The outlook for public sector asset management in Europe and the UK
2020 is key for the UK’s post-Brexit transition period, and the end of the transition period will bring significant changes to European and UK financial markets regardless of whether there has been a deal on future relations. To summarise these developments Aviva Investors and Union Investment in collaboration with OMFIF are convening a group of economic experts and asset managers, mainly from the public sector, to analyse European and UK political and economic dynamics and discuss the outlook for public sector investment management into Europe and the UK.
09:30 – 09:35 Welcome
09:35 – 10:25 Session I: The future of Europe: Fragmentation and integration
10:25 – 10:35 Session break
10:35 – 10:40 Welcome
10:40 – 11:30 Session II: Building resilience in fixed income portfolios
11:30 – 11:35 Closing remarks
In partnership with Aviva Investor and Union Investment.