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Third International Symposium in Computational Economics and Finance
Tunis, Tunisia





Scholarship / Financial aid: N/A

Date: April 10-12, 2014

Deadline: January 31, 2014

Open to: international scholars and finance professionals


Announcement follows

Welcome to the third edition of ISCEF. We are proud to organize this event, allowing both scholars and finance professionals alike to exchange and confront innovative and thought-provoking ideas about the latest crisis and solutions to remedy the problems.

The conference will take place in Tunis, Tunisia, which is one of the most beautiful and welcoming city in North Africa. The venue is El Mouradi Gammarth, which is a lovely 5 STAR hotel by the most touristic beach of the city. (El Mouradi Gammarth)

The submission system is managed via Email. Please submit your full paper in PDF format
, following the instructions there. You may also want to look at the Call for Papers to see the exact list of topics covered by the conference.

There are many publishing opportunities associated with the conference, in particular some selected papers will be considered for publication in a special issue of Economic Modelling , a special issue of Macroeconomic Dynamics , a special issue of Applied Economics , and more also.

We all look forward to welcoming you in Tunis!!

Call for papers

The rapid development of financial systems is often attributed to the effects of financial innovation, the internationalization of capital markets, the evolution in financial regulations and intermediation, the development of emerging markets, etc. These factors generated more globalized and complex markets and economic systems. The recent financial downturn rapidly spread to all international financial systems, triggered a major liquidity crisis and consequently an economic recession for several developed and emerging countries. In this context, economists noted the failure and limitation of well-known models to forecast this crisis. Thus, several models and methods were severally excluded and numerous sophisticated tools in mathematical finance, econometrics and computational economics are checked and revised in order to improve the modeling and forecasting of macroeconomic and financial time-series dynamics.

This is particularly crucial because the development of new tools and innovative methodologies can help to improve trading, investment financing decisions, equity modeling and risk management. This is also required to improve the comprehension of complex economic and financial systems and to enable the development of new approaches able to forecast future dynamics. For example, the recent developments of dynamic stochastic model have improved the analysis of macroeconomic policies. The analysis of monetary policies has also benefited from the recent developments in database, time series and panel data econometrics. Also, recent analyses and on-going research topics associated with alternative finance (ethical finance, energy finance) can offer new forms of finance, investment and value creation.

The third International Symposium in Computational Economics and Finance is designed to enable academics and professionals to come together to discuss their latest research findings, with a focus on the main outcomes of the global economic crisis and the current issues challenging banking and finance during these turbulent times. The conference will also serve as a valuable platform for discussing innovative and thought-provoking ideas on the above-mentioned issues.

This international conference includes plenary sessions and parallel sessions. It also plans to include a separate PhD workshop and poster sessions.


Topics covered


Asset pricing - Econometric issues
Financial Crisis aspects - Nonlinear Dynamics
Portfolio Management - Computational Economics and Statistics
Financial Markets - Macroeconomic Dynamics
Risk Management - Applied Econometrics
International Finance - Macroeconometric Models
Financial Instability - Volatility Modeling
Efficient Capital Market - Data Analysis
Behavioral finance - Copula and financial complexity
Market Microstructure - Forecasting
Quantitative Finance - Nonlinearity and chaos
Islamic finance and Banking - Switching Regime Models
Ethical Finance - Empirical Finance
Securitization - Financial Econometrics
Risk Premium Puzzle - International Economics
Emerging Markets - Financial Economics
Financial Risks - Financial Mathematics
Financial Regulation - Exchange Rate Dynamics
Real Estate Markets - Monetary Theories and Policies
Energy Finance - Banking and Interest rate Dynamics
Historical Finance - DSGE Models
Complexity in Derivatives - Experimental Economics
Capital Structure - Heterogeneous Agent Economies

Important dates

Please notice the following important deadlines, for no extension nor exception shall be granted.
January 31, 2014: Submission deadline.
February 10, 2014: Acceptance/ Rejection notification.
February 10, 2014 until March 10, 2014: Authors' pre-registration.


Registration

Website: http://www.iscef.com/
Email: iscef2014@gmail.com

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