Mathematical Modelling for Risk Management (September 3–5, 2012, Saratov)
The aim of the Conference is to exchange ideas, discuss research findings and to present practical applications in the field of economic-mathematical modeling and risk management. The major issues of the Conference are: risk identification and assessment, risk management, economic and mathematical models of risk management, statistical analysis, economic modeling of risks, applications in economics, finance, insurance, banking, and investment.