مقالات مجله بین المللی مالی و حسابداری مدیریت، دوره 7، شماره 27 منتشر شد

دوشنبه، 2 خرداد، 1401
مقالات مجله بین المللی مالی و حسابداری مدیریت، دوره 7، شماره 27 منتشر شد
مجموعه مقالات مجله بین المللی مالی و حسابداری مدیریت، دوره 7، شماره 27 که در سال 1401 منتشر شده بود با تعداد 19 مقاله در پایگاه سیولیکا (CIVILICA.com) نمایه سازی و منتشر شد.
مجله بین المللی مالی و حسابداری مدیریت (International Journal of Finance and Managerial Accounting) توسط انجمن مهندسی مالی ایران به صورت فصلی از سال 1395 منتشر می شود.
لیست و عناوین مقالات نمایه شده از دوره 7، شماره 27 این ژورنال به صورت زیر می باشد:

1. Investigating the Impact of Management Characteristics on Final Value of Cash Considering the Components of Management Ability, Management Over confidence, and CEO's financial Expertise


2. Proposing the optimal model to detect earnings management in firms listed by Tehran Securities and Exchange Organization using quantified audit quality tools and techniques


3. optimizing a multi-objective model to determine the optimal extent of voluntary information disclosure


4. Self-Fulfilling Prophecy and Auditors Behavioral Inertia: An interpretation based on Peugeot's Philosophical Theory


5. Providing a framework for identifying and assessing the risks faced by subsidiaries in holdings: Emphasizing on the Impact of the parent company's strategies


6. Earnings Manipulation and Leverage Deviation


7. Domestic Model of Accounting Development Based On the Contingency Theory


8. Designing the performance evaluation indicators of Hormozgan Social Security Organization's service supply chain by the Network Data Envelopment Analysis Model


9. Factors affecting the assessment of the acquisition performance of firms listed on the Tehran Stock Exchange using the generalized method of moments (GMM)


10. An Analysis of the Acceptance of Corporate Citizenship from the Perspective of Audit Committee


11. Review of valuation models and identification and ranking of valuation indicators of startup companies in the idea stage in Iran based on AHP mathematical method


12. Designing an Analytical Model to Determine Audit Services Fees Based on Delphi Method and Factor Analysis


13. The probability of informed trading and stock liquidity


14. The Effect of Corporate Governance System Theory Tools on Financial Risk Using Generalized Method of Moments (GMM)


15. The effect of Self-fulfilling Prophecy on Developing Auditors' Ethical characteristics


16. Banking Crisis Prediction Modeling with Bayesian Model Averaging Approach


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


18. Providing a tax Non-Compliance model in Iran using the Multi -grounded theory approach


19. Credit rating and preparing risk transition matrix for legal clients of banks with Markov chain approach