Scope of Submission
We welcome submissions from a broad range of disciplines, including but not limited to:
- Risk management strategies for financial institutions
- Impact of regulation on risk management
- Behavioral finance and risk assessment
- Crisis management in financial institutions
- Technological advancements in risk management
- Risk management in investment portfolios
- Operational risk in financial services
- Market risk assessment techniques
- Risk management frameworks for banks
- Cybersecurity risks in financial institutions
- Sustainable finance and risk management
- Risk culture in financial organizations
- Quantitative methods in risk assessment
- Risk management in emerging markets
- Impact of economic cycles on risk management
- Risk management for fintech companies
- Regulatory challenges in risk management
- Future trends in financial risk management
- Risk management and corporate governance
- Crisis preparedness in financial institutions
All papers must be original and not previously published or submitted elsewhere.