Scope of Submission
We welcome submissions from a broad range of disciplines, including but not limited to:
- Risk management in derivatives trading
- Valuation techniques for financial securities
- Impact of market volatility on derivatives
- Hedging strategies for risk mitigation
- Regulatory challenges in derivatives markets
- Innovations in securities trading technology
- Behavioral finance and risk perception
- Derivatives in portfolio management
- Market efficiency and derivatives pricing
- Impact of interest rates on securities
- Risk assessment models for derivatives
- Ethics in derivatives trading practices
- Global trends in securities markets
- Case studies in risk hedging strategies
- Derivatives and economic indicators
- Financial crises and derivatives impact
- Future of derivatives in finance
- Securities regulation and market stability
- Role of derivatives in corporate finance
- Emerging risks in derivatives markets
All papers must be original and not previously published or submitted elsewhere.