Events

We present hereafter a selected list of events on systemic risk and related topics that are organized by universities, financial institutions and research centers around the globe (please feel free to contact us to provide us with the latest information).

2017

  1. Bank of England Seminar. Systemic Risk Assessment: Identification and Monitoring. London, October 2017.
    Where to find it
  2. 2017 Conference on "Measurement and Control of Systemic Risk". Montréal, September 2017.
    Where to find it
  3. 44th EFA Annual Meeting. Mannheim, August 2017.
    Where to find it
  4. World Finance Conference 2017. Sardinia, July 2017.
    Where to find it
  5. 2017 RiskLab/BoF/ESRB Conference on Systemic Risk Analytics, Helsinki, June 2017.
    Where to find it
  6. Xth Annual Conference of the Society for Financial Econometrics (SoFiE). New York, June 2017.
    Where to find it
  7. Schumpeter, Minsky, and the FCA: Exploring the links between financial regulation, growth, and stability. London, June 2017.
    Where to find it
  8. 2017 Conference on “Banks, Systemic Risk, Measurement and Mitigation”. Rome, March 2017.
    Where to find it
  9. 10th Financial Risks International Forum. Paris, March 2017.
    Where to find it
  10. 9th Annual Hedge Fund and Private Equity Research Conference. Liquidity, Risk and Performance. Paris, January 2017.
    Where to find it
  11. 2017 ASSA Annual Meeting, AFA. Spillover Duration of Stock Returns and Systemic Risk. Chicago, January 2017.
    Where to find it
  12. Lth Hawaii International Conference on System Sciences. Machine Learning and Network Analytics in Finance Minitrack. Hawaii, January 2017.
    Where to find it
  13. Winter School on Systemic Risk. Lausanne, January 2017.
    Where to find it
2016

  1. 2016 IEEE Symposium on Computational Intelligence for Financial Engineering & Economics. Systemic Financial Risk Analytics. Athens, December 2016.
    Where to find it
  2. IVth Annual Conference on Systemic Risk Modelling. Systemic Risk in Derivatives Markets. London, October 2016.
    Where to find it
  3. 2016 RiskLab/BoF/ESRB Conference. Systemic Risk Analytics. Helsinki, October 2016.
    Where to find it
  4. XVIIIth WASET International Conference. Risk, Financial Stability and Banking. Paris, September 2016.
    Where to find it
  5. XVIth Annual Fall Research Conference. FDIC-CFR-JFSR. Risk, Call For Papers. ArlingtonVirginia, September 2016.
    Where to find it
  6. SIFR Conference. Credit Markets After the Crisis. Stockolm, August 2016.
    Where to find it
  7. CREAR. Concluding international "RARE" conference. Call For Papers. La Baule, France, July 2016.
    Where to find it
  8. LABEX ReFi. SASE Conference. Accounting and Law. Berkeley (CA), June 2016.
    Where to find it
  9. LABEX ReFi. Law and Finance – Benefit-Cost Analysis in Financial Regulation. Paris, May 2016.
    Where to find it
  10. SRC conference. Francesco Molteni (CEPII). Liquidity, Government Bonds and Sovereign Debt Crises. SRC Center, May 2016.
    Where to find it
  11. Central Bank of Iceland, Systemic Risk Centre and International Monetary Fund Conference. Capital Flows, Systemic Risk, and Policy Responses. Reykjavik, April 2016.
    Where to find it
  12. ERM Conference. Premier global conference. Washington, April 2016.
    Where to find it
  13. SRC conference. Capital Flows, Systemic Risk, and Policy Responses. Iceland, April 2016.
    Where to find it
  14. LABEX ReFi. Workshop on Bank Taxation. Paris, March 2016.
    Where to find it
  15. FIELDS. Latest Developments in Credit Portfolio Modelling. FIELDS Institute, March 2016.
    Where to find it
  16. FIELDS. Rough Volatility. FIELDS Institute, February 2016.
    Where to find it
  17. FIELDS. Contagion in Coupled Financial Networks. FIELDS Institute, February 2016.
    Where to find it
  18. International Conference of the SYRTO Project. Signals, Measurements, Transmission Channels, and Policy Interventions. Paris, February 2016.
    Where to find it
  19. XLIXth Hawaii International Conference on System Sciences. Systemic Financial Risk Analytics Minitrack. Kauai, January 2016.
    Where to find it
2015

  1. IXth Computational and Financial Econometrics International Conference. London, December 2015.
    Where to find it
  2. Consortium for Systemic Risk Analytics (CSRA) Meeting. Cambridge, December 2015.
    Where to find it
  3. XXIInd Annual RiskMinds International. Amsterdam, December 2015.
    Where to find it
  4. XXth IEEE Symposium on Computational Intelligence for Financial Engineering and Economics. Systemic Financial Risk Analytics Special Session. Cape Town, December 2015.
    Where to find it
  5. VIIth French Econometric Conference. Orléans, December 2015.
    Where to find it
  6. VIth Annual Financial Market Liquidity Conference. Budapest, November 2015.
    Where to find it
  7. Banco de México, CEMLA, the University of Zurich and the Journal of Financial Stability conference. Network Models, Stress Testing and Other Tools for Financial Stability Monitoring and Macroprudential Policy Design and Implementation. Mexico City, November 2015.
    Where to find it
  8. Systemic Risk Centre Conference. Systemic Risk in Over-The-Counter Markets. London, November 2015.
    Where to find it
  9. XIVth International Conference on Credit Risk Evaluation Societal Fault Lines and Credit Risk: The Impact of Current Economic, Institutional and Political Developments on Credit and Risk. Venice, October 2015.
    Where to find it
  10. FIELDS. Modern monetary circuit theory, stability of interconnected banking network, and balance sheet optimization for individual banks. FIELDS Institute, October 2015.
    Where to find it
  11. Bank of England Seminar. Systemic Risk Assessment: Identification and Monitoring. London, October 2015.
    Where to find it
  12. XIth International Longevity Risk and Capital Markets Solutions Conference. The Advantages and Disadvantages of Indexed vs Indemnity Longevity Hedges. Lyon, September 2015.
    Where to find it
  13. RiskLab, Bank of Finland and ESRB Conference. Systemic Risk Analytics. Helsinki, September 2015.
    Where to find it
  14. Cambridge Centre for Risk Studies Seminar. Financial Risk & Network Theory. Cambridge, September 2015.
    Where to find it
  15. NBER-NSF Time Series Conference. Vienna, September 2015.
    Where to find it
  16. VIIIth European Summer School in Mathematical Finance. . Le Mans, September 2015.
    Where to find it
  17. IInd Yale Program on Financial Stability Annual Conference. Fighting a Financial Crisis. New Haven, August 2015.
    Where to find it
  18. IXth Annual Risk Management Conference of the Risk Management Institute at the National University of Singapore. Risk Management Techniques, Latest Investment Strategies and Fundamental Regulatory Changes in the Financial sector. Singapore, July 2015.
    Where to find it
  19. IInd GOSS Private Equity and IXth Risk Management Institute at the National University of Singapore Annual Risk Management Joint Conference. Risk Management Techniques, Latest Investment Strategies and Fundamental Regulatory Changes in the Financial sector. Singapore, July 2015.
    Where to find it
  20. Banque de France and Federeal Reserve Bank of Cleveland Conference. Conference on Endogenous Financial Networks and Equilibrium Dynamics: Addressing Challenges of Financial Stability and Monetary Policy. Paris, July 2015.
    Where to find it
  21. Summer School Beijing 2015. Risk Measures and Optimization in Finance and Insurance. Beijing, June 2015.
    Where to find it
  22. XXXVth International Symposium on Forecasting. . Riverside, June 2015.
    Where to find it
  23. Ist Annual Dissemination Conference organized by CEPR. Integrated Macro-Financial Modelling for Robust Policy Design. Paris, June 2015.
    Where to find it
  24. SYRTO Conference. A Critical Evaluation of Econometric Measures for Systemic Risk. Amsterdam, June 2015.
    Where to find it
  25. Brooklyn College Conference. New Frontiers in Systemic Risk Measures and Extreme Risk Management. New York, June 4th 2015.
    Where to find it Minutes Photo Album
  26. VIIIth Annual Meeting of the Risk Banking and Finance Society. The New Risk Management Paradigm: How Investments, Financial Stability and Regulation will shape the European and Global Financial Markets. Luxembourg, June 2015.
    Where to find it
  27. IVth International Conference of the Financial Engineering and Banking Society Conference. Banking, Financial Markets, Risk and Financial Vulnerability. Nantes, June 2015.
    Where to find it
  28. VU University Amsterdam International Conference. Policy Implications of Systemic Risk Models and Measures. Amsterdam, June 2015.
    Where to find it
  29. Institute for Pure and Applied Mathematics Conference. Broad Perspectives and New Directions in Financial Mathematics. Los Angeles, March-June 2015.
    Where to find it
  30. VIIth Annual Volatility Institute Conference. Fixed Income Risk: Measurement, Modeling and Management. New York, April 2015.
    Where to find it
  31. AMSE Workshop. Nouveaux développements dans la modélisation et prévision des risques extrêmes en finance. Marseille, May 2015.
    Where to find it
  32. European Institute of Management and Finance Conference. Risk Management in the Financial Services Sector. Limassol, May 2015.
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  33. EDHEC-Princeton Conference. Institutional Money Management Conference. Brescia, April 2015.
    Where to find it
  34. SYRTO Seminar. Understanding Excessive Risk Taking Seen in Experiments on Financial Markets. Brescia, April 2015.
    Where to find it
  35. Bank Of England Conference. Risk Management and the Prudential Regulation of Banks and Insurance Companies. London, March 2015.
    Where to find it
  36. Institute for Pure and Applied Mathematics Workshop. Systemic Risk and Financial Networks. Los Angeles, March 2015.
    Where to find it
  37. IInd International Conference on Sovereign Bond Markets. Determinants of Sovereign Bonds Yields and the Effectiveness of Central Bank Intervention. Frankfurt, March 2015.
    Where to find it
  38. VIIIth Financial Risks International Forum. Scenarios, Stress and Forecasts in Finance. Paris, March 2015.
    Where to find it
  39. Macro Financial Modeling Meetings. Macroeconomic Modeling and Systemic Risk Research Initiative. New York, March 2015.
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  40. European Institute for Financial Regulation Conference. The Monetary System: Analysis and new regulatory approach. Paris, March 2015.
    Where to find it
  41. Macro Financial Modeling Meetings. Macroeconomic Modeling and Systemic Risk Research Initiative. Paris, March 2015.
    Where to find it
  42. European Institute for Financial Regulation Conference. Contagion and Systematic Risk: an Application to the Survival of Hedge Funds, presentation by Christian Gouriéroux (University of Toronto and CREST). Paris, February 2015.
    Where to find it
  43. SAFE International Workshop. P2P Financial Systems 2015. Frankfurt, January 2015.
    Where to find it
  44. VIIth Annual Hedge Fund Research Conference. Liquidity, Risk and High-Frequency Trading. Paris, January 2015.
    Where to find it
  45. XvIIrd International Conference on Risk, Financial Stability and Banking. Zürich, January 2015.
    Where to find it
  46. VIth Italian Congress of Econometrics and Empirical Economics (ICEEE 2015). Salerno, January 2015.
    Where to find it
  47. Ist World Conference in Risk Banking and Finance. Financial Markets Stability and Economic Development Across the World. Tokyo, January 2015
    Where to find it
2014

  1. Isaac Newton Institute for Mathematical Sciences Conference. Controlling Systemic Risk: Insights from Mathematical Modelling. Cambridge, December 2014.
    Where to find it
  2. Banque de France and Toulouse School of Economics Conference. Bailouts, Bail-in, and Financial Stability. Paris, November 2014.
    Where to find it
  3. IIIrd European Banking Authority Policy Research Workshop. How to Measure the Riskiness of Banks?. London, November 2014.
    Where to find it
  4. Institut Louis Bachelier MOOC. La régulation financière au service de l'économie. Paris, November 2014.
    Where to find it
  5. EIF Scientific Morning Conference. Incentives and Regulation. Paris, October 2014.
    Where to find it
  6. European Institute for Financial Regulation Conference. MIF/AIFM, EMIR, Securitization, FATCA: to Adjust your Offers and Succeed the Challenges of Compliance. Paris, September 2014.
    Where to find it
  7. Isaac Newton Institute for Mathematical Sciences Conference. Monitoring Systemic Risk: Data, Models and Metrics. Cambridge, September 2014.
    Where to find it
  8. Boston University Mathematical Finance Conference. Credit Risk and Systemic Risk. Boston, September 2014.
    Where to find it
  9. XIIIh International Conference on Credit Risk Evaluation. The New Financial Regulatory System: Challenges and Consequences for the Financial Sector. Venice, September 2014.
    Where to find it
  10. XIVth Annual Bank Research Conference. Risk Management After the Crisis: What is Next for the Domestic and International Financial Institutions and Systems?. Arlington, September 2014.
    Where to find it
  11. Isaac Newton Institute for Mathematical Sciences Conference. Systemic Risk: Models and Mechanisms. Cambridge, August 2014.
    Where to find it
  12. Yale Program on Financial Stability Conference. Improving our Understanding and Management of Systemic Risk. New Haven, August 2014.
    Where to find it
  13. Pacific Institute for the Mathematical Science Workshop. The Economics and Mathematics of Systemic Risk and the Financial Networks. Vancouver, July 2014.
    Where to find it
  14. Pacific Institute for the Mathematical Science Summer School. The Economics and Mathematics of Systemic Risk and the Financial Networks. Vancouver, July 2014.
    Where to find it
  15. IVth Quantitative Economics Conference. Engineering Information Institute Conference. Beijing, July 2014.
    Where to find it
  16. Banque de France Conference. Systemic Risk and Financial Regulation Conference. Paris, July 2014.
    Where to find it
  17. VIIth International Risk Management Conference. The Safety of the Financial System: From Idiosyncratic to Systemic Risk. Warsaw, June 2014.
    Where to find it
  18. VIIth Annual SoFie Conference. The Society for Financial Econometrics Conference. Toronto, June 2014.
    Where to find it
  19. Ist International Conference on Sovereign Bond Markets. Liquidity, Credit Risk and the Effectiveness of Central Bank Intervention. Tokyo, June 2014.
    Where to find it
  20. Society of Quantitative Analysis Fuzzy Day. Systemic Risk, Financial Bubbles, and Monetary Policy. New York, May 2014.
    Where to find it
  21. XVIth International Network for Economic Research Annual Conference. INFER Annual Conference. Pescara, May 2014.
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  22. SAFE–ICIR Workshop. Banking and Insurance - Interconnectedness, Systemic Risk and Regulation. Frankfurt, May 2014.
    Where to find it
  23. International Monetary Fund Conference. BInterconnectedness: Building Bridges between Research and Policy. Washington, May 2014.
    Where to find it
  24. VIth Annual Volatility Institute Conference. Market Liquidity and Funding Liquidity: Implications for Economic Risk. New York, April 2014.
    Where to find it
  25. The Cambridge-INET Institute Conference. Skewness, Heavy Tails, Market Crashes, and Dynamics. Cambridge, April 2014.
    Where to find it
  26. Systemic Risk Centre Conference. Managing and Financing European Bank Resolution. London, March 2014.
    Where to find it
  27. Systemic Risk Centre Conference. Towards a Sustainable Financial System. London, March 2014.
    Where to find it
  28. VIIth Financial Risks International Forum. Big Data in Finance and Insurance. Paris, March 2014.
    Where to find it
  29. Bradley University Conference. International Mathematical Finance Conference. Miami, March 2014.
    Where to find it
  30. VIth Annual Hedge Fund Research Conference. The latest Research transforming the Asset Management Industry. Paris, January 2014.
    Where to find it
2013

  1. Paris-Dauphine Foundation Conference. Macro-Finance Policy. Paris, December 2013.
    Where to find it
  2. Systemic Risk Centre Conference. Frontiers of Research in Systemic Risk Forecasting. London, November 2013.
    Where to find it
  3. Global Risk Institute Conference. Fat Tails and Thin Real Returns? Toronto, November 2013.
    Where to find it
  4. ACPR Conference. Le contrôle des pratiques commerciales en assurance et en banque. Paris, November 2013.
    Where to find it
  5. IInd IFSID & Bank of Canada Conference on Derivatives. Tail Risk. Montréal, September 2013.
    Where to find it
  6. XIIth International Conference on Credit Risk Evaluation. Risk, Regulation and Opportunities in an Increasingly Interconnected World. Venice, September 2013.
    Where to find it
  7. Systemic Risk Centre Conference. Economic Networks and Banking Conference. London, July 2013.
    Where to find it
  8. Ist International Conference of the SYRTO Project. SYstemic Risk TOmography: Signals, Measurements, Transmission Channels, and Policy Interventions. Brescia, June 2013.
    Where to find it
  9. IIIrd International Conference of the Financial Engineering and Banking Society. Financial Regulation and Systemic Risk. Paris, June 2013.
    Where to find it
  10. Vth Annual Volatility Institute Conference. Volatility of Credit Risk. New York, April 2013.
    Where to find it
  11. VIth Financial Risks International Forum. Liquidity Risk. Paris, March 2013.
    Where to find it
2012

  1. XIth International Conference on Credit Risk Evaluation. Sovereign Risk and its Consequences for Financial Markets, Institutions and Regulation. Venice, September 2012.
    Where to find it
  2. Frankfurt Institute for Advanced Studies / House of Finance Conference. Systemic Risk: Economists Meet Neuroscientists. Frankfurt, September 2012.
    Where to find it
  3. IVth Annual Volatility Institute Conference. Comovement of Volatilities, Returns and Tails. New York, April 2012.
    Where to find it
2011

  1. Federal Reserve Bank of New York Conference. Global Systemic Risk. New York, November 2011.
    Where to find it
  2. European Central Bank and Federal Reserve Bank of New York Conference. Alternative Approaches to Modeling Systemic Risk. Frankfurt, June 2011.
    Where to find it
  3. IIIrd Annual Volatility Institute Conference. Long Term Volatility and Economic Fundamentals. New York, April 2011.
    Where to find it
  4. Center for Central Banking Studies / London School of Economics Conference. Measuring Systemic Risk and Issues for Macroprudential Regulation. London, January 2011.
    Where to find it
2010

  1. Volatility Institute Conference. Managing Counterparty and Systemic Risk Under Dodd-Frank. New York, November 2010.
    Where to find it
  2. XIIIth Conference of the European Central Bank - Center for Financial Studies Research Network. Macro-prudential Regulation as an Approach to Contain Systemic Risk: Economic Foundations, Diagnostic Tools and Policy Instruments. Frankfurt, September 2010.
    Where to find it
  3. IInd Annual Volatility Institute Conference. Volatility and Systemic Risk. New York, April 2010.
    Where to find it
  4. Dauphine Institute of Finance Conference. Systemic Risk in Derivative Markets : a Graph Theory Approach. Paris, March 2010.
    Where to find it
2009

  1. Center for Financial Innovation and Stability Conference. Regulating Systemic Risk. Atlanta, October 2009.
    Where to find it
  2. Ist Annual Volatility Institute Conference. Volatilities and Correlations in Stressed Markets. New York, April 2009.
    Where to find it
Older Conferences

  1. IVth joint Central Bank Research Conference, Risk Measurement and Systemic Risk. European Central Bank, November 2005.
    Where to find it