Session Tracks

Conference session tracks

The ICPMIA features a diverse range of session tracks covering key research areas, emerging trends and interdisciplinary innovations within the field of Finance. Each track gives researchers, academicians, industry professionals and practitioners a platform to present their work, exchange ideas and explore the advancements shaping the future of the domain.

This conference contributes to global sustainability by aligning its research discussions and academic sessions with the United Nations Sustainable Development Goals, fostering knowledge exchange, innovation and collaborative engagement.

SDG 1
SDG 1 No Poverty
SDG 3
SDG 3 Good Health and Well-being
SDG 8
SDG 8 Decent Work and Economic Growth
SDG 9
SDG 9 Industry, Innovation and Infrastructure
SDG 10
SDG 10 Reduced Inequalities
SDG 11
SDG 11 Sustainable Cities and Communities
SDG 12
SDG 12 Responsible Consumption and Production
SDG 16
SDG 16 Peace, Justice and Strong Institutions
01
Track

Innovations in Portfolio Management

This track explores cutting-edge methodologies and technologies in portfolio management. Papers may focus on algorithmic trading, robo-advisors, and the integration of artificial intelligence in investment strategies.

02
Track

Risk Management Strategies in Finance

This session delves into advanced risk management techniques and frameworks applicable to diverse financial instruments. Contributions should address the identification, assessment, and mitigation of financial risks in portfolio contexts.

03
Track

Asset Allocation and Diversification Techniques

This track examines the principles and practices of asset allocation and diversification in investment portfolios. Papers should provide insights into optimizing asset distribution to enhance risk-adjusted returns.

04
Track

Performance Metrics and Benchmarking

This session focuses on the evaluation of investment performance through various metrics and benchmarking methodologies. Contributions should discuss the effectiveness of different performance indicators in assessing portfolio success.

05
Track

Behavioral Finance and Investment Decisions

This track investigates the psychological factors influencing investor behavior and decision-making processes. Papers should explore how behavioral biases impact portfolio management and investment outcomes.

06
Track

Quantitative Analysis in Investment Strategies

This session highlights the role of quantitative analysis in developing and implementing investment strategies. Contributions should demonstrate the application of statistical methods and models in portfolio optimization.

07
Track

Wealth Management and Financial Advisory

This track addresses the principles and practices of wealth management and financial advisory services. Papers should focus on strategies for effective client engagement and tailored investment solutions.

08
Track

Capital Markets and Equity Analysis

This session explores the dynamics of capital markets and the methodologies used in equity analysis. Contributions should provide insights into market trends, valuation techniques, and investment opportunities.

09
Track

Fixed Income Securities and Portfolio Strategies

This track examines the role of fixed income securities in portfolio construction and management. Papers should discuss yield optimization, interest rate risk, and the impact of macroeconomic factors on fixed income investments.

10
Track

Alternative Investments and Diversification

This session focuses on the integration of alternative investments into traditional portfolios. Contributions should evaluate the benefits and challenges of incorporating assets such as real estate, commodities, and hedge funds.

11
Track

Strategic Allocation in Dynamic Markets

This track investigates strategic asset allocation approaches in the context of volatile and dynamic market conditions. Papers should analyze the effectiveness of adaptive strategies in maximizing portfolio resilience and performance.