Abstract: | ![]() The first 150 words of the full text of this article appear below. This issue of the Journal of Financial Econometrics containspapers that were presented at the (EC)2 conference Econometricsof Financial and Insurance Risks held in Istanbul on December1517, 2005. Launched in 1990, (EC)2 is an annual seriesof international conferences on research in quantitative economicsand econometrics. The acronym stands for European Conferencesof the Econom[etr]ics Community. Its primary aim is to providea vibrant forum where both senior and junior European researchersin quantitative economics and econometrics can discuss the resultsand progress of their research. (EC)2 conferences are of relativelysmall scale (less than 200 participants) and quite intensive.Each year a different topic is selected as the major theme ofthe conference. A few leading quantitative economists or econometriciansare invited as keynote speakers, such as Eric Ghysels, who alsoacts as co-Guest editor of this issue; the other speakers areselected . . . [Full Text of this Article] |