List of Articles financial risk Open Access Article Abstract Page Full-Text 1 - Mediating Role of Financial Risk Aversion on the Relationship between Personality Characteristics of Senior Managers and Corporate Financial Distress with Futures Research Approach khodamorad Ghani Dehkordi hamidreza jafari dehkordi jamshid peyke falak 10.30495/jmfr.2022.58673.2380 Open Access Article Abstract Page Full-Text 2 - Assessment and Presentation of a Proper Paradigm to Identify, Measure, and Control Financial Risks in Financial and Credit Institutions (Case Study of Mellat Bank) M. Taghavi M. Khodaei Valahzaghard Open Access Article Abstract Page Full-Text 3 - The effect of corporate governance on financial risk of Iranian holding companies Saeid Khodamoradi mohammad abrahim Raei Ezabadi Open Access Article Abstract Page Full-Text 4 - Examine the relationship between financial risk tolerance and investment properties (financial intelligence, skills, financial management, wealth) based on native Donald- Case Study of the Tehran Stock Exchange Saeid Aghasi Ehsan Aghasi Sahar Biglari Open Access Article Abstract Page Full-Text 5 - Financial Risk Management in the Supply Chain Using Business Intelligence and Big Data Nemer Badwan Lamees Al-Zoubi Suhaib Al-Khazaleh Open Access Article Abstract Page Full-Text 6 - Spillover Effect On Different industries For Capital Market hadi pouryaghoubi Yekta Ashrafi Open Access Article Abstract Page Full-Text 7 - Stock market reactions to earnings management, corporate risk and weak internal controls sid nia valinia Mohammed Hussain Ranjbar daowd khodadady hojat alaha salari Open Access Article Abstract Page Full-Text 8 - Investigating the Impact of Financial, Economic, Political and International Risks on Tehran Stock Exchange Index Using Method ARDL Sareh Pahlavan Ali Najafi Moghadam , Ghodratollah Emamverdi Roya Darabi Open Access Article Abstract Page Full-Text 9 - Designing and explaining the final purchasing model with the financial risk and investment approach Significance-Performance (IPMA) Aliakbar Shahri Mejarshin Alireza Rousta Abdullah Naami Open Access Article Abstract Page Full-Text 10 - Comprehensive Risk Management Model (Case Study: Pharmaceutical Industry) Farzaneh Bikzadeh Abbasi Open Access Article Abstract Page Full-Text 11 - Evaluating the Asymmetric Effects of Parallel Financial Markets Shocks on Financial and Commercial Risk as well as Cash Returns Farzin Axon Seyed Hossein Nasl Mousavi Abbas Ali Pour Aghajan Open Access Article Abstract Page Full-Text 12 - Providing an intelligent credit risk management system of the bank based on the macroeconomic indicators in the country's stock exchange banks Mohsen ziaee Bidhendy Mehrzad Minooee Mirfeiz Fallahshams 10.22034/amfa.2021.1941377.1636 Open Access Article Abstract Page Full-Text 13 - Characteristics of Investors and Financial Risk-Taking in the Capital Market ahmad Arian Tabar Open Access Article Abstract Page Full-Text 14 - Investigating the Relationship Between CEO Characteristics and their Interactive Composition with Financial Risk Volatility ,Seyed Mehdi miraeez Seyed Hesam Vaghfi 10.30495/msds.2022.1952574.1039 Open Access Article Abstract Page Full-Text 15 - The risk of stock price crash and the factors affecting it in companies registered in Tehran Stock Exchange Yazdan Gudarzi Farahani morvarid khajeh Albert Boghozian Mojtaba Mirlohi Nasser Asgari Open Access Article Abstract Page Full-Text 16 - Identify the risks and challenges of blockchain technology maturity model Hamideh Aliakbarpour ashraf shahmansouri ghasemali Bazaee Open Access Article Abstract Page Full-Text 17 - Determining the optimal response of Feynman-Kak stochastic-financial equation based on Jacobi and Irfoil expansion Sayed Mohammad AlaviSheshamd Shadan SediqBehzadi 10.30495/faar.2022.697088 Open Access Article Abstract Page Full-Text 18 - Presenting a Model for Financial Disorder Index with Emphasis on Financial Risk Mehdi Shahmoradi Farhad Hanifi Zadallah Fathi 10.30495/faar.2023.702106 Open Access Article Abstract Page Full-Text 19 - Risk spillover and dynamics between financial markets, commodity markets and digital currencies with the MGARCH method Hamid Mohammadishad Mahdi Madanchi Zaj Amir Reza Keyghobadi Open Access Article Abstract Page Full-Text 20 - Investigating the Threshold Impact of Country Risk Index on the Impact of Public Debt on Economic Growth: Panel Smooth Transition Regression (PSTR) Approach javad harati Nesa Kamalian elham bita Open Access Article Abstract Page Full-Text 21 - Financial risk evaluation of investment companies in Tehran Stock Exchange with fuzzy decision-making method D-CRITIC and EDAS based on a new score function Mehdi Aghabeigi Ekhtiar Khodadadi Open Access Article Abstract Page Full-Text 22 - An innovative approach to investigate the impact of human resource risk on production productivity with the moderating role of knowledge maturity in the Organization of Industry, Mining and Trade of Tehran Province Tahereh Hasoomi Open Access Article Abstract Page Full-Text 23 - The role of risk management effectiveness on the relationship between CEO characteristics and financial risk volatility Seyed mehdi Miraeez hadi movludian seyed hesam vaghfi 10.30495/jom.2023.1967031.1065