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.
Digital exchanges and the future of financial assets
A macroeconomic overview and the Bank of England’s monetary policy
Ahead of the ECB: Inflation, central bank reserves management and risks
Reflections on the Fed and risks to financial stability
Technical issues around the introduction CBDCs and their policy implications
ESG and US asset management: The future is now
Jingdong Hua‘s retirement reflections on development finance
CBDCs, stablecoins and geopolitical implications
Ahead of the ECB: challenges ahead in monetary policy and reserves management
The third wave of fintech innovation
Lessons learned from building a blockchain-based CBDC
2021 review: the European borrowing landscape
Retail CBDC and its implications for the European Monetary Union
Climate change could lead to substantial capital shortfalls for banks
Scaling up carbon-offset markets to support global climate action
Lessons learned building offline CBDC
Adopting standards for electronic data interchange between financial institutions
Common prosperity and state of US-China relations
Part 2: Financial services and transitioning to net zero
Crypto currencies and digital assets
Join Podbean Ads Marketplace and connect with engaged listeners.
Advertise Today
Create your
podcast in
minutes
It is Free
U.S Property Podcast
Aligned Money Show
Dubai Property Podcast
The Ramsey Show
The Clark Howard Podcast