Max Castelli, head of strategy, sovereign institutions, and Philipp Salman, director of strategy and advice, global sovereign markets, UBS Asset Management, join Taylor Pearce, senior economist at OMFIF, to discuss what’s in store for global public investors in 2024. The discussion identifies opportunities and risks for reserve managers and sovereign wealth funds amid evolving market dynamics, including falling inflation, headwinds to China’s economy and a resilient US economy albeit looming political risks.
You can find the full transcript here.
Financial stability outlook: risks and resilience
Taking stock: financial market integration in Europe
US dollar dominance: Is there no alternative?
Geopolitical risks: What’s at stake for investors?
Greece’s landmark debt restructuring – What happened and why it matters
The history of dollar dominance and weaponisation
Pre-validation: combatting fraud and minimising errors in payments
Analysing Romania’s landmark debut green bond
Why gender equality in financial institutions is macro-critical
Safeguarding the future: why organisations need ESG data
Next steps for the EU’s evolution in bond markets
Argentina's sovereign debt litigation disaster
Risk, policy and investment models for transition finance
Establishing a new framework for international climate finance
Navigating the new norm: the long-term outlook for inflation and implications for investors
Unlocking the benefits of smart contracts for retail CBDCs
The International Monetary Fund’s role in Ukraine’s economy and financing
Improving grant delivery and management for emergency responses
Enhancing retail government bond programmes to improve diversification
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