Call for Papers

The International Conference on Portfolio Management and Asset Allocation 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 Accounting, Finance, Economics, 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
Modern Portfolio Theory Applications
02
Risk Assessment In Asset Allocation
03
Behavioral Finance In Portfolio Management
04
Impact Of Economic Indicators On Portfolios
05
Asset Diversification Strategies
06
Quantitative Methods In Portfolio Optimization
07
Ethical Investing And Portfolio Choices
08
Technological Advancements In Asset Management
09
Real Estate Investment Strategies
10
Hedge Funds And Alternative Investments
11
Global Market Trends And Portfolio Strategies
12
Risk-return Trade-off Analysis
13
Sustainable Investing In Portfolio Management
14
Impact Of Interest Rates On Asset Allocation
15
Behavioral Biases In Investment Decisions
16
Dynamic Asset Allocation Techniques
17
Performance Measurement Of Investment Portfolios
18
Regulatory Impacts On Portfolio Management
19
Emerging Markets And Portfolio Strategies
20
Investment Strategies For Retirement Planning
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Registration

Secure your participation by completing the registration process at the earliest. Limited presentation slots are allocated on a first-come, first-served basis.

Register Early & Reserve Your Slot
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Publication

High-quality submissions will be prioritized for publication opportunities in recognized journals and indexed proceedings.

Submit Your Paper Today

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