Modeling Optimization Risk Management Finance International Conference
ATTENTION: THIS IS A PAST EVENT
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Sponsored by:
American Optimal Decisions, Inc. (AOrDa.com)
National Science Foundation
University of Florida
Standard & Poor's

The Conference on "Modeling, Optimization and Risk Management in Finance" will take place on March 5-7, 2003 at the DoubleTree Hotel & Conference Center, University of Florida, Gainesville, FL

The conference will present state-of-the-art results and latest advances in risk management and finance, including market, credit, and operational risk; algorithms and techniques for portfolio management and optimization; assets and liability management; optimal trading and execution strategies; simulation and optimization approaches to pricing derivatives. The conference will be organized in several sections, including:
  1. modern techniques for portfolio management and optimization;
  2. theory and practice of risk management; and
  3. modeling financial and energy derivatives.

The conference is preceded by the
Workshop on Integrated Risk-Return Management:
New Approaches to Management of Bank Portfolios
Foundations and Applications of Innovative Risk Measurement Instruments

March 3-4, 2003