2026 International Risk Management Conference

CfP Deadline Date: March 31, 2026 Conference Event: June 22-23, 2026 Event Location: Warsaw, Poland Keynote Speaker(s): Beata Javorcik (University of Oxford) Heitor Almeida (University of Illinois) Vasant Dhar (NYU Stern) Organizer(s): Permanent Conference Organizers: Edward I. Altman (NYU Stern), Oliviero Roggi (University of Catania and FDC Dom Cabral), Celso Brunetti (Federal Reserve Board), Alessandro[…]

HKIMR-BIS-IMF Joint Conference on “Global Interconnections and Financial Stability”

CfP Deadline: May 20, 2026 Conference Event: July 13 – 14, 2026 Event Location: Hong Kong Organizer(s): Hong Kong Institute for Monetary and Financial Research (HKIMR)Bank for International Settlements (BIS)International Monetary Fund (IMF) Description: Submission: We invite authors to submit completed papers or extended abstracts. The deadline forsubmissions is 30 April 2026. Authors of accepted[…]

6th Annual Bristol Financial Markets Conference

CfP Deadline: March 20, 2026 Conference Event: June 29 – 30, 2026 Event Location: Bristol, United Kingdom Organizer(s): Financial Markets Research Group at the University of Bristol Description: Submission: Please submit your paper in PDF format via email to business-school-conferences@bristol.ac.uk by 20 March 2026. There is no submission fee. Authors of selected papers will be[…]

Stability Implications of Nonbank Provision of Financial Services

CfP Deadline: July 24, 2026 Conference Event: October 8-9, 2026 Event Location: Copenhagen, Denmark Organizer(s): Danmarks NationalBankCenter for Financial Innovation and Stability (Federal Reserve Bank of Atlanta)Center for the Economic Analysis of Risk (Georgia State University) Keynote Speaker(s): Xavier Vives (University of Navarra, IESE Business School) Arnoud Boot (University of Amsterdam) Description: The Danmarks NationalBank,[…]

Stability Implications of Nonbank Provision of Financial Services

CfP Deadline: July 24, 2026 Conference Event: October 8-9, 2026 Event Location: Copenhagen, Denmark Organizer(s): Danmarks NationalBankCenter for Financial Innovation and Stability (Federal Reserve Bank of Atlanta)Center for the Economic Analysis of Risk (Georgia State University) Keynote Speaker(s): Xavier Vives (University of Navarra, IESE Business School) Arnoud Boot (University of Amsterdam) Description: The Danmarks NationalBank,[…]

Community Banking Research Conference 2026

CfP Deadline: May 1, 2026 Conference Event: October 6-7, 2026 Event Location: St. Louis, United States Organizer(s): Federal ReserveConference of State Bank Supervisors (CSBS)Federal Deposit Insurance Corp. (FDIC) Description: The call for papers for the 2026 Community Banking Research Conference is now open through May 1. This year marks the 14th year of the conference,[…]

11th Bank of Finland and European Systemic Risk Board Joint Conference on AI and Systemic Risk Analytics

CfP Deadline: March 31, 2026 Conference Event: 03 Jun 2026 – 04 Jun 2026 Event Location: Bank of Finland, Helsinki Organizer(s): Esa Jokivuolle (Bank of Finland)Helinä Laakkonen (Bank of Finland)Iman van Lelyveld (De Nederlandsche Bank, VU Amsterdam)Katja Taipalus (Bank of Finland)Tuomas Peltonen (European Systemic Risk Board Secretariat) Description: AI (Artificial Intelligence) is a transformative technology[…]

Bank of Finland and CEPR Joint Conference on Navigating Monetary Policy by the Northern Lights

CfP Deadline: March 31, 2026 Conference Event: December 17-18, 2026 Event Location: Helsinki, Finland Organizer(s): Bank of FinlandCEPR Keynote Speaker(s): Francesco D’Acunto (Georgetown University and CEPR) Juha Kilponen (Bank of Finland)  Esa Jokivuolle (Bank of Finland)  Nigel McClung (Bank of Finland)  Michael Weber (Purdue University and CEPR) Description: Submission: We invite authors to submit completed papers or extended abstracts. Preferences are[…]

Brookings Working Paper: External finance in emerging markets and developing economies: A tale of differences in vulnerabilities

Author(s): Dohan Kim and Gian Maria Milesi-Ferretti Date: January 2026 Abstract: Over the past two decades, many emerging market economies have become more resilient to external financial shocks. This paper assesses whether such resilience is broadly shared across emerging markets and developing economies by classifying them into three tiers based on economic size, income level,[…]