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Poster presentation (undergraduate students)


Submission deadline: June 1, 2020 Send it to this email:

It is important to include contact information including email address of the author(s), daytime phone and evening phone.
Requisitos de presentación:

  1. Topic. Review the Congress session topics.
  2. Use the template on the Congress website.
  3. Content: between 250 and 500 words
  4. Maximum of two authors per poster.
  5. Poster measure: 70 cms. wide by 90 cm high. It must include:
    • In the upper left, the name and logo of the university in high resolution at 300 dpi’s, title of the poster, name of the author and of the advisor.
    • Problem statement, methodology, results, conclusions, main references, images, graphs, tables and figures, indicating source of origin by APA or Vancouver reference, modified reference (optional).
  6. Maximum of five main references.
  7. When you sending your poster for review, please send it in .pdf format

Specific topics

  1. Economics and Finance

Economic and financial integration, econometric modeling for finance and economics, international investments and their impact on capital flows, financial economic impact on organizations in the international environment, evaluation of foreign trade activities and their impact on the economy and finance at the country and company levels, and impact of macro variables in banking and capital markets.

  1. Corporate Finance

Mergers and acquisitions, financial restructuring, capital structure and financing alternatives, venture capital, valuation of intangible assets, industrial property, dividend policy, corporate governance, corporate culture, ethics and social responsibility, financial distress, consolidation of financial information, and corporate performance evaluation using financial statements.

  1. Financial Markets

Efficiency and anomalies in financial markets, financial crises and their transmission, integration and financial segmentation, portfolio management and valuation models, public offerings, interest rates, exchange rates, regulation, asset pricing, derivatives, valuation, optimization, and stock and bond markets.

  1. Risk Management

Extreme value theory, integral risk management, value at risk, hedging strategies, border models of risk analysis, market risk, credit risk, and financial regulation.

  1. International Finance

International trade, international financial markets, foreign exchange markets, international financing, international monetary system, monetary policies, international financial institutions, international corporate governance, and international asset pricing.

  1. Social Finance

Financial education, financial inclusion, social impact bonds, social investment, behavioral finance, microfinance, finance and social, and entrepreneurship.

  1. Banking and Credit

The role of the central bank, development banking, consumer banking, access to financial services, term structure of interest rates, liquidity and intermediation, funding mechanisms, investment banking and issuance of corporate securities, banking regulation and the Basel Accord, and banking competition.

  1. Pensions and Insurance

Life insurance, property and casualty insurance, health insurance, social security pension schemes, asset liability management for insurance companies, Solvency II topics, IFRS 17 actuarial topics, microinsurance, insurtech, and cyber risk.

  1. Other issues of financial relevance

Fintech, cryptocurrencies, entrepreneurship, start-ups, financial information standards, new markets and digital businesses, and financial marketing in new banking and non-banking digital businesses.

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