With a poor global economic outlook, low yield environment, continuing geopolitical tension and increased pressure on global public investors to combat climate change, OMFIF is convening a group of economic experts and asset managers, mainly from a public sector background, to address these financial developments. The aim is to discuss the implications of these issues for public sector investment management and determine the best responses for policy-makers and market participants. Key areas of discussion will focus on central bank monetary policy divergence, best practice on strategic asset allocation, and principles for sustainable and long-term investment.
Sustainable investment in uncertain times: The future of public sector asset management
