:
Date: December 19-20, 2014
Place:
Theme: Financial Innovations and Bank
Regulation
The recent crisis has revolutionized how
risk management is conducted and banks are regulated. EC and
We look for a wide variety of bank
regulation topics in areas such as market risk, credit risk, liquidity risk,
capital, and stress testing. We also encourage papers that address new
financial innovations in the post-crisis era. We seek papers that study
theoretical as well as methodological developments under new regulation.
Empirical examinations of models are also welcomed.
Suggestive topics (but not limited to) of interest are:
• Stress
test
• Assessment
of quality of capital
• Risk
retention
• QM
(qualified mortgages) and QRM (qualified residential mortgages)
• Scenario
analysis
• Liquidity
risk measurement
• Reverse
stress test
• Short
term liquidity versus long term funding
• Sustainability
management
• Large
scale data analysis
PAPER SUBMISSION
A complete paper in PDF format must be
submitted electronically by July 31, 2014 to fincenter@fordham.edu. The
results of the selection procedure will be set by October 31 2014.
SPECIAL ISSUE IN JOURNAL OF BANKING AND
FINANCE
Papers that are accepted to the conference can be considered for publications in a special issue of the Journal of Banking and Finance. A separate submission is necessary (JBF will have a special issue selection on the journal’s submission website) by January 31, 2015.
EXPENSES
The Wang Yanan Institute for Studies in
Economics (WISE) and the Department of Finance at
时间:December 19-20, 2014地点:Xiamen University, Fujian, China主办单位:美国Fordham大学、Journal of Banking and Finance (JBF)、北京大学国家发展研究院、厦门大学王亚南经济研究院、厦门大学经济学院金融系
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