness of investors' decision-making from legal requirements in the capital market [Volume 14, Issue 45, 2024, Pages 9-36]
  • Novice Investors The Initial Investment Experience of Novice Investors on Their Future Behavior Through Risk Perception [Volume 14, Issue 47, 2024, Pages 108-129]
P
  • Paradigmatic Framework The Contexts Genealogy of the Toxic Assets Emergence in Capital Market Companies: The Application of a Paradigmatic Framework [Volume 14, Issue 46, 2024, Pages 93-131]
R
  • Random forest Interpreting Forecast the Return of the Price Index of Manufacturing Industries in the Tehran Stock Exchange Using Explainable Ensemble Learning [Volume 14, Issue 48, 2024, Pages 55-78]
  • R&D Costs The moderating role of education and R&D expenses on the relationship between labor investment efficiency and operating cash flow volatility: Evidence from listed company on TSE (Tehran Stock Exchange) [Volume 14, Issue 45, 2024, Pages 37-58]
  • Reporting Quality Factors Affecting the Quality of Integrated Financial Reporting and Internal Control of Active Companies on the Tehran Stock Exchange [Volume 14, Issue 47, 2024, Pages 35-58]
  • Return Jump Herd Behavior Asymmetry During the Tehran Stock Exchange Bubble [Volume 14, Issue 47, 2024, Pages 9-33]
  • Risk Hedging Effectiveness Role of Evaluation Period Characteristics in the Efficiency Analysis of Futures Contracts for Equity Index Risk Management [Volume 14, Issue 48, 2024, Pages 9-33]
  • Risk Hedging Efficiency Role of Evaluation Period Characteristics in the Efficiency Analysis of Futures Contracts for Equity Index Risk Management [Volume 14, Issue 48, 2024, Pages 9-33]
  • Risk Hedging Ratio Role of Evaluation Period Characteristics in the Efficiency Analysis of Futures Contracts for Equity Index Risk Management [Volume 14, Issue 48, 2024, Pages 9-33]
  • Risk Management Role of Evaluation Period Characteristics in the Efficiency Analysis of Futures Contracts for Equity Index Risk Management [Volume 14, Issue 48, 2024, Pages 9-33]
  • Risk Perception The Initial Investment Experience of Novice Investors on Their Future Behavior Through Risk Perception [Volume 14, Issue 47, 2024, Pages 108-129]
S
  • Signaling Theory The Effect of Information Transparency on Firm Value: The Moderating Role of Industry Competitiveness [Volume 14, Issue 47, 2024, Pages 89-107]
  • Skewness and Kurtosis Analyzing the Information Contained in the Skewness and Kurtosis of TEPIX Returns for Forecasting Risk: GARCH Model with Gram-Charlier Expansions for Innovations [Volume 14, Issue 45, 2024, Pages 149-174]
  • Stock price manipulation Stock Price Manipulation in the Iran Stock Market Using VAE-LSTM Hybrid Model [Volume 14, Issue 46, 2024, Pages 133-161]
  • Stock Price Prediction Presenting an Optimized CNN-LSTM Model for Stock Price Forecasting in the Tehran Stock Exchange [Volume 14, Issue 45, 2024, Pages 123-147]
  • Systematic Risk Firm reputation, risk, and stock return [Volume 14, Issue 48, 2024, Pages 34-54]
T
  • Tehran Stock Exchange Presenting an Optimized CNN-LSTM Model for Stock Price Forecasting in the Tehran Stock Exchange [Volume 14, Issue 45, 2024, Pages 123-147]
  • Tehran Stock Exchange Interpreting Forecast the Return of the Price Index of Manufacturing Industries in the Tehran Stock Exchange Using Explainable Ensemble Learning [Volume 14, Issue 48, 2024, Pages 55-78]
  • Total Risk Firm reputation, risk, and stock return [Volume 14, Issue 48, 2024, Pages 34-54]
  • Toxic Assets The Contexts Genealogy of the Toxic Assets Emergence in Capital Market Companies: The Application of a Paradigmatic Framework [Volume 14, Issue 46, 2024, Pages 93-131]
  • Trading symbol suspension The effectiveness of investors' decision-making from legal requirements in the capital market [Volume 14, Issue 45, 2024, Pages 9-36]
V
  • VAE - LSTM Stock Price Manipulation in the Iran Stock Market Using VAE-LSTM Hybrid Model [Volume 14, Issue 46, 2024, Pages 133-161]
  • Value-at-Risk Analyzing the Information Contained in the Skewness and Kurtosis of TEPIX Returns for Forecasting Risk: GARCH Model with Gram-Charlier Expansions for Innovations [Volume 14, Issue 45, 2024, Pages 149-174]