Number of Articles: 190
126. The impact of ownership structure on stock liquidity: Nonlinear approaches

Volume 12, Issue 1, Summer and Autumn 2020, Pages 157-186

10.22099/jaa.2020.32584.1836

Abbas Ali Daryaei; Yasin Fattahi


127. The impact of Manager Optimism on prices Synchronization in TSE

Volume 10, Issue 2, Winter and Spring 2019, Pages 167-192

10.22099/jaa.2018.27480.1649

iman dadashi; mahmood yahyazadefar; abbas shamekhi


128. Managerial Overconfidence and Financial Restatement: Evidence from Tehran Stock Exchange

Volume 9, Issue 1, Winter and Spring 2017, Pages 169-192

10.22099/jaa.2017.4212

Javad Moradi; Mohammad-Hossein Ghadirian-Arani


129. The Study of the Relationship Between the Accounting Comparability and Earnings Management

Volume 11, Issue 1, Winter and Spring 2019, Pages 171-200

10.22099/jaa.2019.27654.1656

Mohammad Shekari Dogh Abadi; mahdi moradi


131. Identifying Factors Influencing Tendency to Cheat in Accounting by Emphasizing Fraud Triangle Theory

Articles in Press, Accepted Manuscript, Available Online from 03 February 2021

10.22099/jaa.2021.35202.1935

Rezvan Hejazi; Hossein Rajabdorri; Mojtaba Bordbar


132. An Investigation of the Earnings Quality of Family Firms and Non-family Firms in Tehran Stock Exchange

Volume 2, Issue 2, Summer and Autumn 2011, Pages 159-194

10.22099/jaa.2011.3412

Mohammad Namazi; Mohammad Mohammadi


133. Estimate of Probability of Loss Reversal in Listed Companies in Tehran Stock Exchange

Volume 8, Issue 1, Winter and Spring 2016, Pages 159-188

10.22099/jaa.2016.3856

Mahmood Lari Dashtbayaz; Mehdi Salehi; Mohammad Hossein Zolafaghari Arani


135. Modeling the Behavior of Tehran Stock Exchange Firm Returns Using Factor Analysis Method

Volume 7, Issue 1, Winter and Spring 2015, Pages 163-196

10.22099/jaa.2015.3129

Gholamreza Mansourfar; Parviz Piri; Reza Ziyaei


137. The Relationship between Accounting Conservatism and Efficient Investment

Volume 6, Issue 2, Summer and Autumn 2015, Pages 167-195

10.22099/jaa.2015.2859

Seyed Ali Vaez; Mohsen Rashidi Baghi


138. Predicting Earnings Management level By Using Artificial Neural Networks

Volume 5, Issue 1, Winter and Spring 2013, Pages 169-190

10.22099/jaa.2013.1657

Gholamreza Kordestani; Javad Masomi; Vahid Baghaee


139. A Comparison of Portfolio Selection Models Based On the Random and the Fuzzy Random Security Returns in Tehran Stock Exchange

Volume 3, Issue 1, Winter and Spring 2011, Pages 171-196

10.22099/jaa.2011.3395

Mahmmod Yahyazadehfard; Abdolhamid Safaie Ghadikolaie; Mahdi Khakpour


140. Examining the Importance of Achieving Last Year’s Earnings Threshold: An Investor’s Perception

Volume 6, Issue 1, Winter and Spring 2014, Pages 175-194

10.22099/jaa.2014.2262

Seyed Abbass Hashemi; Mehdi Moradi


141. Keywords: Cost of Goods Sold, SG&A Expenses, Cost Stickiness, Cost Behavior, Tehran Stock Exchange.

Volume 4, Issue 2, Summer and Autumn 2013, Pages 179-203

10.22099/jaa.2012.1664

Mohammad Hossien Vadiee; Farhad Azimifard


144. Impact of social responsibility disclosure on accounting, economic and market based Measures Of corporate performance evaluation

Volume 10, Issue 1, Summer and Autumn 2018, Pages 187-217

10.22099/jaa.2018.26236.1596

Gholamreza Kordestani; Sayed karim Ghaderzadeh; Hamid Haghighat


145. Investigating Factors Affecting Stock Returns Concurrency

Volume 12, Issue 1, Summer and Autumn 2020, Pages 187-212

10.22099/jaa.2020.36175.1984

Asgar Pakmaram; Rasoul ABDI; Yaghob Aghdam


147. Investigation of the Frequency and Content Analysis of The Articles Relating to Accounting Professional Ethics in Iran

Volume 9, Issue 1, Winter and Spring 2017, Pages 192-226

10.22099/jaa.2017.4214

Mohammad Namazi; Hossein Rajabdoory; Azam Roostameymandi


149. Investigating the effect of institutional ownership on the relationship between the maturity of short-term debt and the risk of future stock price crash

Volume 11, Issue 1, Winter and Spring 2019, Pages 201-228

10.22099/jaa.2019.29285.1703

Kazem Shamsaddini; Vahid Daneshi; Fateme Fooladi Savadkoohi - Masted


150. Assessing the Financial Stability Indicators of Commercial Banks from the Experts point of View

Volume 11, Issue 2, Summer and Autumn 2019, Pages 207-251

10.22099/jaa.2019.33200.1858

Seyed Ahmad Seyedi; Mohammadreza Abdoli; Mahdi Jabbari noghabi