ICRAACM · Registering as Listener

International Conference on Risk Analytics in Accounting and Capital Markets

30th Sep – 1st Oct 2026 Riyadh, Saudi Arabia Standard / Physical Participation
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ConferenceICRAACM
ModeStandard / Physical
ParticipationListener
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Conference Session Tracks
SDG Wheel

SDG-Aligned Research Themes

International Conference on Risk Analytics in Accounting and Capital Markets conference tracks support global knowledge exchange, innovation, and sustainable development priorities across diverse disciplines.

SDG 8 - Decent Work and Economic Growth SDG 9 - Industry, Innovation and Infrastructure SDG 16 - Peace, Justice and Strong Institutions

This track explores the integration of risk analytics into financial reporting practices. It aims to highlight innovative methodologies that enhance transparency and accuracy in financial disclosures.

This session focuses on the application of predictive analytics to optimize investment strategies. Participants will discuss models that forecast market trends and assess investment risks effectively.

This track examines how data-driven approaches can transform decision-making processes in capital markets. Emphasis will be placed on the role of big data and analytics in enhancing market efficiency.

This session delves into advanced techniques for managing portfolio risk. It will cover methodologies for assessing and mitigating risks associated with diverse investment portfolios.

This track addresses the intersection of regulatory compliance and risk analytics in the financial sector. Discussions will focus on frameworks that ensure compliance while effectively managing risk.

This session explores the role of business intelligence in enhancing operational efficiency within organizations. Participants will share insights on leveraging analytics to streamline processes and improve performance.

This track investigates the influence of behavioral finance on market insights and decision-making. It aims to uncover how psychological factors affect investor behavior and market dynamics.

This session focuses on the development and application of credit risk assessment models. Participants will discuss innovative approaches to evaluating creditworthiness and managing associated risks.

This track examines various financial forecasting techniques and their implications for strategic planning. Emphasis will be placed on the accuracy and reliability of different forecasting models.

This session explores the complexities of derivatives analysis in the context of risk management. Discussions will focus on strategies for utilizing derivatives to hedge against financial risks.

This track highlights emerging trends and technologies in the field of risk analytics. Participants will explore how advancements in analytics are reshaping the landscape of accounting and finance.

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