On-location / Digital Conference

International Conference on Financial Market Risk, Regulation, and Investor Protection (ICFMRRIP-27)

02nd - 03rd Feb 2027,Vatican City, Vatican City

In Association With:


Important Dates


Early Bird Registration

03rd Jan 2027

Paper Submission Deadline

8th January 2027

Registration Deadline

18th January 2027

Conference Date

02nd - 03rd Feb 2027

Conference Updates:

"Stay updated with Science Cite Conference news."

  • Early-Bird Registration Reminder:
    Early-bird registration for the Science Cite Conference in Vatican City ends soon! Register Now!
  • Certificate of Presentation – Recognizing Your Contribution:
    Receive a Certificate of Presentation to recognize your participation in Vatican City conference.
  • Peer Review Process:
    The peer review process will begin soon for Vatican City conference.
  • Networking with Global Experts:
    Join global experts at our conference in Vatican City.
  • 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
SDG 10 — Reduced Inequalities
SDG 16 — Peace, Justice and Strong Institutions
Session Tracks
Track 01
Evolving Frameworks in Securities Law

This track explores the dynamic nature of securities law and its adaptation to emerging financial technologies. Participants will analyze the implications of recent legal reforms on market stability and investor protection.

Track 02
Risk Management Strategies in Capital Markets

This session focuses on innovative risk management strategies employed by financial institutions in capital markets. Discussions will center on the effectiveness of these strategies in mitigating systemic risks and enhancing investor confidence.

Track 03
Regulatory Compliance in Financial Markets

This track examines the critical role of regulatory compliance in maintaining market integrity and protecting investors. Scholars will evaluate compliance frameworks and their effectiveness in preventing financial misconduct.

Track 04
Corporate Governance and Investor Rights

This session delves into the intersection of corporate governance and investor rights, emphasizing the legal mechanisms that safeguard shareholder interests. Participants will discuss best practices and regulatory approaches to enhance corporate accountability.

Track 05
Legal Oversight in Market Supervision

This track investigates the role of legal oversight in the supervision of financial markets. Experts will analyze the effectiveness of current legal frameworks in detecting and preventing market abuses.

Track 06
Market Practices and Legal Risk

This session addresses the relationship between market practices and the legal risks faced by financial institutions. Participants will explore how legal frameworks can adapt to evolving market behaviors and mitigate associated risks.

Track 07
Compliance Standards in Securities Regulation

This track focuses on the development and implementation of compliance standards within securities regulation. Scholars will discuss the challenges and opportunities presented by harmonizing compliance standards across jurisdictions.

Track 08
Legal Policy and Financial Regulation

This session examines the impact of legal policy on financial regulation and its implications for market participants. Participants will engage in discussions about the balance between regulatory intervention and market freedom.

Track 09
Trading Regulations and Market Integrity

This track explores the regulatory frameworks governing trading practices and their role in ensuring market integrity. Experts will analyze the effectiveness of trading regulations in preventing market manipulation and protecting investors.

Track 10
Investor Protection Mechanisms in Securities Law

This session focuses on the various mechanisms available for investor protection within the realm of securities law. Participants will discuss the effectiveness of these mechanisms in enhancing investor confidence and market stability.

Track 11
Future Trends in Financial Regulation

This track examines emerging trends and future directions in financial regulation, particularly in the context of technological advancements. Scholars will explore how these trends may reshape the regulatory landscape and impact investor protection.

Indexed / Supported By

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Academic Institutions Whose Scholars Have Contributed

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