Investigation of the impact of equity duration on total and systematic risk M Davallou, A Varzideh, A Safari Journal of Financial Management Strategy 8 (29), 2020 | 37 | 2020 |
Corporate social responsibility disclosure and investment efficiency H Fakhari, PY REZAEI, M Noroozi JOURNAL OF FINANCIAL MANAGEMENT STRATEGY 4 (15), 85-106, 2017 | 25 | 2017 |
The Effect of Banking Soundness on the Profitability of Commercial Banks: Threshold Panel Regression Approach SH Fattahi, M Rezaei, T Jahed Journal of financial management strategy 5 (16), 29-50, 2017 | 20 | 2017 |
Factors affecting personal financial management behaviors–The case of Iranian youth ME Aghababaei, S Khademi Journal of financial management strategy 7 (24), 123-143, 2019 | 16 | 2019 |
Prediction of stock return using financial ratios: A decision tree approach AM Alimohamadi, MH Abbasimehr, A Javaheri Financial Management Strategy 3 (4), 125-146, 2015 | 16 | 2015 |
The relationship between the managerial overconfidence and stock price crash risk in firms listed in Tehran Stock Exchange M Beshkooh, F Keshavarz Journal of Financial Management Strategy 6 (2), 192-217, 2018 | 15 | 2018 |
Corporate governance and holding companies and subsidiaries performance in Tehran Stock Exchange A Asadi Journal of financial management strategy 4 (15), 2016 | 15 | 2016 |
Financial policies and investment efficiency in the companies listed in Tehran Stock Exchange D Damoori, M Ghadakforoushan Journal of financial management strategy 6 (23), 2019 | 14 | 2019 |
Studying the Relationship between behavioral biases of investors and their investment decisions in Tehran Stock Exchange E Hosseini Chegeni, B Haghgoo, L Rahmaninejad Financial Management Strategy 2 (4), 113-133, 2014 | 14 | 2014 |
Financial Distress as a Risk Factor for the Occurrence of Earnings Management N Izadinia, G Mansourfar, M Rashidi Khazaee Financial Management Strategy 3 (3), 25-47, 2015 | 13 | 2015 |
Corporate social responsibility and market value of corporate cash holdings M Safari Gerayeli Financial Management Strategy 6 (1), 163-183, 2018 | 12 | 2018 |
The prediction of the risk of financial bankruptcy using hybrid model in Tehran Stock Exchange N Ramooz, M Mahmoudi Journal of financial management strategy 5 (16), 2017 | 12 | 2017 |
Behavioral Stock Valuation Using 3d Grouping GR Askarzadeh, M Khaliliaraghi, H Nikoomaram, FR Roodposhti Journal of Financial Management Strategy 5 (17), 1-26, 2017 | 12 | 2017 |
The Test of the Effect of Investor Trading Behavior and InvestorsSentiment on Excess Return in Tehran Stock Exchange K Mehrani, M Madanchi Zaj Financial Management Strategy 6 (2), 140-167, 2018 | 11 | 2018 |
The Test of the Effect of Investor Trading Behavior and InvestorsSentiment on Excess Return in Tehran Stock Exchange K Mehrani, M Madanchi Zaj Financial Management Strategy 6 (2), 140-167, 2018 | 11 | 2018 |
A comparative study of multi-objective multi-period portfolio optimization models in a fuzzy credibility environment using different risk measures A Shiri Ghahi, H Didehkhani, K Khalili Damghani, P Saeedi Financial management strategy 5 (3), 1-26, 2017 | 11 | 2017 |
Effect of corporate performance on the future stock price crash risk H Fakhari, M Nasiry Journal of Financial Management Strategy 8 (30), 2020 | 10 | 2020 |
The relationship between investor sentiment and idiosyncratic risk with stock mispricing: Evidence from Tehran Stock Exchange H Nikoo, SK Ebrahimi, F Jalali Journal of Financial Management Strategy 8 (28), 2020 | 10 | 2020 |
Forecasting Stock Prices in Tehran Stock Exchange Using Recurrent Neural Network Optimized by Artificial Bee Colony Algorithm J Babajani, M Taghva, G Blue, M Abdollahi Financial Management Strategy 7 (2), 195-228, 2019 | 10 | 2019 |
Capital structure and its adjustment speed in firm's life cycle and the role of profitability AV Larijani, H Esnaashari Journal of Financial Management Strategy 5 (19), 2018 | 10 | 2018 |