The Financial Risks International Forum on "Risk Management & Financial Crisis" is an international Research Forum for academics and professionals organised by Finance INNOVATION
We invite you to submit papers for this meeting which takes place in Paris on March 19 & 20, 2009.
OBJECTIVES
The forum pursues three objectives:
to identify the main streams of researches that will structure the market evolution in the future;
to organize presentations and debates on the content of these new contributions;
to assess with professionals the market/regulatory impacts of those new trends.
TOPIC: RISK MANAGEMENT AND FINANCIAL CRISES
Crises Characteristics: typology of crises : liquidity crisis, financial bubbles, mispricing (fair value, mark-to-market, model risk); contagion, agent coordination, counterparty risk, ...
Advanced indicators: risk measures, ratings, performance measures, early detection of crises
Regulation: transparency, regulation of hedge funds, convergence of regulations between countries and between products, cost of regulation, ...
Management of a crisis: monetary policy, management of liquidity, treatment of failures, management of a crisis in a securitized world, ...
Emergence of organized markets: examples of new markets : CDS, weather derivatives, pollution rights, insurance linked securities; creation of market indices, standardisation, intermediation, …
|
|