This academic meeting will take place in Paris on January 26-27, 2023. In case sanitary restrictions; would make it impossible to maintain the conference in Paris, it will be held fully online.
We are pleased to announce our keynote speaker for this year: Prof. Vikas Agarwal, Bank of America Distinguished Chair and Professor of Finance at J. Mack Robinson College of Business, Georgia State University.
Academic sessions will cover the latest research on asset management. We welcome submissions on hedge funds, mutual funds, ETFs and private equity funds, but also, more broadly, papers that seek to improve our understanding of the role of different market intermediaries and the effect of their behaviour on asset prices.
TOPICS: Potential topics include (but are not limited to) institutional investors’ risks and performance; transparency (reporting) and due diligence; financial intermediation activity; hedge fund and broad macroeconomic issues such as systemic risk and contagion; institutional investors’ incentives and activism; portfolio liquidation and liquidity; financial regulation; private equity funds; ETFs; etc.
A limited accommodation and travel grants for presenting doctoral students will be available upon request.