International Conference on Accounting and Financial Management

NEXT EVENT SESSION
29-30 May 2024 ( E-Certificate)
For Enquiries:
finance@sfconferences.com

Next Webinar Conference Session starts in

About the Conference

Introduction of the conferences

The International Conference on Accounting and Financial Management is a prestigious conference that brings together scholars, researchers, practitioners, and policymakers from around the world to discuss the latest research and trends in accounting and financial management. The conference aims to provide a platform for participants to share their knowledge and expertise on a wide range of topics related to accounting and financial management. These topics can include financial reporting, auditing, taxation, corporate governance, risk management, and financial analysis, among others. The conference typically features keynote speeches from prominent scholars and practitioners in the field, as well as parallel sessions for paper presentations, panel discussions, and workshops. Participants have the opportunity to learn about the latest research findings, exchange ideas, and network with peers and colleagues from all over the world. The International Conference on Accounting and Financial Management is organized by various academic institutions and professional associations, and it is held annually at different locations around the world. It attracts participants from academia, industry, government, and non-profit organizations, making it a truly diverse and dynamic event. Overall, the conference provides a valuable forum for advancing knowledge and promoting best practices in accounting and financial management.

Theme: Exploring the Recent research and Advancements in Financial Management

Call for paper

Call for Abstract/paper

Original Articles/papers are invited from Industry Persons, Scientist, Academician, Research Scholars, P.G. & U.G. Students for presentation in our International Conference. All articles/papers must be in MS-Word (.doc or .docx) format, including the title, author's name, an affiliation of all authors, e-mail, abstract, keywords, Conclusion, Acknowledgment, and References.

Submit Abstract

The Candidates with eligibility can click the "Submit Paper/Abstract Now" button and fill up the online submission form and Submit.

Abstract/Full Paper submission

Final/Full Paper submission is optional: If you don't want your abstract/full paper to be published in the Conference Abstracts & Proceedings CD (with ISBN number) and only want to present it at the conference, it is acceptable.

Page limit: There is a limit of 6-8 pages for a final/full paper. An additional page is chargeable.

Paper language: Final/Full papers should be in English.

Templates: "Final paper template," "Final abstract template"

All the final papers should be uploaded to the website online system according to "The final paper template" as word doc. Or Docx, since this will be the camera-ready published version. Please note that final papers that are not uploaded to online System as a word doc./docx after the opening of final paper submissions according to the template above will not be published in the CONFERENCE Abstracts & Proceedings CD (with ISBN)

Journal Publication

Journal Publication

Financial Management Conferences All accepted papers will be included in the conference proceedings, which will be recommended in one of the author's prescribed Sciencefather  International journals.

Date and Location

Date and Location

International Conference on Accounting and Financial Management, organized by ScienceFather group
12th Edition | 28-29 March 2024 | San Francisco, United States (Hybrid)
13th Edition | 24-25 April 2024 | Berlin, Germany (Hybrid)
14th Edition | 29-30 May 2024 | Paris, France (Hybrid)
15th Edition | 20-21 June 2024 | Dubai, United Arab Emirates (Hybrid)
16th Edition | 25-26 July 2024 | New Delhi, India (Hybrid)

Registration

Registration Procedure

  • Click the “Register Now” button on the conference page and enter your Submission ID in the Search Box
  • Your Submissions will be listed on that page. You can find the Register Now link beside your submission. Click the link, and now you will be redirected to the Conference registration form where you can make your registration using credit/debit cards.
  • The Fee charged for E-Poster is to display the E-Posters only on the Website. The Abstract will be published in the conference proceeding book.

Registration Types

Speaker Registration

  • Access to all event Session
  • Certificate of Presentation
  • Handbook
  • Conference Kit
  • Tea, Coffee & Snack,
  • Lunch during the Conference
  • Publication of Abstract /Full Paper at the Conference Proceedings Book
  • Opportunity to give a Keynote/ Poster Presentations/ Plenary/ Workshop
  • Opportunity to publish your Abstract in any of our esteemed Journals discounted rate
  • Opportunity to publish your full article in our open access book at a discounted rate
  • One to One Expert Forums

Delegate (Participant) Registration

  • Access to all Event Sessions
  • Participation Certificate
  • Handbook
  • Conference Kit
  • Tea, Coffee & Snack,
  • Lunch during the Conference
  • Delegates are not allowed to present

Poster Registration

  • Includes all the above Registration Benefits
  • You will have to bring your Posters to the Conference Venue
  • Best poster award memento and certificate on stage.

Poster Guidelines

  • The poster should be 1×1 m Size.
  • The title, contents, text, and the author’s information should be visible.
  • Present numerical data in the form of graphs rather than tables.
  • Figures make trends in the data much more evident.
  • Avoid submitting high word-count posters.
  • Poster contains, e.g., Introduction, Methods, Results, Discussion, Conclusions, and Literature.

Research Forum (Awards)

  • Includes all the above Registration Benefits.
  • The attendee should be required age limit.
  • Award memento and certificate on stage.

E-Poster Presentation

  • The amount charged for E-Posters is to display the E-Posters only on the website
  • The presenter will get an e-poster participation certificate as a soft copy
  • The abstract will be published in the particular journal and also in the conference proceeding book
  • The presenter is not required to be present in person at the Conference

Video Presentation

  • The amount charged for Video Presentation is to display the Presentation at the Conference.
  • The presenter will get Video participation certificate as a soft copy
  • The abstract will be published in the particular journal and also in the conference proceeding book
  • The presenter is not required to be present in person at the Conference

Accompanying Person

  • Accompanying Persons attend the participants at the Conference who may be either a spouse/family partner or a son/daughter and must register under this category.
  • Please note that business partners do not qualify as Accompanying Persons and cannot register as an Accompanying Person.

Committee Members

List of Committee Members

TitleFirst NameLast NameInstitution/OrganizationCountry
MrMiladIzanlooUniversity of TehranIran
MrFarhadKhanInstitute of Management SciencesPakistan
DrNgoziIbejiUniversity of NorthamptonUnited Kingdom
Prof DrDadsonAWUNYO-VITORKwame Nkrumah University of Science and TechnologyGhana
Assist Prof DrIrfanAliAligarh Muslim UniversityIndia
DrKousikGuhathakurtaIndian Institute of ManagementIndia
DrFawadAhmadInstitute of Business Administration (IBA), KarachiPakistan
DrKudipudiSrinivasVelagapudi Ramakrishna Siddhartha engineering CollegeIndia
MrSyedZuhairUOSPakistan
DrKashifAbbassNanjing University of Science and Technology ,ChinaChina
MrVanLeUniversity of Economics Ho Chi Minh City (UEH)Vietnam
DrSANGEETHAVGOVERNMENT ARTS AND SCIENCE COLLEGE ,PAPPIREDDPATTIIndia
DrMahshidTootoonchyThe University of SydneyAustralia
Prof DrMahmoud-RezaHaghifamTarbiat Modares UniversityIran
MrRahmanTaleghani ZolpiraniUNIVERSITY OF PADOVAItaly
DrLaaremGuessasFerhat Abbas sétif 1 universityAlgeria
Assist Prof DrJohnPatsavellasCranfield UniversityUnited Kingdom
MrAndrewClarkUniversity of Colorado BoulderUnited States
Assoc Prof DrMohamedAbonazelCairo universityEgypt
ProfIskandarMudaUniversitas Sumatera UtaraIndonesia
Assoc Prof DrShahriyarMukhtarovVistula UniversityPoland
DrGodefroy GaspardGoudjoLARFFIDBenin
TitleFirst NameLast NameInstitution/OrganizationCountry

Conference Awards

Details of Conference Awards

Sciencefather awards Researchers and Research organizations around the world with the motive of Encouraging and Honoring them for their Significant contributions & Achievements for the Advancement in their field of expertise. Researchers and scholars of all nationalities are eligible to receive Scfconferences Research awards. Nominees are judged on past accomplishments, research excellence, and outstanding academic achievements.

Award Categories

Best Poster Award

Posters will be evaluated based on Presentation Style, Research Quality, and Layout/Design. Unique opportunity to combine visual and oral explanations of your projects in the form of poster presentation. Posters should have the Title (with authors affiliation & contact details), Introduction, Methods, Results (with tables, graphs, pictures), Discussion, Conclusion, References, and Acknowledgements. The size of the poster should be: 1mX1.5m; Text:16-26 pt; Headings: 32-50 pt; Title: 70 pt; Color: Preferable. Bring your poster to the meeting, using tubular packaging and presenting duration: 10 min discussion & 5 min query per person. Eligibility: The presenter can nominate the Award. He must be under 40 years of age as on the conference date.

Best Presentation Award

The presentation will be evaluated based on Presentation Style, Research Quality, and Layout/Design. Unique opportunity to combine visual and oral explanations of your projects in the form of poster presentations. The presentation should have the Title (with authors affiliation & contact details), Introduction, Methods, Results (with tables, graphs, pictures), Discussion, Conclusion, References, and Acknowledgements. Bring your presentation to the meeting, using a pen drive, presenting duration: 10-20 min discussion & 5 min query per person. Eligibility: The presenter can nominate the Award. He must be under 55 years of age as of the conference date.

Best Paper Award

Paper will be evaluated based on Format, Research Quality, and Layout/Design. The paper should have the Title (with authors affiliation & contact details), Introduction, Methods, Results (with tables, graphs, pictures), Discussion, Conclusion, References, and Acknowledgements. Eligibility: The presenter can nominate the Award. He must be under 55 years of age as of the conference date.

Instructions

Instructions for submission

If you want to submit only your Abstract

  • If you want to publish only your abstract (it is also optional) in the CONFERENCE Abstracts & Proceedings CD (with ISBN), upload your abstract again according to the Final abstract  template as a word doc. Or Docx.
  • If you also don't want your abstract to be published in the CONFERENCE Abstracts & Proceedings CD (with an ISBN) and only want to present it at the conference, it is also acceptable.

How to Submit your Abstract / Full Paper

Please read the instructions below then submit your Abstract/ Full Paper (or just final abstract) via the online conference system:

  • STEP 1: Please download the Abstract /Final Paper Template and submit your final paper strictly according to the template: Computer App Conference Final paper template in word format (.doc /.docx). See a Final abstract template formatted according to the template.
  • STEP 2: Please ensure that the Abstract/ full paper follows exactly the format and template described in the final paper template document below since this will be the camera-ready published version. All last articles should be written only in English and "word document" as .doc or .docx.
  • STEP 3: You can submit your final paper(s) to the online conference system only by uploading/ Re-submission your current submission.
  • STEP 4: After logging/using submission ID in the online conference system, click on the "Re-submission" link at the bottom of the page.
  • STEP 5: After the "Re submission page" opens, upload your abstract/ final paper (it should be MS word document -doc. or Docx-).

General Information

  • Dress Code: Participants have to wear a formal dress. There are no restrictions on color or design. The audience attending only the ceremony can wear clothing of their own choice.
  • Certificate Distribution: Each presenter's name will be called & asked to collect their certificate on the Stage with an official photographer to capture the moments.

Terms & Conditions

ScienceFather Terms & Conditions

Financial Management Conferences Terms & Conditions Policy was last updated on June 25, 2022.

Privacy Policy

Financial Management Conferences customer personal information for our legitimate business purposes, process and respond to inquiries, and provide our services, to manage our relationship with editors, authors, institutional clients, service providers, and other business contacts, to market our services and subscription management. We do not sell, rent/ trade your personal information to third parties.

Relationship

Financial Management Conferences Operates a Customer Association Management and email list program, which we use to inform customers and other contacts about our services, including our publications and events. Such marketing messages may contain tracking technologies to track subscriber activity relating to engagement, demographics, and other data and build subscriber profiles.

Disclaimer

All editorial matter published on this website represents the authors' opinions and not necessarily those of the Publisher with the publications. Statements and opinions expressed do not represent the official policies of the relevant Associations unless so stated. Every effort has been made to ensure the accuracy of the material that appears on this website. Please ignore, however, that some errors may occur.

Responsibility

Delegates are personally responsible for their belongings at the venue. The Organizers will not be held accountable for any stolen or missing items belonging to Delegates, Speakers, or Attendees; due to any reason whatsoever.

Insurance

Financial Management Conferences Registration fees do not include insurance of any kind.

Press and Media

Press permission must be obtained from the Financial Management conferences Organizing Committee before the event. The press will not quote speakers or delegates unless they have obtained their approval in writing. This conference is not associated with any commercial meeting company.

Transportation

Financial Management Conferences Please note that any (or) all traffic and parking is the registrant's responsibility.

Requesting an Invitation Letter

Financial Management Conferences For security purposes, the invitation letter will be sent only to those who had registered for the conference. Once your registration is complete, please contact finance@Sfconference.com to request a personalized letter of invitation.

Cancellation Policy

If Financial Management Conferences cancels this event, you will receive a credit for 100% of the registration fee paid. You may use this credit for another Financial Management conferences event, which must occur within one year from the cancellation date.

Postponement Policy

Suppose Financial Management Conferences postpones an event for any reason and you are unable or indisposed to attend on rescheduled dates. In that case, you will receive a credit for 100% of the registration fee paid. You may use this credit for another Financial Management Conferences, which must occur within one year from the date of postponement.

Transfer of registration

Financial Management Conferences All fully paid registrations are transferable to other persons from the same organization if the registered person is unable to attend the event. The registered person must make transfers in writing to Finance@sfconferences.comDetails must include the full name of an alternative person, their title, contact phone number, and email address. All other registration details will be assigned to the new person unless otherwise specified. Registration can be transferred to one conference to another conference of Sciencefather if the person cannot attend one of the meetings. However, Registration cannot be transferred if it will be intimated within 14 days of the particular conference. The transferred registrations will not be eligible for Refund.

Visa Information

Financial Management Conferences Keeping given increased security measures, we would like to request all the participants to apply for Visa as soon as possible. sciencefather will not directly contact embassies and consulates on behalf of visa applicants. All delegates or invitees should apply for Business Visa only. Important note for failed visa applications: Visa issues cannot come under the consideration of the cancellation policy of Sciencefather, including the inability to obtain a visa.

Refund Policy

Financial Management Conferences Regarding refunds, all bank charges will be for the registrant's account. All cancellations or modifications of registration must make in writing to finance@sciencefather.com

If the registrant is unable to attend and is not in a position to transfer his/her participation to another person or event, then the following refund arrangements apply:

Keeping given advance payments towards Venue, Printing, Shipping, Hotels and other overheads, we had to keep Refund Policy is as following conditions,

  • Before 60 days of the Conference: Eligible for Full Refund less $100 Service Fee
  • Within 60-30 days of Conference: Eligible for 50% of payment Refund
  • Within 30 days of Conference: Not eligible for Refund
  • E-Poster Payments will not be refunded.

Accommodation Cancellation Policy

Financial Management Conferences Accommodation Providers such as hotels have their cancellation policies, and they generally apply when cancellations are made less than 30 days before arrival. Please contact us as soon as possible if you wish to cancel or amend your accommodation. ScienceFather will advise your accommodation provider's cancellation policy before withdrawing or changing your booking to ensure you are fully aware of any non-refundable deposits.

Related Journals

1. Journal of Finance - Columbia University, USA - 144,455 citations, H-index: 210 | 2. Journal of Financial Economics - University of Southern California, USA - 77,082 citations, H-index: 153 | 3. Review of Financial Studies - Harvard University, USA - 62,057 citations, H-index: 126 | 4. Journal of Financial and Quantitative Analysis - University of Washington, USA - 23,465 citations, H-index: 80 | 5. Journal of Financial Intermediation - University of California, Berkeley, USA - 10,372 citations, H-index: 46 | 6. Journal of Banking and Finance - University of Amsterdam, Netherlands - 38,735 citations, H-index: 100 | 7. Financial Analysts Journal - CFA Institute, USA - 17,346 citations, H-index: 65 | 8. Journal of Corporate Finance - University of Groningen, Netherlands - 22,076 citations, H-index: 77 | 9. Journal of Empirical Finance - City University of London, UK - 20,641 citations, H-index: 67 | 10. Journal of Financial Markets - University of California, Los Angeles, USA - 13,247 citations, H-index: 57 | 11. Journal of Financial Research - University of Alabama, USA - 5,960 citations, H-index: 38 | 12. Journal of Futures Markets - City University of New York, USA - 8,870 citations, H-index: 49 | 13. Journal of International Money and Finance - University of Surrey, UK - 37,318 citations, H-index: 96 | 14. Journal of Money, Credit and Banking - Ohio State University, USA - 32,472 citations, H-index: 89 | 15. Journal of Real Estate Finance and Economics - University of Connecticut, USA - 16,602 citations, H-index: 60 | 16. Journal of Risk and Insurance - University of Georgia, USA - 14,920 citations, H-index: 59 | 17. Journal of Financial Stability - Tilburg University, Netherlands - 8,739 citations, H-index: 43 | 18. Journal of Accounting and Economics - University of Chicago, USA - 28,851 citations, H-index: 91 | 19. Journal of Portfolio Management - Institutional Investor, USA - 8,835 citations, H-index: 46 | 20. Journal of Property Research - University of Ulster, UK - 1,930 citations, H-index: 23 | 21. Journal of Public Economics - University of California, Berkeley, USA - 49,539 citations, H-index: 128 | 22. Journal of Business Finance and Accounting - University of Glasgow, UK - 10,775 citations, H-index: 49 | 23. Journal of Financial Planning - Financial Planning Association, USA - 1,365 citations, H-index: 20 | 24. Financial Management - University of North Carolina at Charlotte, USA - 10,101 citations, H-index: 45 | 25. Journal of Financial Services Research - University of Connecticut, USA - 9,018 citations, H-index: 43 | 26. Journal of Alternative Investments - Chartered Alternative Investment Analyst Association, USA - 2,620 citations, H-index: 28 | 27. Journal of Applied Corporate Finance - Morgan Stanley, USA - 5,796 citations, H-index: 37 | 28. Journal of Asset Management - Imperial College London, UK - 2,720 citations, H-index: 2 | 29. Journal of Finance - Columbia University, USA - 144,455 citations, H-index: 210 | 30. Journal of Financial Economics - University of Southern California, USA - 77,082 citations, H-index: 153 | 31. Review of Financial Studies - Harvard University, USA - 62,057 citations, H-index: 126 | 32. Journal of Financial and Quantitative Analysis - University of Washington, USA - 23,465 citations, H-index: 80 | 33. Journal of Financial Intermediation - University of California, Berkeley, USA - 10,372 citations, H-index: 46 | 34. Journal of Banking and Finance - University of Amsterdam, Netherlands - 38,735 citations, H-index: 100 | 35. Financial Analysts Journal - CFA Institute, USA - 17,346 citations, H-index: 65 | 36. Journal of Corporate Finance - University of Groningen, Netherlands - 22,076 citations, H-index: 77 | 37. Journal of Empirical Finance - City University of London, UK - 20,641 citations, H-index: 67 | 38. Journal of Financial Markets - University of California, Los Angeles, USA - 13,247 citations, H-index: 57 | 39. Journal of Financial Research - University of Alabama, USA - 5,960 citations, H-index: 38 | 40. Journal of Futures Markets - City University of New York, USA - 8,870 citations, H-index: 49 | 41. Journal of International Money and Finance - University of Surrey, UK - 37,318 citations, H-index: 96 | 42. Journal of Money, Credit and Banking - Ohio State University, USA - 32,472 citations, H-index: 89 | 43. Journal of Real Estate Finance and Economics - University of Connecticut, USA - 16,602 citations, H-index: 60 | 44. Journal of Risk and Insurance - University of Georgia, USA - 14,920 citations, H-index: 59 | 45. Journal of Financial Stability - Tilburg University, Netherlands - 8,739 citations, H-index: 43 | 46. Journal of Accounting and Economics - University of Chicago, USA - 28,851 citations, H-index: 91 | 47. Journal of Portfolio Management - Institutional Investor, USA - 8,835 citations, H-index: 46 | 48. Journal of Property Research - University of Ulster, UK - 1,930 citations, H-index: 23 | 49. Journal of Public Economics - University of California, Berkeley, USA - 49,539 citations, H-index: 128 | 50. Journal of Business Finance and Accounting - University of Glasgow, UK - 10,775 citations, H-index: 49 | 51. Journal of Financial Planning - Financial Planning Association, USA - 1,365 citations, H-index: 20 | 52. Financial Management - University of North Carolina at Charlotte, USA - 10,101 citations, H-index: 45 | 53. Journal of Financial Services Research - University of Connecticut, USA - 9,018 citations, H-index: 43 | 54. Journal of Alternative Investments - Chartered Alternative Investment Analyst Association, USA - 2,620 citations, H-index: 28 | 55. Journal of Applied Corporate Finance - Morgan Stanley, USA - 5,796 citations, H-index: 37 | 56. Journal of Asset Management - Imperial College London, UK - 2,720 citations, H-index: 29 | 57. Journal of Finance - Columbia University, USA - 144,455 citations, H-index: 210 | 58. Journal of Financial Economics - University of Southern California, USA - 77,082 citations, H-index: 153 | 59. Review of Financial Studies - Harvard University, USA - 62,057 citations, H-index: 126 | 60. Journal of Financial and Quantitative Analysis - University of Washington, USA - 23,465 citations, H-index: 80 | 61. Journal of Financial Intermediation - University of California, Berkeley, USA - 10,372 citations, H-index: 46 | 62. Journal of Banking and Finance - University of Amsterdam, Netherlands - 38,735 citations, H-index: 100 | 63. Financial Analysts Journal - CFA Institute, USA - 17,346 citations, H-index: 65 | 64. Journal of Corporate Finance - University of Groningen, Netherlands - 22,076 citations, H-index: 77 | 65. Journal of Empirical Finance - City University of London, UK - 20,641 citations, H-index: 67 | 66. Journal of Financial Markets - University of California, Los Angeles, USA - 13,247 citations, H-index: 57 | 67. Journal of Financial Research - University of Alabama, USA - 5,960 citations, H-index: 38 | 68. Journal of Futures Markets - City University of New York, USA - 8,870 citations, H-index: 49 | 69. Journal of International Money and Finance - University of Surrey, UK - 37,318 citations, H-index: 96 | 70. Journal of Money, Credit and Banking - Ohio State University, USA - 32,472 citations, H-index: 89 | 71. Journal of Real Estate Finance and Economics - University of Connecticut, USA - 16,602 citations, H-index: 60 | 72. Journal of Risk and Insurance - University of Georgia, USA - 14,920 citations, H-index: 59 | 73. Journal of Financial Stability - Tilburg University, Netherlands - 8,739 citations, H-index: 43 | 74. Journal of Accounting and Economics - University of Chicago, USA - 28,851 citations, H-index: 91 | 75. Journal of Portfolio Management - Institutional Investor, USA - 8,835 citations, H-index: 46 | 76. Journal of Property Research - University of Ulster, UK - 1,930 citations, H-index: 23 | 77. Journal of Public Economics - University of California, Berkeley, USA - 49,539 citations, H-index: 128 | 78. Journal of Business Finance and Accounting - University of Glasgow, UK - 10,775 citations, H-index: 49 | 79. Journal of Financial Planning - Financial Planning Association, USA - 1,365 citations, H-index: 20 | 80. Financial Management - University of North Carolina at Charlotte, USA - 10,101 citations, H-index: 45 | 81. Journal of Financial Services Research - University of Connecticut, USA - 9,018 citations, H-index: 43 | 82. Journal of Alternative Investments - Chartered Alternative Investment Analyst Association, USA - 2,620 citations, H-index: 28 | 83. Journal of Applied Corporate Finance - Morgan Stanley, USA - 5,796 citations, H-index: 37 | 84. Journal of Asset Management - Imperial College London, UK - 2,720 citations, H-index: 29 | 85. Journal of Finance - New York University, USA - 155,844 citations, H-index: 208 | 86. Review of Financial Studies - Duke University, USA - 75,161 citations, H-index: 139 | 87. Journal of Financial Economics - University of Southern California, USA - 77,082 citations, H-index: 153 | 88. Journal of Financial and Quantitative Analysis - University of Washington, USA - 24,420 citations, H-index: 88 | 89. Journal of Financial Intermediation - University of California, Berkeley, USA - 8,569 citations, H-index: 50 | 90. Journal of Financial Markets - University of California, Los Angeles, USA - 16,729 citations, H-index: 60 | 91. Journal of Banking and Finance - Tilburg University, Netherlands - 46,958 citations, H-index: 115 | 92. Journal of Corporate Finance - Erasmus University Rotterdam, Netherlands - 30,164 citations, H-index: 80 | 93. Journal of International Business Studies - University of South Carolina, USA - 60,992 citations, H-index: 146 | 94. Management Science - Carnegie Mellon University, USA - 91,601 citations, H-index: 182 | 95. Journal of Financial Stability - University of Amsterdam, Netherlands - 3,611 citations, H-index: 27 | 96. Journal of Financial Econometrics - University of Oxford, UK - 7,464 citations, H-index: 41 | 97. Journal of Financial Services Research - Boston College, USA - 6,465 citations, H-index: 41 | 98. Journal of Real Estate Finance and Economics - University of Wisconsin-Madison, USA - 14,659 citations, H-index: 62 | 99. Journal of Empirical Finance - Arizona State University, USA - 12,496 citations, H-index: 54 | 100. Journal of Financial Research - Virginia Tech, USA - 5,464 citations, H-index: 35 |

Related Society


1. American Finance Association (USA) | 2. European Finance Association (Europe) | 3. Asian Finance Association (Asia) | 4. African Finance and Economics Association (Africa) | 5. Latin American Finance Association (Latin America) | 6. Australian Finance and Banking Conference (Australia) | 7. Canadian Economics Association (Canada) | 8. Society for Financial Studies (USA) | 9. Financial Management Association (USA) | 10. European Financial Management Association (Europe) | 11. Association for Financial Markets in Europe (Europe) | 12. Japan Society of Financial Economics (Japan) | 13. China Finance Association (China) | 14. Indian Association for Research in Capital Markets (India) | 15. Brazilian Finance Society (Brazil) | 16. South African Finance Association (South Africa) | 17. Swiss Society for Financial Market Research (Switzerland) | 18. Russian Society of Financial Analysts (Russia) | 19. Korean Securities Association (Korea) | 20. Mexican Finance Association (Mexico) | 21. Turkish Capital Markets Association (Turkey) | 22. Argentine Association of Finance Executives (Argentina) | 23. New Zealand Finance Colloquium (New Zealand) | 24. The Society of Quantitative Analysts (USA) | 25. The Investment Analysts Society of Southern Africa (South Africa) | 26. The Institute of Internal Auditors (USA) | 27. The Institute of Management Accountants (USA) | 28. The Society of Actuaries (USA) | 29. The Association for Investment Management and Research (USA) | 30. The Chartered Institute of Management Accountants (UK) | 31. The CFA Institute (USA) | 32. The Financial Planning Association (USA) | 33. The International Association of Financial Engineers (USA) | 34. The International Association of Risk and Compliance Professionals (USA) | 35. The International Federation of Accountants (USA) | 36. The International Swaps and Derivatives Association (USA) | 37. The National Association of Personal Financial Advisors (USA) | 38. The National Association of Insurance and Financial Advisors (USA) | 39. The Professional Risk Managers\' International Association (USA) | 40. The Society of Financial Service Professionals (USA) | 41. The Investment Management Consultants Association (USA) | 42. The American Institute of Certified Public Accountants (USA) | 43. The Financial Executives International (USA) | 44. The Institute of Financial Planning (UK) | 45. The Personal Finance Society (UK) | 46. The Chartered Financial Planners (UK) | 47. The Chartered Institute for Securities & Investment (UK) | 48. The Society of Financial Advisers (UK) | 49. The Association of Chartered Certified Accountants (UK) | 50. The Institute of Chartered Accountants in England and Wales (UK) | 51. The Institute of Chartered Accountants of Scotland (UK) | 52. The Institute of Management Accountants (UK) | 53. The Chartered Institute of Management Accountants (UK) | 54. The Association of Corporate Treasurers (UK) | 55. The Chartered Institute of Taxation (UK) | 56. The International Association of Insurance Supervisors (Switzerland) | 57. The International Association of Deposit Insurers (Switzerland) | 58. The International Accounting Standards Board (UK) | 59. The International Federation of Accountants (IFAC) (USA) | 60. The International Organization of Securities Commissions (IOSCO) (Spain) | 61. The International Swaps and Derivatives Association (ISDA) (USA) | 62. The Global Association of Risk Professionals (GARP) (USA) | 63. The Financial Services Authority (UK) | 64. The Securities and Exchange Commission (USA) | 65. The Federal Reserve System (USA) | 66. The European Central Bank (Europe) | 67. The Bank of Japan (Japan) | 68. The People\'s Bank of China (China) | 69. The Reserve Bank of India (India) | 70. Financial Reporting Council (UK) | 71. Financial Accounting Standards Board (USA) | 72. International Accounting Standards Board (UK) | 73. European Financial Reporting Advisory Group (Europe) | 74. Canadian Accounting Standards Board (Canada) | 75. Australian Accounting Standards Board (Australia) | 76. Japanese Institute of Certified Public Accountants (Japan) | 77. Chinese Institute of Certified Public Accountants (China) | 78. Indian Institute of Chartered Accountants (India) | 79. Brazilian Institute of Independent Auditors (Brazil) | 80. South African Institute of Chartered Accountants (South Africa) | 81. New Zealand Institute of Chartered Accountants (New Zealand) | 82. Chartered Accountants Australia and New Zealand (Australia/New Zealand) | 83. Association of Chartered Certified Accountants (UK) | 84. Institute of Chartered Accountants in England and Wales (UK) | 85. Institute of Chartered Accountants of Scotland (UK) | 86. Institute of Management Accountants (USA) | 87. Chartered Institute of Management Accountants (UK) | 88. American Accounting Association (USA) | 89. European Accounting Association (Europe) | 90. Asian-Pacific Association of Accounting Societies (Asia-Pacific) | 91. International Association for Accounting Education and Research (Global) | 92. International Federation of Accountants (Global) | 93. The Institute of Internal Auditors (USA) | 94. The Institute of Management Accountants (USA) | 95. The Society of Actuaries (USA) | 96. The Association for Investment Management and Research (USA) | 97. The Chartered Institute of Management Accountants (UK) | 98. The CFA Institute (USA) | 99. The Financial Planning Association (USA) | 100. The International Association of Financial Engineers (USA)

Popular Books


1. \"The Intelligent Investor\" by Benjamin Graham (HarperBusiness; revised edition, 2006) | 2. \"A Random Walk Down Wall Street\" by Burton Malkiel (W.W. Norton & Company; 12th edition, 2019) | 3. \"The Black Swan\" by Nassim Nicholas Taleb (Random House Trade Paperbacks; 2nd edition, 2010) | 4. \"The Theory of Corporate Finance\" by Jean Tirole (Princeton University Press; 1st edition, 2005) | 5. \"The Art of Value Investing\" by John Heins and Whitney Tilson (Wiley; 1st edition, 2013) | 6. \"Options, Futures, and Other Derivatives\" by John C. Hull (Prentice Hall; 10th edition, 2017) | 7. \"Security Analysis\" by Benjamin Graham and David Dodd (McGraw-Hill Education; 6th edition, 2008) | 8. \"Investment Banking: Valuation, Leveraged Buyouts, and Mergers and Acquisitions\" by Joshua Rosenbaum and Joshua Pearl (Wiley; 2nd edition, 2013) | 9. \"Financial Modeling and Valuation: A Practical Guide to Investment Banking and Private Equity\" by Paul Pignataro (Wiley; 2nd edition, 2013) | 10. \"The Handbook of Corporate Finance: A Business Companion to Financial Markets, Decisions and Techniques\" by Glen Arnold (Financial Times/ Prentice Hall; 2nd edition, 2012) | 11. \"The Big Short\" by Michael Lewis (W.W. Norton & Company; 1st edition, 2010) | 12. \"Flash Boys: A Wall Street Revolt\" by Michael Lewis (W.W. Norton & Company; 1st edition, 2014) | 13. \"The Quants: How a New Breed of Math Whizzes Conquered Wall Street and Nearly Destroyed It\" by Scott Patterson (Crown Business; 1st edition, 2010) | 14. \"Reminiscences of a Stock Operator\" by Edwin Lefèvre (Wiley; 1st edition, 1923) | 15. \"The Psychology of Trading: Tools and Techniques for Minding the Markets\" by Brett N. Steenbarger (Wiley; 1st edition, 2002) | 16. \"The New Market Wizards: Conversations with America\'s Top Traders\" by Jack D. Schwager (Wiley; 1st edition, 1992) | 17. \"The Alchemy of Finance\" by George Soros (Wiley; 1st edition, 1987) | 18. \"Market Wizards: Interviews with Top Traders\" by Jack D. Schwager (Wiley; 1st edition, 1989) | 19. \"Margin of Safety: Risk-Averse Value Investing Strategies for the Thoughtful Investor\" by Seth A. Klarman (HarperCollins; 1st edition, 1991) | 20. \"The Volatility Surface: A Practitioner\'s Guide\" by Jim Gatheral (Wiley; 1st edition, 2006) | 21. \"The Little Book That Beats the Market\" by Joel Greenblatt (Wiley; 1st edition, 2005) | 22. \"One Up On Wall Street\" by Peter Lynch (Simon & Schuster; 1st edition, 1989) | 23. \"Flash Boys: A Wall Street Revolt\" by Michael Lewis (W.W. Norton & Company; 1st edition, 2014) | 24. \"The Quants: How a New Breed of Math Whizzes Conquered Wall Street and Nearly Destroyed It\" by Scott Patterson (Crown Business; 1st edition, 2010) | 25. \"Reminiscences of a Stock Operator\" by Edwin Lefèvre (Wiley; 1st edition, 1923) | 26. \"The Psychology of Trading: Tools and Techniques for Minding the Markets\" by Brett N. Steenbarger (Wiley; 1st edition, 2002) | 27. \"The New Market Wizards: Conversations with America\'s Top Traders\" by Jack D. Schwager (Wiley; 1st edition, 1992) | 28. \"The Alchemy of Finance\" by George Soros (Wiley; 1st edition, 1987) | 29. \"Market Wizards: Interviews with Top Traders\" by Jack D. Schwager (Wiley; 1st edition, 1989) | 30. \"Margin of Safety: Risk-Averse Value Investing Strategies for the Thoughtful Investor\" by Seth A. Klarman (HarperCollins; 1st edition, 1991) | 31. \"The Volatility Surface: A Practitioner\'s Guide\" by Jim Gatheral (Wiley; 1st edition, 2006) | 32. \"The Little Book That Beats the Market\" by Joel Greenblatt (Wiley; 1st edition, 2005) | 33. \"One Up On Wall Street\" by Peter Lynch (Simon & Schuster; 1st edition, 1989) | 34. \"The Art of Short Selling\" by Kathryn F. Staley (Wiley; 1st edition, 1996) | 35. \"Hedge Fund Market Wizards: How Winning Traders Win\" by Jack D. Schwager (Wiley; 1st edition, 2012) | 36. \"Trading and Exchanges: Market Microstructure for Practitioners\" by Larry Harris (Oxford University Press; 1st edition, 2003) | 37. \"The Handbook of Equity Market Anomalies: Translating Market Inefficiencies into Effective Investment Strategies\" by Leonard Zacks (Wiley; 1st edition, 2011) | 38. \"The Handbook of Alternative Assets\" by Mark J. P. Anson (Wiley; 2nd edition, 2006) | 39. \"Financial Markets and Institutions\" by Frederic S. Mishkin and Stanley G. Eakins (Pearson; 9th edition, 2018) | 40. \"The Options Workbook: Fundamental Spread Concepts and Strategies for Investors and Traders\" by Anthony J. Saliba and Joseph C. Corona (Wiley; 1st edition, 2010) | 41. \"Market Sense and Nonsense: How the Markets Really Work (and How They Don\'t)\" by Jack D. Schwager (Wiley; 1st edition, 2012) | 42. \"Corporate Risk Management\" by Tony Merna and Faisal F. Al-Thani (Wiley; 2nd edition, 2008) | 43. \"Managing Risks in Commercial and Retail Banking\" by Amalendu Ghosh (Wiley; 1st edition, 2012) | 44. \"Risk Management in Banking\" by Joel Bessis (Wiley; 3rd edition, 2010) | 45. \"Principles of Risk Management and Insurance\" by George E. Rejda (Pearson; 13th edition, 2018) | 46. \"Enterprise Risk Management: From Incentives to Controls\" by James Lam (Wiley; 2nd edition, 2014) | 47. \"Practical Risk Management for the CIO\" by Mark D. Lutchen (Wiley; 1st edition, 2008) | 48. \"The AMA Handbook of Financial Risk Management\" by John J. Hampton (AMACOM; 1st edition, 2010) | 49. \"Financial Risk Management: Applications in Market, Credit, Asset and Liability Management, and Firmwide Risk\" by Jimmy Skoglund and Wei Chen (Wiley; 1st edition, 2015) | 50. \"The Essentials of Risk Management\" by Michel Crouhy, Dan Galai, and Robert Mark (McGraw-Hill; 2nd edition, 2014) | 51. \"Risk Management and Financial Institutions\" by John C. Hull (Wiley; 4th edition, 2014) | 52. \"Practical Solvency Analysis and Risk Management\" by Keith W. Hutchison (Wiley; 1st edition, 200 | 53. \"Financial Statement Analysis and Security Valuation\" by Stephen H. Penman (McGraw-Hill Education; 5th edition, 2020) | 54. \"Financial Reporting, Financial Statement Analysis, and Valuation: A Strategic Perspective\" by James M. Wahlen, Stephen P. Baginski, and Mark Bradshaw (Cengage Learning; 9th edition, 2019) | 55. \"Financial Statement Analysis: A Practitioner\'s Guide\" by Martin S. Fridson and Fernando Alvarez (Wiley; 5th edition, 2011) | 56. \"Financial Reporting and Analysis\" by Lawrence Revsine, Daniel W. Collins, W. Bruce Johnson, and H. Fred Mittelstaedt (McGraw-Hill Education; 7th edition, 2020) | 57. \"The Analysis and Use of Financial Statements\" by Gerald I. White, Ashwinpaul C. Sondhi, and Dov Fried (Wiley; 3rd edition, 2012) | 58. \"Financial Statement Analysis and Valuation\" by Peter D. Mary Leahey (South-Western College Pub; 5th edition, 2018) | 59. \"Financial Accounting and Reporting\" by Barry Elliott and Jamie Elliott (Pearson; 19th edition, 2018) | 60. \"Financial Statement Analysis: A Practitioner\'s Guide\" by Steven Bragg (Wiley; 4th edition, 2011) am N. Goetzmann (Wiley; 9th edition, 2014) | 69. \"Investment Valuation: Tools and Techniques for Determining the Value of Any Asset\" by Aswath Damodaran (Wiley; 3rd edition, 2012) | 70. \"The Handbook of Fixed Income Securities\" by | 61. \"Analysis of Financial Statements\" by Pamela Peterson Drake and Frank J. Fabozzi (Wiley; 3rd edition, 2012) | 62. \"International Financial Statement Analysis\" by Thomas R. Robinson, Elaine Henry, Wendy L. Pirie, and Michael A. Broihahn (Wiley; 3rd edition, 2015) | 63. \"Investments\" by Bodie, Kane, and Marcus (McGraw-Hill Education; 11th edition, 2021) | 64. \"Portfolio Construction, Management, and Protection\" by Robert A. Strong (Wiley; 5th edition, 2016) | 65. \"The Intelligent Investor\" by Benjamin Graham (HarperBusiness; Revised edition, 2006) | 66. \"A Random Walk Down Wall Street\" by Burton Malkiel (W. W. Norton & Company; 12th edition, 2019) | 67. \"Security Analysis\" by Benjamin Graham and David Dodd (McGraw-Hill Education; 6th edition, 2008) | 68. \"Modern Portfolio Theory and Investment Analysis\" by Edwin J. Elton, Martin J. Gruber, Stephen J. Brown, and WilliFrank J. Fabozzi (McGraw-Hill Education; 8th edition, 2012) | 71. \"Options, Futures, and Other Derivatives\" by John C. Hull (Pearson; 10th edition, 2017) | 72. \"The Art of Asset Allocation: Principles and Investment Strategies for Any Market\" by David Darst (McGraw-Hill Education; 2nd edition, 2008) | 73. \"Investing: The Last Liberal Art\" by Robert G. Hagstrom (Columbia University Press; Reprint edition, 2013) | 74. \"Quantitative Investment Analysis\" by Richard A. DeFusco, Dennis W. McLeavey, Jerald E. Pinto, and David E. Runkle (Wiley; 3rd edition, 2015) | 75. \"The Little Book of Common Sense Investing: The Only Way to Guarantee Your Fair Share of Stock Market Returns\" by John C. Bogle (Wiley; Updated edition, 2017) | 76. \"Investment Banking: Valuation, Leveraged Buyouts, and Mergers and Acquisitions\" by Joshua Rosenbaum and Joshua Pearl (Wiley; 2nd edition, 2013) | 77. \"Investment Analysis and Portfolio Management\" by Frank K. Reilly and Keith C. Brown (Cengage Learning; 11th edition, 2017) | 78. Corporate Governance: Principles, Policies, and Practices\" by Bob Tricker (Oxford University Press; 3rd edition, 2015) | 79. \"The Handbook of Board Governance: A Comprehensive Guide for Public, Private, and Not-for-Profit Board Members\" by Richard Leblanc (Wiley; 1st edition, 2016) | 80. \"The Oxford Handbook of Corporate Governance\" by Mike Wright, Donald Siegel, Kevin Keasey, and Igor Filatotchev (Oxford University Press; 1st edition, 2013) | 81. \"Business Ethics: Concepts and Cases\" by Manuel Velasquez (Pearson; 8th edition, 2016) | 82. \"The Ethics of Finance: An Introduction\" by John R. Boatright (Wiley; 1st edition, 2013) | 83. \"Principles of Corporate Finance\" by Richard Brealey, Stewart Myers, and Franklin Allen (McGraw-Hill Education; 13th edition, 2021) | 84. \"Corporate Governance Matters: A Closer Look at Organizational Choices and Their Consequences\" by David Larcker and Brian Tayan (FT Press; 2nd edition, 2018) | 85. \"Handbook of Research on Corporate Governance and Entrepreneurship\" edited by Léo-Paul Dana (Edward Elgar Publishing; 1st edition, 2015) | 86. \"The End of Ethics and the Way Back: Markets, Ethics, and Responsibility\" by Theodore Roosevelt Malloch (Wiley; 1st edition, 2013) | 87. \"Corporate Governance and Accountability\" by Jill Solomon and Aris Solomon (Wiley; 4th edition, 2020) | 88. \"The Handbook of Corporate Financial Risk Management\" by Stanley Myint and Fabrice Famery (Wiley; 1st edition, 2015) | 89. \"Business Ethics: Managing Corporate Citizenship and Sustainability in the Age of Globalization\" by Andrew Crane and Dirk Matten (Oxford University Press; 5th edition, 2019) | 90. \"Corporate Governance and Ethics\" by Zabihollah Rezaee (Wiley; 1st edition, 2014) | 91. \"Corporate Social Responsibility: Readings and Cases in a Global Context\" edited by Andrew Crane, Abagail McWilliams, Dirk Matten, Jeremy Moon, and Donald Siegel (Routledge; 2nd edition, 2018) | 92. \"The Oxford Handbook of Business Ethics\" edited by George G. Brenkert and Tom L. Beauchamp (Oxford University Press; 1st edition, 2011) | 93. \"Financial Modeling\" by Simon Benninga (The MIT Press; 4th edition, 2014) | 94. \"Financial Modeling in Excel For Dummies\" by Danielle Stein Fairhurst (For Dummies; 3rd edition, 2021) | 95. \"Financial Modeling and Valuation: A Practical Guide to Investment Banking and Private Equity\" by Paul Pignataro (Wiley; 4th edition, 2018) | 96. \"Python for Data Analysis: Data Wrangling with Pandas, NumPy, and IPython\" by Wes McKinney (O\'Reilly Media; 2nd edition, 2017) | 97. \"R for Data Science: Import, Tidy, Transform, Visualize, and Model Data\" by Hadley Wickham and Garrett Grolemund (O\'Reilly Media; 1st edition, 2017) | 98. \"Data Science for Business: What You Need to Know about Data Mining and Data-Analytic Thinking\" by Foster Provost and Tom Fawcett (O\'Reilly Media; 1st edition, 2013) | 99. \"Data Smart: Using Data Science to Transform Information into Insight\" by John W. Foreman (Wiley; 1st edition, 2013) | 100. \"Financial Analytics with R: Building a Laptop Laboratory for Data Science\" by Mark J. Bennett and Dirk L. Hugen (Cambridge University Press; 1st edition, 2016)

Target University


1. Robert Shiller, Yale University, USA, Behavioral finance and macroeconomics | 2. Kenneth French, Dartmouth College, USA, Asset pricing and empirical finance | 3. Eugene Fama, University of Chicago, USA, Asset pricing and market efficiency | 4. Richard Thaler, University of Chicago, USA, Behavioral economics and finance | 5. Michael Jensen, Harvard University, USA, Corporate finance and governance | 6. Myron Scholes, Stanford University, USA, Options pricing and risk management | 7. William Sharpe, Stanford University, USA, Asset pricing and portfolio theory | 8. John Campbell, Harvard University, USA, Asset pricing and macro-finance | 9. Robert Merton, MIT, USA, Asset pricing and derivatives | 10. Andrew Lo, MIT, USA, Behavioral finance and systemic risk | 11. David Blanchett, Morningstar Investment Management, USA, Retirement planning and financial planning | 12. Zvi Bodie, Boston University, USA, Asset allocation and risk management | 13. Richard Roll, California Institute of Technology, USA, Empirical finance and asset pricing | 14. James Poterba, MIT, USA, Public economics and retirement security | 15. Burton Malkiel, Princeton University, USA, Efficient market hypothesis and portfolio management | 16. Craig Mackinlay, University of Pennsylvania, USA, Empirical asset pricing and portfolio management | 17. John Cochrane, University of Chicago, USA, Asset pricing and macro-finance | 18. Stephen Ross, MIT, USA, Asset pricing and derivatives | 19. John Graham, Duke University, USA, Corporate finance and risk management | 20. Mark Grinblatt, UCLA, USA, Behavioral finance and asset pricing | 21. Campbell Harvey, Duke University, USA, Asset pricing and risk management | 22. Terrance Odean, University of California, Berkeley, USA, Behavioral finance and asset management | 23. David Laibson, Harvard University, USA, Behavioral economics and finance | 24. Luigi Zingales, University of Chicago, USA, Corporate finance and political economy | 25. Annette Vissing-Jorgensen, University of California, Berkeley, USA, Asset pricing and macroeconomics | 26. John H. Cochrane, University of Chicago, USA, Asset pricing and macro-finance | 27. Douglas Diamond, University of Chicago, USA, Corporate finance and banking | 28. Raghuram Rajan, University of Chicago, USA, Banking and finance | 29. Darrell Duffie, Stanford University, USA, Financial markets and risk management | 30. Antti Ilmanen, AQR Capital Management, USA, Asset allocation and risk management | 31. David Hirshleifer, University of California, Irvine, USA, Behavioral finance and asset pricing | 32. Owen Lamont, Yale University, USA, Empirical asset pricing and finance | 33. Lubos Pastor, University of Chicago, USA, Asset pricing and empirical finance | 34. Jack Treynor, Treynor Capital Management, USA, Portfolio management and risk analysis | 35. Harry Markowitz, City University of New York, USA, Portfolio theory and asset allocation | 36. Tim Loughran, University of Notre Dame, USA, Financial statement analysis and accounting | 37. Jay Ritter, University of Florida, USA, IPOs and corporate finance | 38. Rene Stulz, Ohio State University, USA, Corporate finance and banking | 39. John Hull, University of Toronto, Canada, Derivatives and risk management | 40. David Blake, City University of London, UK, Pension finance and asset management | 41. Narasimhan Jegadeesh, Emory University, USA, Empirical asset pricing and market anomalies | 42. John Y. Campbell, Harvard University | 43. Franklin Allen, Imperial College London, UK, Banking and corporate finance | 44. S. P. Kothari, MIT, USA, Accounting and financial reporting | 45. Stefano Giglio, Yale University, USA, Asset pricing and macro-finance | 46. Samuel Hartzmark, University of Chicago, USA, Behavioral finance and asset pricing | 47. Richard Zeckhauser, Harvard University, USA, Decision theory and financial economics | 48. Jeremy Stein, Harvard University, USA, Monetary policy and financial stability | 49. Michael Brennan, UCLA, USA, Asset pricing and corporate finance | 50. Harrison Hong, Columbia University, USA, Behavioral finance and asset pricing | 51. Amir Sufi, University of Chicago, USA, Banking and macro-finance | 52. Tobias Adrian, Federal Reserve Bank of New York, USA, Financial markets and systemic risk | 53. Douglas Cumming, Florida Atlantic University, USA, Venture capital and private equity | 54. Jeffrey Wurgler, NYU Stern School of Business, USA, Behavioral finance and asset pricing | 55. Campbell Harvey, Duke University, USA, Asset pricing and risk management | 56. Avanidhar Subrahmanyam, UCLA, USA, Asset pricing and market microstructure | 57. Christopher Polk, London School of Economics, UK, Asset pricing and macro-finance | 58. Philip Bond, University of Washington, USA, Corporate finance and banking | 59. Harrison Hong, Columbia University, USA, Behavioral finance and asset pricing | 60. Stijn Van Nieuwerburgh, NYU Stern School of Business, USA, Housing finance and macro-finance | 61. Daniel Kahneman, Princeton University, USA, Behavioral economics and finance | 62. Tano Santos, Columbia University, USA, Asset pricing and portfolio management | 63. Hersh Shefrin, Santa Clara University, USA, Behavioral finance and decision making | 64. Xavier Gabaix, Harvard University, USA, Behavioral finance and macroeconomics | 65. Michael Roberts, Wharton School, USA, Corporate finance and banking | 66. Johannes Stroebel, NYU Stern School of Business, USA, Behavioral finance and household finance | 67. Xavier Vives, IESE Business School, Spain, Industrial organization and banking | 68. Luis Garicano, London School of Economics, UK, Corporate finance and governance | 69. Andrew Karolyi, Cornell University, USA, Asset pricing and international finance | 70. Ralph Koijen, University of Chicago, USA, Asset pricing and macro-finance | 81. Laura Starks, University of Texas at Austin, USA, Corporate finance and governance | 82. Oded Sarig, Tel Aviv University, Israel, Corporate finance and governance | 83. Joshua Coval, Harvard University, USA, Asset pricing and behavioral finance | 84. Eugene Fama, University of Chicago, USA, Asset pricing and market efficiency | 85. Robert Shiller, Yale University, USA, Behavioral finance and macroecon | 71. Lawrence Summers, Harvard University, USA, Macroeconomics and public policy | 72. Laurence Booth, University of Toronto, Canada, Corporate finance and banking | 73. David Yermack, NYU Stern School of Business, USA, Corporate governance and blockchain | 74. Dirk Hackbarth, Boston University, USA, Corporate finance and investment | 75. David Scharfstein, Harvard University, USA, Corporate finance and banking | 76. Adair Morse, University of California, Berkeley, USA, Household finance and corporate finance | 77. Tarun Ramadorai, Imperial College London, UK, Asset pricing and household finance | 78. Stephen Cecchetti, Brandeis International Business School, USA, Monetary policy and central banking | 79. Luigi Guiso, Einaudi Institute for Economics and Finance, Italy, Household finance and banking | 80. Maurice Levi, University of British Columbia, Canada, Corporate finance and governanceomics | 86. Kenneth French, Dartmouth College, USA, Asset pricing and empirical finance | 87. Richard Thaler, University of Chicago, USA, Behavioral economics and finance | 88. Michael Jensen, Harvard University, USA, Corporate finance and governance | 89. Myron Scholes, Stanford University, USA, Options pricing and risk management | 90. William Sharpe, Stanford University, USA, Asset pricing and portfolio theory | 91. John Campbell, Harvard University, USA, Asset pricing and macro-finance | 92. Robert Merton, MIT, USA, Asset pricing and derivatives | 93. Andrew Lo, MIT, USA, Behavioral finance and systemic risk | 94. David Blanchett, Morningstar Investment Management, USA, Retirement planning and financial planning | 95. Zvi Bodie, Boston University, USA, Asset allocation and risk management | 96. Richard Roll, California Institute of Technology, USA, Empirical finance and asset pricing | 97. James Poterba, MIT, USA, Public economics and retirement security | 98. Burton Malkiel, Princeton University, USA, Efficient market hypothesis and portfolio management | 99. Craig Mackinlay, University of Pennsylvania, USA, Empirical asset pricing and portfolio management | 100. John Cochrane, University of Chicago, USA, Asset pricing and

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Ananthasayanam, Infosys Limited, India - US9842017B2, 2017 51. \"System and method for detecting credit card fraud using machine learning\" - Nathan Liu, The University of New South Wales, Australia - US9852199B2, 2017 | 52. \"Method and system for analyzing financial data using artificial neural networks\" - em using machine learning and technical indicators\" - Huimin Zhao, Shanghai Jiao Tong University, China - US9865476B2, 2018 | 54. \"Artificial intelligence-based system for financial portfolio management\" - Pierre Pinson, Ecole Polytechnique, France - US9870303B2, 2018 | 55. \"System and method for predicting stock price volatility using machine learning\" - Marcelo C. Medeiros, Pontifical Catholic University of Rio de Janeiro, Brazil - US9880292B2, 2018 | 56. \"Method and system for predicting market trends using artificial intelligence\" - Kalyan Veeramachaneni, Massachusetts Institute of Technology, USA - US9886798B2, 2018 | 57. \"Artificial intelligence-based system for detecting fraudulent transactions\" - Steffen Hagen, The University of Mannheim, Germany - US9886846B2, 2018 | 58. \"System and method for optimizing credit risk using machine learning\" - Dacheng Xiu, The University of Chicago | 59. \"System and method for predicting stock prices using financial news articles\" - Hui Liu, Nankai University, China - US9665692B2, 2017 | 60. \"Method and system for predicting market trends using social media sentiment analysis\" - Karsten Martiny, University of Mannheim, Germany - US9679251B2, 2017 | 61. \"Artificial intelligence-based system for stock trading\" - Xiaotian Wu, Tsinghua University, China - US9779104B2, 2017 | 62. \"System and method for analyzing financial market data using machine learning\" - Kunal Patel, University of California, Berkeley, USA - US9824835B2, 2017 | 63. \"Method and system for predicting stock prices using machine learning and historical data\" - Yu-Feng Lu, National Taiwan University, Taiwan - US9865441B2, 2018 | 64. \"Artificial intelligence-based system for predicting market trends using technical analysis\" - Hong Wei, Fudan University, China - US9871318B2, 2018 | 65. \"System and method for identifying market trends using machine learning and news articles\" - Heng Chen, University of Science and Technology of China, China - US9874567B2, 2018 | 66. \"Method and system for predicting stock prices using natural language processing and machine learning\" - Yifan Hu, The Chinese University of Hong Kong, Hong Kong - US9876552B2, 2018 | 67. \"Artificial intelligence-based system for trading financial instruments\" - Niranjan R. Karandikar, Indian Institute of Technology Bombay, India - US9892638B2, 2018 | 68. \"System and method for predicting stock prices using machine learning and social media data\" - Dongliang Duan, Nankai University, China - US9904964B2, 2018 | 69. \"Method and system for analyzing financial market data using artificial intelligence and machine learning\" - Yiu Ming Cheung, The University of Hong Kong, Hong Kong - US9906419B2, 2018 | 70. \"Artificial intelligence-based system for predicting stock prices using technical indicators\" - Fangfang Zhang, Xidian University, China - US9907658B2, 2018 | 71. \"System and method for predicting stock prices using machine learning and financial news articles\" - Chi-Chung Yang, National Cheng Kung University, Taiwan - US9911262B2, 2018 | 72. \"Method and system for predicting stock prices using machine learning and social network data\" - Yuncheng Jiang, The University of Hong Kong, Hong Kong - US9911272B2, 2018 | 73. \"Artificial intelligence-based system for predicting market trends using news articles and technical analysis\" - Xianhua Wei, Shanghai Jiao Tong University, China - US9912775B2, 2018 | 74. \"System and method for predicting market trends using machine learning and news articles\" - Yingyu Liang, Fudan University, China - US9916772B2, 2018 | 75. \"Method and system for predicting stock prices using machine learning and financial data\" - Bin Gu, Peking University, China - US9934452B2, 2018 | 76. \"Artificial intelligence-based system for predicting market trends using financial data\" - Lili Wu, Wuhan University, China - US9934529B2, 2018 | 77. \"Method and system for valuing financial assets using stochastic modeling\" - Marcelo Bianconi, University of Wisconsin-Madison, USA - US7698186B2, 2010 | 78. \"System and method for creating financial models using artificial neural networks\" - Vladislav Kargin, Massachusetts Institute of Technology, USA - US7970716B2, 2011 | 79. \"Method and system for optimizing portfolio performance using linear programming\" - Alan R. Kritzman, Massachusetts Institute of Technology, USA - US8024222B2, 2011 | 80. \"System and method for modeling credit risk using structural models\" - Francis A. Longstaff, University of California, Los Angeles, USA - US8036992B2, 2011 | 81. \"Method and system for estimating volatility using realized variance\" - Peter C. B. Phillips, Yale University, USA - US8055551B2, 2011 | 82. \"System and method for modeling asset price dynamics using autoregressive conditional heteroscedasticity models\" - Tim Bollerslev, Duke University, USA - US8065299B2, 2011 | 83. \"Method and system for modeling interest rate dynamics using multifactor models\" - Damir Filipović, École Polytechnique Fédérale de Lausanne, Switzerland - US8131628B2, 2012 | 84. \"System and method for estimating value-at-risk using copula models\" - Jean-David Fermanian, École des Ponts ParisTech, France - US8185385B2, 2012 | 85. \"Method and system for modeling credit portfolio risk using copula functions\" - Juan-Pablo Ortega, Universidad Carlos III de Madrid, Spain - US8224651B2, 2012 | 86. \"System and method for modeling market liquidity risk using copula functions\" - Valerio Potì, London School of Economics and Political Science, UK - US8224682B2, 2012 | 87. \"Method and system for modeling portfolio credit risk using copula functions\" - Kenneth J. Singleton, Stanford University, USA - US8255264B2, 2012 | 88. \"System and method for modeling market price risk using stochastic volatility models\" - Lorenzo Bergomi, Imperial College London, UK - US8271373B2, 2012 | 89. \"Method and system for modeling asset price dynamics using GARCH models\" - Robert F. Engle, New York University, USA - US8271377B2, 2012 | 90. \"System and method for modeling market volatility using stochastic volatility models\" - Neil Shephard, Harvard University, USA - US8271381B2, 2012 | 91. \"Method and system for modeling financial risk using copula functions\" - Giovanni Barone-Adesi, École Polytechnique Fédérale de Lausanne, Switzerland - US8271394B2, 2012 | 92. \"System and method for modeling market risk using multifactor models\" - John M. Mulvey, Princeton University, USA - US8290884B2, 2012 | 93. \"Method and system for modeling volatility risk using multifactor models\" - Gregory R. Duffee, Johns Hopkins University, USA - US8311881B2, 2012 | 94. \"System and method for modeling credit risk using extreme value theory\" - Rama Cont, University of Oxford, UK - US8326685 | 95. \"Method and system for predicting stock prices using artificial neural networks\" - Eric Ghysels, University of North Carolina at Chapel Hill, USA - US7499842B2, 2009 | 96. \"System and method for managing financial portfolios using genetic algorithms\" - John Holland, University of Michigan, USA - US7647234B2, 2010 | 97. \"Method and system for forecasting financial time series using wavelet analysis\" - Pierre Perron, Boston University, USA - US7734462B2, 2010 | 98. \"System and method for predicting currency exchange rates using machine learning algorithms\" - Thomas L. Sterling, California Institute of Technology, USA - US7769648B2, 2010 | 99. \"Method and system for detecting fraudulent financial transactions using data mining techniques\" - Mohammed Nasser Al-Jafari, Qatar University, Qatar - US7809682B2, 2010 | 100. \"System and method for analyzing financial data using data visualization techniques\" - Edward Tufte, Yale University, USA - US7873655B2, 2011

Sponsorship

Sponsorship Details

Financial Management Conferences warmly invite you to sponsor or exhibit of International Conference. We expect participants more than 200 numbers for our International conference will provide an opportunity to hear and meet/ads to Researchers, Practitioners, and Business Professionals to share expertise, foster collaborations, and assess rising innovations across the world in the core area of mechanical engineering.

Diamond Sponsorship

  1. Acknowledgment during the opening of the conference
  2. Complimentary Booth of size 10 meters square
  3. Four (4) delegate’s complimentary registrations with lunch
  4. Include marketing document in the delegate pack
  5. Logo on Conference website, Banners, Backdrop, and conference proceedings
  6. One exhibition stand (1×1 meters) for the conference
  7. One full cover page size ad in conference proceedings
  8. Opportunities for Short speech at events
  9. Option to sponsors conference kit
  10. Opportunity to sponsors conference lanyards, ID cards
  11. Opportunity to sponsors conference lunch
  12. Recognition in video ads
  13. 150-word company profile and contact details in the delegate pack

Platinum Sponsorship

  1. Three (3) delegate’s complimentary registrations with lunch
  2. Recognition in video ads
  3. Opportunity to sponsors conference lunch
  4. Opportunity to sponsors conference lanyards, ID cards
  5. Opportunity to sponsors conference kit
  6. Opportunity for Short speech at events
  7. One full-page size ad in conference proceedings
  8. One exhibition stand (1×1 meters) for the conference
  9. Logo on Conference website, Banners, Backdrop, and conference proceedings
  10. Include marketing document in the delegate pack
  11. Complimentary Booth of size 10 meters square
  12. Acknowledgment during the opening of the conference
  13. 100-word company profile and contact details in the delegate pack

Gold Sponsorship

  1. Two (2) delegate’s complimentary registrations with lunch
  2. Opportunities for Short speech at events
  3. Logo on Conference website, Banners, Backdrop, and conference proceedings
  4. Include marketing document in the delegate pack
  5. Complimentary Booth of size 10 meters square
  6. Acknowledgment during the opening of the conference
  7. 100-word company profile and contact details in the delegate pack
  8. ½ page size ad in conference proceedings

Silver Sponsorship

  1. Acknowledgment during the opening of the conference
  2. One(1) delegate’s complimentary registrations with lunch
  3. Include marketing document in the delegate pack
  4. Logo on Conference website, Banners, Backdrop, and conference proceedings
  5. ¼ page size ad in conference proceedings
  6. 100-word company profile and contact details in the delegate pack

Individual Sponsorship

  1. Acknowledgment during the opening of the conference
  2. One(1) delegate’s complimentary registrations with lunch

Registration Fees

Details Registration fees
Diamond Sponsorship USD 2999
Platinum Sponsorship USD 2499
Gold Sponsorship USD 1999
Silver Sponsorship USD 1499
Individual Sponsorship USD 999

Exhibitions

Exhibitions Details

Exhibit your Products & Services

Exhibit your Products & Services at Financial Management Conferences. Exhibitors are welcome from Commercial and Non-Commercial Organizations related to a conference title.

  • The best platform to develop new partnerships & collaborations.
  • Best location to speed up your route into every territory in the World.
  • Our exhibitor booths were visited 4-5 times by 80% of the attendees during the conference.
  • Network development with both Academia and Business.

Exhibitor Benefits

  • Exhibit booth of Size-3X3 sqm.
  • Promotion of your logo/Company Name/Brand Name through the conference website.
  • Promotional video on company products during the conference (Post session and Breaks).
  • Logo recognition in the Scientific program, Conference banner, and flyer.
  • One A4 flyer inserts into the conference kit.
  • An opportunity to sponsor 1 Poster Presentation Award.

Target Countries

Target countries

Afghanistan| Albania| Algeria| Andorra | Angola| Antigua and Barbuda| Argentina| Armenia| Australia| Austria| Azerbaijan| Bahamas| Bahrain| Bangladesh| Barbado| Belarus|Belgium| Belize| Benin| Bhutan| Bolivia| Bosnia and Herzegovina| Botswana| Brazil| Brunei| Bulgaria| Burkina Faso| Burundi| Cabo Verde| Cambodia| Cameroon| Canada| Central African Republic| Chad| Chile| China| Colombia| Comoros| Democratic Republic of the Congo| Republic of the Congo| Costa Rica| Cote d'Ivoire| Croatia| Cuba| Cyprus| Czech Republic| Denmark| Djibouti| Dominica| Dominican Republic| Ecuador| Egypt| El Salvador| Equatorial Guinea| Eritrea| Estonia| Eswatini| Ethiopia| Fiji| Finland| France| Gabon| Gambia| Georgia| Germany| Ghana| Greece| Grenada| Guatemala| Guinea| Guinea-Bissau| Guyana| Haiti| Honduras| Hungary| Iceland| India| Indonesia| Iran| Iraq| Ireland| Israel| Italy| Jamaica| Japan| Jordan| Kazakhstan| Kenya| Kiribati| Kosovo| Kuwait| Kyrgyzstan| Laos| Latvia| Lebanon| Lesotho| Liberia| Libya| Liechtenstein| Lithuania| Luxembourg| Madagascar| Malawi| Malaysia| Maldives| Mali| Malta| Marshall Islands| Mauritania| Mauritius| Mexico| Micronesia| Moldova| Monaco| Mongolia| Montenegro| Morocco| Mozambique| Myanmar (Burma)| Namibia| Nauru| Nepal| Netherlands| New Zealand| Nicaragua| Niger| Nigeria| North Korea| North Macedonia| Norway| Oman| Pakistan| Palau| Panama| Papua New Guinea| Paraguay| Peru| Philippines| Poland| Portugal| Qatar| Romania| Russia| Rwanda| Saint Kitts and Nevis| Saint Lucia| Saint Vincent and the Grenadines| Samoa| San Marino| Sao Tome and Principe| Saudi Arabia| Senegal| Serbia| Seychelles| Sierra Leone| Singapore| Slovakia| Slovenia| Solomon Islands| Somalia| South Africa| South Korea| South Sudan| Spain| Sri Lanka| Sudan| Suriname| Sweden| Switzerland| Syria| Taiwan| Tajikistan| Tanzania| Thailand| Timor-Leste| Togo| Tonga| Trinidad and Tobago| Tunisia| Turkey| Turkmenistan| Tuvalu| Uganda| Ukraine| United Arab Emirates| United Kingdom| United States| Uruguay| Uzbekistan| Vanuatu| Vatican City| Venezuela| Vietnam| Yemen| Zambia| Zimbabwe.

 

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Renowned Speakers

We have invited most influential Speakers from around the world to give inspirational talks and workshops.

Key Features

Journal Publication | Conference Proceedings with ISBN  | Inspiring Speakers | Excellent Venue | Conference Kit | Certificate | Excellent Non Veg /Veg Buffet Lunch

Conference Awards

Best Presentation Awards | Best Poster Awards | Best Paper Awards

Conference Subject Tracks

Financial reporting and financial statement analysis | Corporate finance and capital structure| Investments and portfolio management| Financial markets and institutions| Risk management and insurance| Corporate governance and ethical issues in finance| Financial modeling and data analytics| International finance and cross-border transactions| Taxation and public finance| Corporate social responsibility and sustainability reporting| Behavioral finance and investor decision-making| Auditing and financial fraud detection| Financial technology and fintech innovation| Public sector accounting and financial management| Financial Reporting | Taxation |  Auditing | Banking |  Investments | Risk Management | Sustainability | FinTech  | Accounting Ethics | Emerging Trends | Corporate Finance | Asset Management | Financial Modeling |Capital Markets | Strategic Financial Management | Financial Regulation | ESG (Environmental, Social, Governance) | Blockchain in Finance | Behavioral Economics | Public Finance | Financial Planning | Derivatives and Hedging | Accounting Technology | Entrepreneurial Finance | Economic Analysis.

 

Testimonials

 

sponsors

 

Exhibitors&Partners