Jana Velebova-Harvey, senior portfolio manager in the emerging markets team at BlueBay Asset Management, speaks to Burhan Khadbai, head of content at OMFIF’s Sovereign Debt Institute, on the issuance conditions for emerging market sovereigns in 2022 and the outlook for the year ahead.
Velebova-Harvey talks about the challenges EM sovereigns have faced in accessing the primary market, innovative environmental, social and governance-themed debt restructuring such as debt for nature swaps and carbon-backed bonds, and Ukraine’s reconstruction and recovery.
Part 1: Financial services and transitioning to net zero
The productivity question: working from home during Covid-19
In conversation with the governor: Benjamin Diokno, governor of the Bangko Sentral ng Pilipinas
Ahead of the ECB
Emerging market capital flows after Covid-19
Fiscal policies to tackle climate catastrophe in Asia Pacific
In focus: Developments in digital payments
Modernising corporate and governmental ESG credentials
In focus: SPI symposium
Sovereign debt sustainability after Covid-19
Requirements for a fully functional CBDC
How the Bank of Korea got through Covid-19
Cryptoassets: Risks, opportunities and valuation
Ahead of the ECB
ECB and the future of monetary policy
AP3’s Hamnmark on Covid-19, monetary policy and ESG
The role of just transition in developing sustainable cities
CalPERS on the global Covid-19 response and emerging market fixed income
Second quarter in focus
Euro area financial stability in the Covid-19 recovery
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