The International Conference on Mathematics, Statistics and Financial 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 Economics, Mathematics, Statistics, Banking, Finance, 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 Methods In Financial Economics
02
Mathematical Modeling In Finance
03
Risk Assessment And Management Techniques
04
Statistical Analysis Of Market Volatility
05
Financial Time Series Forecasting Methods
06
Mathematical Finance And Derivatives Pricing
07
Econometric Analysis Of Investment Strategies
08
Statistical Methods For Portfolio Optimization
09
Quantitative Finance And Risk Modeling
10
Mathematical Statistics In Economic Research
11
Data-driven Decision Making In Finance
12
Statistical Tests For Financial Hypotheses
13
Mathematical Approaches To Financial Derivatives
14
Empirical Finance And Econometric Applications
15
Statistical Analysis Of Asset Pricing Models
16
Mathematical Techniques In Risk Management
17
Financial Econometrics And Market Efficiency
18
Statistical Methods For Credit Risk Analysis
19
Mathematical Modeling Of Financial Markets
20
Statistical Approaches To Behavioral Finance