OMFIF’s Global Public Investor has been the cornerstone of OMFIF’s research portfolio since it was launched in 2013. The aim of the report is to shine a light on the investment approaches of central bank reserve managers whose firepower and official status give them the ability to underpin, or move, global markets.
This launch event, presents key findings of the 10th annual report, and offers insights into wider issues for the community, including how central banks’ reserve managers are coping with inflationary pressures, geopolitics and ESG imperatives, and what this means for currency diversification, external reserve managers and communications policies.
Timings:
12:30-14:00 (London)
07:30-09:00 (New York)
19:30-21:00 (Singapore)
Agenda (BST):
12:30-12:35 Welcome and Opening Remarks
12:35-12:50 Keynote Address
12:50-13:00 Presentation of Key Findings
13:00-14:00 Panel Discussion and Q&A
Speakers:

Juliusz Jablecki
Director
Financial Risk Management Department
Narodowy Bank Polski

Didier Borowski
Head
Macro Policy Research
Amundi Institute
Further speakers to be announced.
This event is part of the OMFIF Institute for Economic and Monetary Policy, OMFIF’s core stream of activities covering economic and monetary policy and the political economy. OMFIF is an independent think tank for central banking, economic policy and public investment, providing a neutral platform for best practice in worldwide public-private sector exchanges worldwide. For membership enquiries please contact Jamie.bulgin@omfif.org, or for further information please see the OMFIF website.
Supported by: