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2006-02-03 13:06:14 - Call for Papers
2006 Finance Symposium
“Financial Sector Integration: Review and Steps Ahead”
Marmara University, Istanbul, and Vienna University of Economics and Business Administration (WU)
25-26 May 2006, Istanbul Stock Exchange Market, Istanbul, Turkey
Submission deadline: 31 March 2006
Announcement: Finance Symposium 2006
The main topic of the Finance Symposium is the integration of financial markets in Europe and the process of internationalisation. Global trends in world economics as well as EU efforts have changed the economic structure of countries’ financial markets, financial instruments and institutions during the past years with increasing speed: Were these integrative moves successful? What are the lessons for further moves and markets?
The 2006 Symposium comprises the comparative and empirical analysis of European financial integration on topics such as competitive structure, pricing, cost structure, technological developments, new products and methods concerning the national and international capital markets, banking, insurance, actuarial institutions, and other financial institutions like investment funds, factoring and leasing. The Turkish finance industry is not isolated from these developments. During the conference, there will be many opportunities to deal with issues related to financial markets, institutions, organisations, products and regulations.
The aim of the conference is to bring academics, practitioners and regulators to promote and exchange ideas on European financial integration. We invite the submission of both theoretical and empirical papers in the field of international finance with special relations to financial sector integration. Regional, sectoral and country case studies are also welcome. Areas of interest include, but are not limited to, the following:
· Integration of European banking and financial markets
· Foreign direct investment in the financial sector
· Banking reform in Central, South-Eastern and Eastern Europe and implications for economic development
· Risk and funds management in insurance companies
· Bond markets, EU integration and economic growth
· Changing importance of financial sectors for growth
· Foreign currency use in EU accession countries
· Corporate governance and EU financial integration
· Impact of “Basel II” on financial markets
· Poverty and bank restructuring: lessons from EU accession countries
· Venture capital
· Managing credit, market, and operational risk in the EU banking sector
· Derivatives and their use in financial risk management
· The role of local and regional stock exchanges in an integrated Europe
· Pension systems and long term asset management
· EU and third country relations – Direct taxation
· Information systems in the financial sector
· Real estate and European financial integration
Programme Committee
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Hanns ABELE, Vienna University of Economics and Business Administration
Sumru ALTUÐ, Koc University, Istanbul
Eriþah ARICAN, Marmara University, Istanbul
Noyan ARSAN, Koç University, Istanbul
Niyazi BERK, Marmara University, Istanbul
Adem ÇABUK, Balýkesir University, Balýkesir
Münevver ÇETÝN, Marmara University, Istanbul
Neil A. DOHERTY, Whortan University of Pennsylvania
Wolfgang EICHHORN, University of Karlsruhe (TH)
Oral ERDOÐAN, Istanbul Bilgi University, Istanbul
Cengiz EROL, Middle East Technical University, Ankara
Ýhsan ERSAN, Istanbul University, Istanbul
Abdurrahman FETTAHOÐLU, Kocaeli University, Izmit
Gerhard FINK, Vienna University of Economics and Business
Administration, Vienna
Osman GÜRBÜZ, Marmara University, Istanbul
Hermann GÖPPL, University of Karlsruhe (TH)
Peter HAISS, Vienna University of Economics and Business Administration
Wolfgang JANKO, Vienna University of Economics and Business
Administration
Mehmet Baha KARA, Hacettepe University, Ankara
Alan KRAUTSTENGL, The New Anglo-American College, Prague
Michael LANG, Vienna University of Economics and Business
Administration
Paul MICHELL, Leeds University Business School
Mojmir MRAK, University of Ljubljana
Osman OKKA, Selçuk University, Konya
Ýlker PARASIZ, Member of the Board, Central Bank of The Republic of Turkey
Stefan PICHLER, Vienna University of Economics and Business
Administration
Klaus SERFLÝNG, Brandenburgische Technical University, Cobus
Güven SEVÝL, Anadolu University, Eskiþehir
Mehmet SÜMER, Yýldýz Technical University, Istanbul
Maria SZCZUR, The University of Banking and Insurance, Warsaw
Suat TEKER, Okan University, Istanbul
Isabel UITDEBROECK, Hogeschool West-Vlaanderen, Brugge
Ýlhan ULUDAÐ, Kadir Has University, Istanbul
Targan ÜNAL, Istanbul University, Istanbul
Organizing Committee
Niyazi BERK, Marmara University, Istanbul
Eriþah ARICAN, Marmara University, Istanbul
Tevfik ALTINOK, Marmara University, Istanbul
Erol ULUSOY, Marmara University, Istanbul
Stefan KOCH, Vienna University of Economics and Business
Administration
Hayati ERÝÞ, Marmara University, Istanbul
Murat AKBALIK, Marmara University, Istanbul
Ufuk BAÞOÐLU, Marmara University, Istanbul
Stefan PICHLER
Wolfgang JANKO
Paper submission process:
Please submit an electronic copy of the paper (PDF, Latex or Word format) in English to “finance2006@marmara.edu.tr.” The submission deadline is 31 March 2006. Papers must be submitted electronically. The authors of selected papers will be informed by 1 May 2006.
For further information regarding the submission procedure please refer to:
http://bsy.marmara.edu.tr
e-mail: finance2006@marmara.edu.tr
Full papers will be published in the reviewed proceedings on CD.
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Tarih: 3.02.2006 Saat: 13:06 Gönderen: webmaster |
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