Scopes
(Topics include but are not limited to)
The Relationship between Financial Structure and Economic Growth
The impact of financial technology on the stability of financial markets
Measurement and Early Warning of Systemic Risks in the Financial System
Innovation in Macro Stress Testing Models and Methods
Cross border capital flows and financial risk contagion
Coordination between monetary policy and macroprudential policy
The synergistic effect of fiscal policy and monetary policy
Interaction between financial cycle and economic cycle
Sovereign Debt Risk and Fiscal Sustainability
Risk Governance and Internal Control of Financial Institutions
Microstructure of Financial Markets and Price Discovery
Behavioral finance and market irrationality
Green Finance and Climate Risk Management
Financial Inclusion and Inclusive Development
Financial regulatory framework reform and effectiveness evaluation
Shadow Banking and Financial Stability
Risks and Regulatory Responses in Digital Finance
Financial data governance and privacy protection
Macroeconomic Models and Forecasting Methods
Design of Crisis Early Warning System
Construction of Financial Safety Net and Deposit Insurance
Pension and Insurance Risk Management
Asset price foam and financial stability
International Financial Governance and Cooperation Mechanism
Ethical and Equity Issues in Financial Development
The Relationship between Financial Structure and Economic Growth
The impact of financial technology on the stability of financial markets
Measurement and Early Warning of Systemic Risks in the Financial System
Innovation in Macro Stress Testing Models and Methods
Cross border capital flows and financial risk contagion
Coordination between monetary policy and macroprudential policy
The synergistic effect of fiscal policy and monetary policy
Interaction between financial cycle and economic cycle
Sovereign Debt Risk and Fiscal Sustainability
Risk Governance and Internal Control of Financial Institutions
Microstructure of Financial Markets and Price Discovery
Behavioral finance and market irrationality
Green Finance and Climate Risk Management
Financial Inclusion and Inclusive Development
Financial regulatory framework reform and effectiveness evaluation
Shadow Banking and Financial Stability
Risks and Regulatory Responses in Digital Finance
Financial data governance and privacy protection
Macroeconomic Models and Forecasting Methods
Design of Crisis Early Warning System
Construction of Financial Safety Net and Deposit Insurance
Pension and Insurance Risk Management
Asset price foam and financial stability
International Financial Governance and Cooperation Mechanism
Ethical and Equity Issues in Financial Development
Important Dates/重要日期
- Submission Deadline: 2026.8.28
- Registration Deadline: 2026.9.2
- Conference Date: 2026.9.17
- Notification Date: About a week after the submission
Submission Portal/投稿方式
Mail Address: pajkdg_info@126.com
If you have any question or need any assistance regarding the conference, please feel free to contact our conference specialists:
张老师
+86-17162863232(微信同号)
3771563441
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+86---(微信同号)
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