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.
Charting the future of money
Helping Ukraine to fight back
In conversation with the United Nations: Policy, regulation and technology to support sustainable energy efficiency
Artificial intelligence: promises and risks to the macroeconomy
What can public finance management teach the green bond market?
Gilts: rates uncertainty, recession fears and record supply
GPI 2023: Reserve managers navigating losses, stagflation and geopolitics
How to enforce the law on blockchain technology
Global Public Investor 2023: A preview
The economic consequences of Türkiye’s run-off election
Reaching global consensus on digital asset regulation
The next generation of financial infrastructure
Natural capital funds and driving financial flows towards biodiversity
Central bank reserves management in 2023
How are central banks adapting their data management to thrive in a digital age?
Africa: refinancing risks and debt distress
UK budget: the hardest debt decisions await
Cybersecurity and cloud migration
Climate change risks for financial stability
Insuring impactful fund disbursements for efficient public good
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