1.

A Critical View of Global Management Accounting Principles

دوره 3، شماره 9، تیر 2018، صفحه 17-27
Mona Abednazari؛ Fereydon Rahnamay Roodposhti؛ Hashem Nikoumaram؛ Zahra Pourzamani

2.

A Novel Selection Model of Optimal Portfolio based on Fuzzy Goal Planning, Considering Types of Investors

دوره 5، شماره 17، مرداد 2020، صفحه 133-144
Hamed Omidi؛ Hashem Nikoomaram؛ Fereydon Rahnamay Roodposhti؛ Hamidreza Vakilifard

3.

Comparative Study of Capital Assets Pricing Models (CAPM) with Extrapolating Capital Assets Pricing Models (X-CAPM) in Tehran Exchange Market

دوره 1، شماره 4، فروردین 2017، صفحه 21-39
F. Rahnamay Roodposhti؛ Zahra Houshmand Neghabi

4.

Comparative Study of the Impact of Critical Thinking on Fraud Risk Assessment in Public and Private Sector Auditors

دوره 6، شماره 23، دی 2021، صفحه 25-34
bahman ghadimi؛ Fereydon Rahnamay Roodposhti؛ Bahman Banimahd

5.

Designing a proper model and software program to evaluate and predict credit risk of small and medium‑sized enterprises in commercial banks

دوره 8، شماره 31، آذر 2023، صفحه 1-12
kokab sharifi؛ Fereydon Rahnamay Roodposhti؛ Amir Mohammadzadeh؛ Hashem nikoumaram؛ Naser Hamidi

6.

Designing the acquisition and integration model of knowledge-based and start-up companies using fuzzy method

دوره 8، شماره 30، شهریور 2023، صفحه 217-232
seyedeh monireh hosseini؛ Fereydon Rahnamay Roodposhti؛ Shadi Shahverdiani

7.

Developing a Comprehensive Critical Thinking-Based Earnings Management Model

دوره 7، شماره 26، مهر 2022، صفحه 241-259
Gholamreza Moradi Roodposhti؛ Fereydon Rahnamay Roodposhti؛ Zohreh Hajiha

8.

Explaining the Role of Management Accounting Information System in Strategy Formulation with Actors Network Approach

دوره 2، شماره 7، دی 2017، صفحه 11-24
Nemat Rostami Mazouei؛ Fereydoun Rahnamay Roodposhti؛ Seyed Mohammadreza Raeiszadeh؛ Bahman Banimahd؛ Zahra Poorzamani

9.

Identification and Modeling of Crowdfunding Risk Indicators in FinTech-Based Businesses Based on the Combined Approach of Thematic Analysis and Partial Least Squares in SEM

مقالات آماده انتشار، پذیرفته شده ، انتشار آنلاین از تاریخ 16 اسفند 1401
Ali Mohammadi؛ Fereydon Rahnamay Roodposhti؛ Hoda Hemmati؛ narges yazdanian

10.

Investigating the Impact of Time-varying Volatility of Macroeconomic Indices on the Predictability of Optimal Stock Portfolio Return in Tehran Stock Exchange

دوره 1، شماره 3، دی 2016، صفحه 67-78
Hosein Maghsoud؛ Fraydoon Rahnamay Roodposhti؛ Hamidreza Vakilifard؛ Taghi Torabi

11.

Investigation of the Information Content of Investors' Emotional Behavior and Financial Reporting Quality with Emphasis on the Role of Capital Structure and Free Float

دوره 6، شماره 21، تیر 2021، صفحه 1-12
shahnaz alinejad؛ Fereydon Rahnamay Roodposhti؛ Farzin Rezaei

12.

Modifying the Black-Scholes model to valuate preemption right

دوره 1، شماره 1، تیر 2016، صفحه 1-5
Giorgio Consigli؛ F. Rahnamay Roodposhti؛ Amin Babaei Falah

13.

Presenting a Model for Supervision and Regulation of Financial Markets in Iran Based on Structural Equation Modeling and Adaptive Approach

دوره 5، شماره 19، اسفند 2020، صفحه 11-31
Ehsan Askari Firouzjaei؛ Fereydon Rahnamay Roodposhti؛ Hashem nikoumaram

14.

Providing a behavioral model for measuring the stock price bubble in the capital market

دوره 7، شماره 27، دی 2022، صفحه 241-258
Ali Ramezani؛ Fereydon Rahnamay Roodposhti؛ HAMIDREZA KORDLOUIE؛ Shadi Shahverdiani

15.

Realized Volatility in Noisy Prices: a MSRV approach

دوره 2، شماره 5، تیر 2017، صفحه 31-38
Jalal Seifoddini؛ Fraydoon Rahnamay Roodposhti

16.

Reputation Risk Management in the Framework of Enterprise Risk Management: Evidences from an Active Financial Institution in the Capital Market of Iran

دوره 3، شماره 10، آبان 2018، صفحه 1-13
Fereydon Rahnamay Roodposhti؛ Ehsan Askari Firoozjaei؛ Mojtaba Rostami Noroozabad

17.

The Effect of Managers’ Perception Bias Model on Earnings Management

دوره 6، شماره 21، تیر 2021، صفحه 185-205
Narges Mohseni dehkalani؛ Fereydon Rahnamay Roodposhti؛ HAMIDREZA KORDLOUIE؛ Mohammad Hamed khanmohammadi؛ Shadi Shahverdiani

18.

The impact of P/E ratio and price return on the stock market Bohmian quantum potential approach

دوره 5، شماره 18، آذر 2020، صفحه 55-62
Neda Allahyaribeik؛ Hashem Nikoomaram؛ sara Allahyaribeik؛ Fereydon Rahnamay Roodposhti

19.

The role of investors’ objective financial knowledge on the assessment of risk disclosures in mix mutual funds advertisements in Iran (The evidence of mutual funds in Iran)

دوره 1، شماره 1، تیر 2016، صفحه 7-23
f. Rahnamay Roodposhti؛ Hossein Eslami Mofid Abadi؛ Fereidoon Zareie

20.

The Survey of Whistleblowing Intentions for Accounting Frauds Based on Demographic Individual Differences among Accounting Staff

دوره 4، شماره 14، آبان 2019، صفحه 1-13
Babak Nejad Toolami؛ Fereydon Rahnamay Roodposhti؛ Hashem Nikoomaram؛ Bahman Banimahd؛ Hamidreza Vakilifard



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