Main Subjects = Finance
The Primacy of Control: A Risk-Centric TCO Framework for Generative AI and the Financial Irrelevance of Productivity

Articles in Press, Accepted Manuscript, Available Online from 29 September 2025

10.22067/ijaaf.2025.94743.1574

Ali Ebrahimi Kordlar; Mahdi Safaei


Predicting Stock Market Returns Using Temporal Fusion Transformer: A Comprehensive Data-Driven Approach

Articles in Press, Accepted Manuscript, Available Online from 12 November 2025

10.22067/ijaaf.2025.93675.1562

somayeh mohebi; mohammadreza mohebi; javad Mohebi Najm Abad


The Impact of the Revolving Door Phenomenon on the Financial Performance of Iranian State-Owned Banks

Articles in Press, Accepted Manuscript, Available Online from 20 November 2025

10.22067/ijaaf.2025.92987.1553

Hadi Shafii Dizaji; Gholamreza Mansourfar


Bibliometric Analysis of Fractal Patterns in Stock Markets: Trends and Perspectives

Articles in Press, Accepted Manuscript, Available Online from 05 December 2025

10.22067/ijaaf.2025.95617.1590

Mohammad Javad Nourahmadi; Marziyeh Nourahmadi


Wavelet Analysis of Stock Returns and Total Index with Moving Average of Stock Returns and Total Index

Volume 9, Issue 1, January 2025, Pages 93-107

10.22067/ijaaf.2025.45135.1438

Roghayeh Samadi Tirandazi; Mahin Rashki Ghaleno; Mahdi Saghafi


How is the Iranian stock market affected by geopolitical risk and economic policy uncertainty in China, the US and the global?

Volume 9, Issue 1, January 2025, Pages 131-159

10.22067/ijaaf.2025.45368.1468

Mohammad Sadegh Adibian; Taghi Ebrahimi Salari; Hadi Esmaeilpour Moghadam


The impact of Bankruptcy Risk on Stock Price Crash Risk by Emphasis on Debt Maturity

Volume 9, Issue 1, January 2025, Pages 161-174

10.22067/ijaaf.2025.44011.1305

Hassan Chenari; Roya Darabi; Shahram Chaharmahali


Guilt Aversion and the Financial Behavior of Individuals: The Moderating Role of Ethical Ideologies

Volume 8, Issue 4, December 2024, Pages 89-105

10.22067/ijaaf.2024.45035.1435

Mahsa Esmaeili; Alireza Fazlzadeh; Vahid Ahmadian; Sajad Nagdi


Risk and Return Analysis of Government Bonds in Indonesia: A Multifactor Model Approach

Volume 8, Issue 3, August 2024, Pages 63-74

10.22067/ijaaf.2024.44421.1400

Siti Amaliah; Isni Andriana; Muizzudin Muizzudin


Exploring the Evolution of Robust Portfolio Optimization: A Scientometric Analysis

Volume 8, Issue 3, August 2024, Pages 75-92

10.22067/ijaaf.2024.44518.1402

Amirhossein Eskorouchi; Hossein Ghanbari; Emran Mohammadi


The Effect of Family Ownership on the Adjustment Speed of Financial Leverage towards Optimal Leverage

Volume 8, Issue 2, May 2024, Pages 39-49

10.22067/ijaaf.2024.44118.1314

Vahab Rostami; Abdolrasoul Rahmanian Koushkaki; Ali Akbar Alahyari; Hamed Kargar


The Impact of Government Credits on Bank Risk and Profitability (Case study: Organization of Islamic Cooperation Countries)

Volume 7, Issue 2, May 2023, Pages 1-16

10.22067/ijaaf.2023.42608.1127

Marziyeh Rafiean Esfahani; Saeed Daei-Karimzadeh; Mahshid Shahchera; Sara Ghobadi


Effectiveness of Stop-Loss Trading Strategy VS Buy-And-Hold Strategy

Volume 7, Issue 2, May 2023, Pages 39-60

10.22067/ijaaf.2023.42836.1140

Mohammad Amin Teimoori-Boghsani; Abdolmajid Abdolbaghi Ataabadi; Majid Ameri


A Smart Model for Financing Startups with Blockchain, Case Study: HamiChain Platform

Volume 7, Issue 2, May 2023, Pages 83-98

10.22067/ijaaf.2023.43011.1216

Mohammad Hossein Sobhani; Seyed kazem Ebrahimi; Peyman Akhavan