International Conference on

Financial Economics and Capital Markets (ICFECM-26)

Conference Date

22nd Aug - 23rd Aug 2026

Conference Venue

Singapore, Singapore

Conference Mode

Hybrid Conference
Proudly organized by:- Science Leagues

"Join global experts in Financial Economics and Capital Markets"

Registration Options

View all registration categories and choose the best fit.

Conference Session Tracks

SDG Wheel

Aligned with

UN Sustainable Development Goals

This conference contributes to global sustainability by aligning its research discussions and academic sessions with key United Nations Sustainable Development Goals. It fosters knowledge exchange, innovation, and collaborative engagement.

SDG 8
SDG 8 Decent Work and Economic Growth
SDG 9
SDG 9 Industry, Innovation and Infrastructure
SDG 11
SDG 11 Sustainable Cities and Communities
SDG 12
SDG 12 Responsible Consumption and Production
SDG 16
SDG 16 Peace, Justice and Strong Institutions
SDG 17
SDG 17 Partnerships for the Goals
Track 01

Advancements in Financial Economics

This track explores the latest theoretical and empirical developments in financial economics. It aims to provide insights into how these advancements influence capital markets and investment behavior.

Track 02

Asset Pricing Models and Applications

This session focuses on innovative asset pricing models and their practical applications in various market conditions. Researchers are encouraged to present empirical studies that validate or challenge existing models.

Track 03

Portfolio Management Strategies

This track examines contemporary portfolio management techniques and their effectiveness in optimizing returns. Discussions will include risk assessment and the integration of behavioral finance into portfolio strategies.

Track 04

Risk Management in Financial Markets

This session addresses the critical role of risk management in financial markets, emphasizing quantitative approaches and regulatory frameworks. Participants will explore case studies and best practices in mitigating financial risks.

Track 05

Derivatives and Financial Innovation

This track investigates the role of derivatives in financial innovation and market efficiency. Papers will analyze the impact of new derivative products on risk management and investment strategies.

Track 06

Investment Strategies in Volatile Markets

This session focuses on developing and evaluating investment strategies during periods of market volatility. Contributions will highlight adaptive strategies and the role of behavioral finance in investment decisions.

Track 07

Market Microstructure and Trading Dynamics

This track delves into the intricacies of market microstructure and its influence on trading dynamics. Research will cover topics such as liquidity, price formation, and the impact of high-frequency trading.

Track 08

Banking Economics and Financial Regulation

This session examines the interplay between banking economics and financial regulation in shaping capital markets. Papers will discuss the implications of regulatory changes on banking practices and financial stability.

Track 09

Corporate Finance and Value Creation

This track focuses on corporate finance theories and practices that drive value creation in firms. Participants are invited to present research on capital structure, dividend policy, and mergers and acquisitions.

Track 10

Behavioral Finance: Insights and Implications

This session explores the psychological factors influencing investor behavior and market outcomes. Contributions will address how behavioral finance theories can enhance traditional economic models.

Track 11

International Finance and Capital Allocation

This track investigates the dynamics of international finance and its impact on capital allocation decisions. Papers will explore cross-border investments, currency risk, and the effects of globalization on financial markets.