On-location / Digital Conference

International Conference on Financial Risk Management and Business Strategies (ICFRMBS-26)

26th - 27th Sep 2026,Lisbon, Portugal

In Association With:


Important Dates


Early Bird Registration

27th Aug 2026

Paper Submission Deadline

1st September 2026

Registration Deadline

11th September 2026

Conference Date

26th - 27th Sep 2026

Conference Updates:

"Stay updated with Science Cite Conference news."

  • Early-Bird Registration Reminder:
    Early-bird registration for the Science Cite Conference in Lisbon ends soon! Register Now!
  • Certificate of Presentation – Recognizing Your Contribution:
    Receive a Certificate of Presentation to recognize your participation in Lisbon conference.
  • Peer Review Process:
    The peer review process will begin soon for Lisbon conference.
  • Networking with Global Experts:
    Join global experts at our conference in Lisbon.
  • Opportunity for Scopus-Indexed Journal Publication:
    Your research could be published in a Scopus-Indexed Journal. Submit Your Abstract
  • SDG-Inspired Conference Focus:
    Present your work aligned with Sustainable Development Goals.

Conference Session Tracks

SDG Wheel

Aligned with

UN Sustainable Development Goals

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

SDG 8 — Decent Work and Economic Growth
SDG 9 — Industry, Innovation and Infrastructure
Session Tracks
Track 01
Innovative Approaches to Financial Risk Management

This track focuses on novel methodologies and frameworks for identifying and mitigating financial risks in various business contexts. Participants are encouraged to present research that explores cutting-edge tools and techniques in risk assessment and management.

Track 02
Entrepreneurship in Volatile Markets

This session examines the challenges and opportunities that entrepreneurs face in fluctuating market conditions. Papers should address strategies for sustaining business growth and innovation amidst economic uncertainty.

Track 03
Portfolio Management Strategies for Enhanced Returns

This track delves into advanced portfolio management techniques aimed at optimizing returns while managing risk. Contributions should highlight empirical studies or theoretical advancements in asset allocation and diversification.

Track 04
Hedging Techniques in Financial Markets

This session explores various hedging strategies employed by businesses to protect against market volatility. Researchers are invited to discuss the effectiveness and implications of these techniques in different financial contexts.

Track 05
Credit Risk Assessment and Management

This track focuses on methodologies for assessing and managing credit risk within financial institutions. Papers should explore innovative models and frameworks that enhance decision-making processes in credit evaluation.

Track 06
Operational Risk: Challenges and Solutions

This session addresses the complexities of operational risk in business operations and the strategies to mitigate such risks. Contributions should provide insights into best practices and case studies from various industries.

Track 07
Strategic Decision Making in Uncertain Environments

This track investigates the role of strategic decision-making in navigating uncertainty and risk. Researchers are encouraged to present frameworks that facilitate effective decision-making under volatile conditions.

Track 08
Business Forecasting Techniques and Applications

This session focuses on the latest advancements in business forecasting methodologies and their practical applications. Papers should highlight the impact of accurate forecasting on strategic planning and risk management.

Track 09
Financial Instruments and Risk Management

This track explores the relationship between financial instruments and effective risk management strategies. Contributions should discuss the role of derivatives and other financial products in mitigating risk exposure.

Track 10
Corporate Strategy in the Face of Financial Risk

This session examines how corporate strategies can be aligned with financial risk management practices. Researchers are invited to explore case studies that illustrate successful strategic adaptations to risk.

Track 11
Risk Analytics: Tools and Techniques

This track focuses on the application of analytics in identifying and managing financial risks. Papers should present innovative tools and techniques that enhance risk assessment and decision-making processes.

Indexed / Supported By

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Academic Institutions Whose Scholars Have Contributed

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