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Hybrid Event

2nd - 3rd November 2026 | Tokyo, Japan

International Conference on Risk Management in Global Investment Strategies (ICRMGIS - 26)

4

Days

4

Hrs

07

Min

02

Sec

Conference Program

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.

Why it matters

SDG 8 — Decent Work and Economic Growth
SDG 9 — Industry, Innovation and Infrastructure
SDG 10 — Reduced Inequalities
SDG 12 — Responsible Consumption and Production
SDG 13 — Climate Action
SDG 16 — Peace, Justice and Strong Institutions
SDG 17 — Partnerships for the Goals
Explore All Session Tracks
Track 01
Innovative Risk Management Techniques

This track explores cutting-edge methodologies in risk management that enhance global investment strategies. Participants will discuss the integration of technology and analytics in identifying and mitigating investment risks.

Track 02
Portfolio Risk Assessment and Optimization

Focusing on the complexities of portfolio risk, this track delves into quantitative methods for assessing and optimizing investment portfolios. It aims to provide insights into balancing risk and return in diverse asset classes.

Track 03
Hedging Strategies in Financial Markets

This session examines various hedging techniques employed by investors to protect against market volatility. Discussions will include the effectiveness of derivatives and other instruments in risk mitigation.

Track 04
Asset Allocation in Global Markets

This track investigates the principles and practices of asset allocation in a global context. Participants will analyze strategies that optimize returns while managing risk across different geographical and economic landscapes.

Track 05
Diversification Strategies for Risk Reduction

Focusing on the importance of diversification, this session will explore strategies that investors can employ to minimize risk exposure. Case studies will illustrate successful diversification across various asset classes.

Track 06
Quantitative Approaches to Risk Analysis

This track highlights the role of quantitative analysis in understanding and managing investment risks. Participants will share methodologies and tools that enhance decision-making in uncertain market conditions.

Track 07
Market Volatility and Investment Strategies

This session addresses the challenges posed by market volatility and its implications for investment strategies. Experts will discuss adaptive approaches that investors can take to navigate turbulent market environments.

Track 08
Strategic Investing in Emerging Markets

Focusing on emerging markets, this track explores unique investment opportunities and associated risks. Participants will discuss strategies that leverage growth potential while managing geopolitical and economic uncertainties.

Track 09
Investment Policies and Compliance Frameworks

This session examines the critical role of investment policies and compliance in risk management. Discussions will focus on regulatory frameworks and best practices that guide responsible investing.

Track 10
Trends in Risk Analytics and Investment

This track investigates the latest trends in risk analytics and their impact on investment strategies. Participants will explore how data-driven insights are shaping the future of investment decision-making.

Track 11
Corporate Strategy and Financial Planning

This session focuses on the intersection of corporate strategy and financial planning in the context of risk management. Participants will discuss how strategic alignment can enhance investment performance and resilience.

2026 UPDATE

Consistent Academic Support

Science Net ensures that research activities continue without interruption in the current global situation. Participants can engage through digital and hybrid conference formats.