Interest rates are on the rise as the ‘transitory’ rise in inflation appears to be more persistent than previously thought. Max Castelli, head of strategy, global sovereign markets, UBS Asset Management, talks with David Marsh, OMFIF chairman, about the European Central Bank’s policies ahead of the all-important end-of-year governing council meeting on 16 December, where the central bank’s 2022 asset purchase strategy will take centre stage. The podcast features findings from UBS’ research on reserves management, including reserves managers facing potential losses on their fixed income portfolios for the first time in a very long while and how they are diversifying away from government bonds to better respond to this challenging reality.
Brexit: what next?
The US and the international economic crisis
Climate risk management in real estate and infrastructure
Infrastructure’s role in the Covid recovery
In conversation with Patrick Harker, Philadelphia Fed
Functions of US fiscal policy in challenging times
Fed Talk: September FOMC and the strategic review
The OMFIF/KPMG series: Sustainability and stewardship in asset management
US-China relations and global growth
Japan’s outlook post Abenomics
Diving into US investment grade bond markets
DLT and its potential use for CBDC
Ahead of the ECB: short-, medium- and long-term prospects for Europe
Managing the global economic slowdown
Taking the long view: An asset owner’s perspectives
Fed Talk: managing the US’ economic downturn
In conversation with the Ambassador of China to the United Kingdom
The OMFIF/KPMG series: Sustainable infrastructure and the green transition
Digital currency and the new cold war
Designing a sustainable recovery
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