The fast development of AI methods and data centricity in finance will pose new challenges and opportunities in our economic climate. Policy challenges in a weakening economic environment need to be investigated – the coverage and optimality of the policies as well as searching ways of building up a new sustainable future.
This conference on systemic risk analytics brings together most recent advances on computational tools for systemic risk identification and assessment as well as analysing future opportunities and threats of Big Data and AI.
The scope of models and techniques includes systemic risk and early-warning indicators, network and contagion analysis, macro stress-testing, optimal timing of macro-prudential policies as well as measures of coinciding systemic stress and systemically important financial institutions.
The aim of the conference is to also adopt methods and techniques from other disciplines, such as computer science, engineering, biology and physics, that use computer-intensive approaches, novel data sources, visual representations or interactive interfaces, among others.
PROGRAMME AND VENUE
The conference will be held as a hybrid conference, so virtual participation is also possible. The conference will take place on 8-9 June 2023 at Bank of Finland in Helsinki. The conference includes keynotes, presentations and poster sessions.