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.
What starts with ESG does not end there
Meeting net zero targets with the UNEP
OMFIF outlook: what’s in store for 2023?
EU bonds: towards sovereign status
20 Minutes Coffee with Neil Williams and Antonio Curia
Reflecting on COP27: scaling up climate finance and ensuring a just transition
OMFIF Public investor outlook 2023
Everything FTX
Jana Harvey on the debt outlook for EM sovereigns in 2023
Responsible lending with BNPL
Is this the end of globalisation?
Christian Kopf on liquidity and volatility in the European SSA bond market
Avoiding a debt crisis
Countdown to COP27: More African countries implementing sustainability-focused policies
Tammo Diemer on weak demand for Bunds, the repo market and EU joint debt
Can central banks normalise their balance sheets?
Combatting money laundering and payments risk in digital assets
What’s next for the Italian economy?
In conversation with De Nederlandsche Bank: Nature risk and the role of central banks
Informing CBDC development with a qualitative look at consumer behaviour
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