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活动简介

2018 China International Risk Forum will be held at Zhejiang University in Hangzhou, China from December 14 to 15, 2018.

The theme of CIRF 2018 is "Financial Risk Management". Financial risk mainly includes risk of financial market, financial product and financial institution involving the fields like corporate governance, financial management, investment etc. Industry panelists will address some exciting issues on financial risk management. The conference will take place in the Run Run Shaw Science Building at the Yuquan Campus of Zhejiang University The address of ZJU's Yuquan Campus is: 38 Zheda Rd., Xihu District, Hangzhou, Zhejiang 310027, P.R. China.

组委会

Leadership Team 

Xuejun Jin

Zhejiang University (President)

Mark Liu

University of Kentucky

Yizhong Wang

Zhejiang University

Tong Yu

University of Cincinnati

Program Committee Members 

TBA

Member Institute Contact Persons 

Dongmei Chen

Fudan University

Chen Zhang

Renmin University of China

Zhenhua Guo

Shanghai University of International Business and Economics

Jun Shao

Shanghai Lixin University of Accounting and Finance

Yizhong Wang

Zhejiang University

Wenfeng Wu

Shanghai Jiao Tong University

Minghua Ye

East China Normal University

Wenge Zhu

Shanghai University of Finance and Economics

征稿信息

重要日期

2018-09-01
摘要截稿日期
2018-09-01
初稿截稿日期

征稿范围

The forthcoming China International Risk Forum (CIRF) will be held on December 14 & 15, 2018 at Zhejiang University in Hangzhou, China. The purpose of the forum is to promote research on risk, uncertainty, risk management, and related finance topics in the Asia-Pacific region, Indian subcontinent and around the world. Potential research topics include but are not limited to:

● FinTech and risk management
● Big data applications and predictive modeling in risk management
● Corporate risk management, governance and control
● (De)Leverage, risk management, and financial safety of financial institutions
● Pension risk, health risk and insurance underwriting and investment risk
● Systemic risk: measurement and management
● Credit risk, interest risk, market risk, liquidity risk, and operational risk of banks and other financial institutions
● Ambiguity and ambiguity aversion
● Catastrophic risk and its management
● Compliance to financial regulations
● Behavioral perspectives of risk management

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重要日期
  • 会议日期

    12月14日

    2018

    12月15日

    2018

  • 09月01日 2018

    摘要截稿日期

  • 09月01日 2018

    初稿截稿日期

  • 12月15日 2018

    注册截止日期

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