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CEQURA Conference on Advances in Financial and Insurance Risk Management, September 25, 2020

The 11th CEQURA Conference on Advances in Financial and Insurance Risk Management, organized by the Society for Financial and Insurance Econometrics, provides a platform for presenting and discussing current developments in research and industry, and fosters the exchange between academics and practitioners from the risk management community.


The conference will take place on September 25, 2020.

Both academics and practitioners are encouraged to participate. To present theoretical or applied research work, please submit an abstract (200–400 words) using this submission form by June 30, 2019.

Submissions in all areas of financial and insurance risk management are welcome. General topics of interest include but are not limited to:

  • Digitalization in Finance and Insurance
  • Data Science in Finance and Insurance
  • Market, credit, operational, liquidity and energy risk
  • Risk dynamics
  • Dependence modeling
  • Stress testing and scenario analysis
  • Systemic risk in banking and insurance
  • Regulation
  • Real- and financial-sector interactions

This year's Program will be online at the end of July 2020.

Please note: In view of the uncertainties regarding possible travel and gathering restrictions in the wake of the COVID-19 Pandemic, the 2020 conference will be shifted to a virtual meeting space. All presentations will be remote (live or pre-recorded).


Program committee: Francesca Biagini, Martin Boyer, Volker Deville, Christian Dorion, Matthias Fengler, Andreas Fuest, Elmar Helten, Teo Jasic, Thilo Meyer-Brandis, Stefan Mittnik, Gernot Müller, Yarema Okhrin, Marc Paolella, Sandra Paterlini, Dietmar Pfeifer, Svetlozar Rachev, Andreas Richter, Frank Romeike, Fabian Spanhel, Gerhard Stahl, David Veredas, Tom Wilson, Serkan Yener, Tina Yener