The global economic outlook continues to present uncertainties, fuelled in part by the US-China trade dispute, limited growth in Europe and a low-interest environment in many parts of the world. Public investors therefore have a wide range of factors to consider for their asset and risk management decisions.
This seminar, held in partnership with the World Bank Treasury’s Reserves Advisory and Management Partnership and Banco Central de Chile, focuses on priorities, challenges and opportunities for institutional investors in asset and risk management. The meeting is designed to attract 40-50 public sector asset and reserves managers as well as a select group of private market participants. The aim of the forum is to examine best practice and promote higher standards.