Max Castelli and Athanasios Orphanides discuss inflation expectations in the euro area and how these impact monetary policy thinking and market behaviour. Talking to Ellie Groves, Castelli, head of strategy, global sovereign markets at UBS Asset Management, and Orphanides, who is professor of the practice of global economics and management at the Massachusetts Institute of Technology’s Sloan School of Management, as well as former governor of the Central Bank of Cyprus and member of the European Central Bank governing council, contextualise inflation forecasts from the ECB and UBS. They explore what is in store for central bank reserves managers as they navigate investing in riskier assets and the biggest risks facing the financial community in 2022.
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
CBDC is a public good, not a private business case
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