After the successful hybrid event in Bari (Italy) where 140 colleagues presented their papers online, we are happy to announce the IRMC2023 edition. The Risk Banking and Finance Society, in collaboration with the IRMC permanent organizers University of Florence, NYU Stern Salomon Center and Fundação Dom Cabral in the role of South American HUB, to co-organizer JRC-European Commission invite you to join the 16th edition of the International Risk Management Conference which will be held in Florence (Italy), July, 2023. This year’s meeting will bring together leading experts from various academic disciplines and professionals for a two days conference, including three keynote plenary sessions, three parallel featured sessions and a professional workshop. All relevant theoretical, methodological and empirical contributions are welcomed. The conference will be a hybrid event with both in-person and online paper presentation options.
This year’s conference title is: “Risk Management in Times of Digital and Circular Economy“
Edward Altman, NYU Stern School of Business
Oliviero Roggi, University of Catania and FDC Dom Cabral
Celso Brunetti, Federal Reserve Board
Alessandro Giannozzi, University of Florence
Menachem Brenner, NYU Stern – Chairman
Chiara Scotti, Federal Reserve Board
Maurizio Dallocchio, Bocconi University
Maurizio Fanni, University of Trieste
Giorgio Bertinetti, University of Venice (2009)
Herbert Rijken, VU University Amsterdam (2011)
Riccardo De Lisa, University of Cagliari and FITD (2012)
Torben Juul Andersen, Copenhagen Business School (2013)
Małgorzata Iwanicz-Drozdowska, Warsaw School of Economics (2014)
Cosimo Pacciani, European Stability Mechanism (2015)
Dan Galai and Zvi Wiener, The Hebrew University of Jerusalem (2016)
Bertrand Maillet, EM Lyon and Phillip Bernard, University of Paris Dauphine (2018)
Maurizio Dallocchio, Bocconi University and Giampaolo Gabbi, SDA Bocconi & University of Siena (2019)
Riccardo De Lisa and Luca Piras, University of Cagliari (2021)
Viral Acharya (New York University – Stern)
Edward Altman (New York University – Stern)
Torben J. Andersen (Copenhagen Business School)
Annarita Bacinello (University of Trieste)
Giorgio Bertinetti (University of Venice)
Marco Bigelli (University of Bologna)
Zvi Bodie (Boston University)
Menachem Brenner (New York University – Stern)
Lorenzo Caprio (University Cattolica)
Mark Carey (GARP Risk Institute)
Alessandro Carretta (University of Rome – Tor Vergata)
Maurizio Dallocchio (Bocconi University)
Riccardo De Lisa (University of Cagliari)
Franco Fiordelisi (University of Rome Tre)
Dan Galai (The Hebrew University of Jerusalem)
Alessandro Giannozzi (University of Florence)
Jay Jingzhi Huang (Penn State University)
Małgorzata Iwanicz-Drozdowska (Warsaw School of Economics)
Elisa Luciano (University of Turin)
Mario Massari (Bocconi University)
Stefano Miani (University of Udine)
Giorgio Consigli (University of Bergamo)
Herbert Rijken (VU of Amsterdam)
Andrea Resti (Bocconi University)
Oliviero Roggi (University of Florence)
Francesco Saita (Bocconi University)
Wim Schoutens (Catholic University of Leuven)
Anthony Saunders (New York University – Stern)
Marti Subrahmanyam (New York University – Stern)
Zvi Wiener (Hebrew University of Jerusalem)
William Ziemba (University of British Columbia)
The Risk, Banking and Finance Society
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