MANAGING AND MODELLING OF FINANCIAL RISKS 2022

11th International Scientific Conference

5th – 6th September 2022, Faculty of Economic, VSB-Technical University Ostrava

Participants are invited to submit original papers representing unpublished work that is not currently under review elsewhere. The conference proceedings will be submitted for indexing in Web of Science database.

Important deadlines:
May 31, 2022 – paper submission deadline,
June 30, 2022 – only abstract deadline,
July 15, 2022 – notification of paper acceptance,
July 29, 2022 – registration and fee payment

Conference topics

  • Value at Risk methodology application,
  • credit risk management,
  • CorporateMetrics methodology application,
  • financial variables forecasting,
  • valuation of derivatives and their application in risk management,
  • current problems in banking and insurance sector,
  • bank position in business environment support,
  • risk management in banks and insurance companies,
  • market, interest, currency and commodity risk,
  • real options application,
  • operational risk management,
  • optimization and portfolio management,
  • hedging strategies application,
  • other selected topics concentrating on risk management.

More information can be found at the conference website: https://www.ekf.vsb.cz/mmfr/en/