Hybrid Conferencee

International Conference on Quantitative Finance, Risk and Portfolio Management (ICQFRPM - 26)

14th - 15th November 2026 | Nanning, China

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Conference Notifications:

"Be sure to check this section regularly for all Research Plus International Conference updates. We’ll keep you informed about deadlines, event details, and more important notifications."

Call for Papers Extended:
"The deadline for full paper submissions has been extended for the Research Plus International Conference in Nanning. Submit your research by today to participate in one of the top conferences."
Certificate of Presentation:
"Present your research and receive a Certificate of Presentation to recognise your valuable contribution to the conference."
Abstract Submissions Open:
"Abstract submissions for the Nanning event are now open! Don’t miss the chance to present your research. Submit now."
Networking with Global Experts:
"Engage with researchers and professionals from around the world at the Nanning conference. Build collaborations and gain insights from leading experts."
Keynote Speaker Sessions:
"Don’t miss our Keynote Sessions in Nanning, featuring global leaders and innovators sharing their knowledge."
Best Paper & Best Paper Presentation Award:
"Submit your paper and stand a chance to win the Best Paper Presentation Award. The winner will be recognized at the conference in Nanning."
SDG-Inspired Conference Focus:
"Our conference will highlight research that addresses global sustainability, inclusive education, and solutions for environmental challenges."

Call for Paper

The ICQFRPM aims to explore emerging trends and future directions in research and innovation. It provides a collaborative platform for researchers and professionals to share ideas that shape the future of their respective domains.

The conference highlights advancements in Banking and finance,Management, encouraging innovative, solution-oriented research that addresses global challenges and technological evolution.

Authors are invited to submit papers addressing, but not limited to, the following areas:

01
Quantitative methods in risk management
02
Portfolio optimization strategies and techniques
03
Impact of market volatility on portfolios
04
Behavioral finance and risk assessment
05
Risk-return trade-off in investment decisions
06
Quantitative finance in emerging markets
07
Financial modeling for risk management
08
Asset allocation strategies and frameworks
09
Risk management in corporate finance
10
Statistical methods in portfolio management
11
Impact of economic indicators on risk
12
Quantitative approaches to financial forecasting
13
Risk management in financial institutions
14
Behavioral biases in risk perception
15
Innovations in quantitative finance models
16
Risk assessment in alternative investments
17
Financial derivatives and risk management
18
Impact of technology on portfolio management
19
Quantitative finance education and training
20
Trends in risk management practices