The Global Financial Crisis: European Financial Markets and Institutions 2013


Time: 25-26 April 2013
Venue: Southampton, United Kingdom

It is the great pleasure to cordially invite you to submit papers in all areas of banking and finance that investigate the effects of the Global Financial Crisis on European financial markets and institutions.

Areas:

  • Asset pricing
  • Banking
  • Capital markets
  • Corporate governance
  • Corporate finance
  • Efficiency and productivity analysis
  • Financial regulation
  • Foreign exchange markets
  • Derivatives
  • Global markets for risk
  • Market microstructure
  • Corporate investment decision
  • Risk management
  • Financial management
  • Securitization
  • Corporate control and organization
  • Financial intermediation
  • forecasting
  • Econometric analysis
  • Risk management
  • Systemic risk
  • Liquidity risk
  • Mathematical and computational modelling
  • And more.

Organized By:

  • The School of Management, University of Southampton, in association with the Journal of International Money and Financea and the Money Macro and Finance Research Group

For more info https://www.ocs.soton.ac.uk/...



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