EUROPEAN FINANCIAL MANAGEMENT SYMPOSIUM
Risk Management in Financial Institutions
When: April 23-25, 2009
Where: AUDENCIA SCHOOL OF MANAGEMENT-NANTES, FRANCE
Keynote Speaker: Philippe Jorion, University of California, Irvine
Deadline: The deadline for submissions is November 1, 2008
Objective: The Symposium will focus on all aspects of risk management in financial institutions.
Topics suitable for the Symposium include, but are not limited to, the following:
- Market, credit, operational, liquidity and integrated risk management
- Investment management and hedge fund risk
- Energy and commodity market evolution and the impact on risk management
- Capital adequacy, Solvency II, IAS/IFRS and Basel II
- Financial institution failures and systemic risk
- Valuation and pricing techniques for financial products
- Microfinance, micro-insurance and risk management
Publication: All papers accepted for the symposium are eligible to be considered for publication in the EUROPEAN FINANCIAL MANAGEMENT in a special issue devoted to the symposium. (The EFM is an internationally accredited journal)
Electronic Submission: Authors are invited to submit papers electronically (MS Word or PDF format) via the EFMA website www.efmaefm.org where further information about the symposium is available.
For more information, click here or visit www.efmaefm.org
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