The International Conference on Statistical Modeling in Finance and Economics is dedicated to advancing research excellence by bringing together leading scholars, scientists, and professionals from across the globe. It provides a platform for the dissemination of high-quality research and innovative methodologies.
With a strong focus on Probability Theory,Statistics, the conference promotes research that contributes to academic depth, practical insights, and interdisciplinary knowledge integration.
Authors are invited to submit papers addressing, but not limited to, the following areas:
01
Statistical Modeling In Finance Applications
02
Econometric Models For Financial Analysis
03
Risk Modeling In Financial Markets
04
Statistical Methods For Economic Forecasting
05
Applications Of Time Series In Finance
06
Bayesian Statistics In Financial Modeling
07
Quantitative Finance And Statistical Analysis
08
Statistical Techniques In Portfolio Management
09
Applications In Behavioral Finance
10
Financial Econometrics And Modeling
11
Statistical Analysis Of Market Trends
12
Risk Assessment In Economic Models
13
Machine Learning In Finance Applications
14
Statistical Methods For Asset Pricing
15
Applications In Corporate Finance Analysis
16
Statistical Modeling In Insurance Markets
17
Econometric Techniques For Policy Analysis
18
Statistical Analysis Of Economic Indicators
19
Applications In International Finance
20
Statistical Modeling In Real Estate Markets