Call For Papers

The ICFERA bridges the gap between academia and industry by promoting research with practical applications. It provides a platform for professionals and researchers to share insights that drive real-world impact.

The conference focuses on Accounting, Finance, Economics , encouraging applied research, case studies, and industry-driven innovations.

Authors are invited to submit papers addressing, but not limited to, the following areas:

01
Risk Management in Financial Engineering
02
Quantitative Methods for Risk Analysis
03
Financial Derivatives and Risk Mitigation
04
Impact of Market Volatility on Investments
05
Modeling Financial Risks with AI
06
Stress Testing Financial Systems
07
Regulatory Challenges in Risk Management
08
Behavioral Finance and Risk Perception
09
Innovations in Financial Risk Analytics
10
Risk Assessment in Investment Strategies
11
Credit Risk Modeling Techniques
12
Operational Risk in Financial Institutions
13
Market Risk and Portfolio Management
14
Liquidity Risk and Financial Stability
15
Risk Management in Emerging Markets
16
Cybersecurity Risks in Finance
17
Ethics in Financial Risk Management
18
Future of Financial Engineering Practices
19
Risk Communication in Financial Markets
20
Integration of ESG Factors in Risk Analysis

Submissions will be evaluated based on applicability, innovation, and research contribution. Accepted papers will be presented and considered for publication in reputed journals and conference proceedings.

Registration

Complete your registration to participate in discussions that bridge academia and industry, and gain exposure to practical insights.

Publication

Selected papers will be considered for publication platforms that support academic and industry collaboration.



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