Financial Crisis - Monetary and Financial Economics - Governance Issues - Risk

The globalization of financial markets, the recent impact of financial crisis, the creation of new monetary zones and the development of international trade impose new methods in governance, investment and financing decisions, risk management and Basel II, corporate governance, and value creation. Therefore, it is important to develop new tools to evaluate the changes in risk management at the national and international levels and to review the features of investment, financing decisions, value creation and corporate governance in international economies and in particular in emerging countries. It is also fundamental to implement and use modeling and forecasting techniques for risk management, definition and assessment of investment and financing decisions. The conference offers the opportunity to academics and professionals to discuss relevant issues in international investment and financing decisions.