Global Public Investor Working Group report launch

Live: Wednesday 26 November 13:00 (London)

Following a series of depth interviews with leading central banks, OMFIF’s global investor working group sheds light on how central banks are navigating a challenging global macroeconomic and geopolitical environment. The insights gleaned from these discussions and from a recent event during the IMF/WBG annual meetings as well as the findings from OMFIF’s GPI 2025 culminates in a report covering geopolitical risks, evolving reserve management strategies, operating models and the role of external managers, asset allocation decisions and currency diversification.

Speakers

Yara

Yara Aziz

Economist OMFIF
OMFIF
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Guillaume Decroocq

Deputy Head of Asset Management and FX Reserves Division
Banque de France
Andres Cabrales

Andrés Cabrales

Director of International Investments Department
Banco de la Republica Colombia
Guenther Hobl

Guenther Hobl

Head of Risk Management Division
Oesterreichische Nationalbank (OeNB)
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Patricia Gulyetonda

Head Domestic Market Research & Analytics
Bank of Uganda
David-Marsh

David Marsh

Chairman
OMFIF
John Nugee

John Nugée

Senior Adviser
OMFIF
Adriana Pierelli

Adriana Pierelli

General Manager and Regional Executive
BNY

Partners

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About the Economic and Monetary Policy Institute

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OMFIF’s Economic and Monetary Policy Institute is a trusted forum that convenes a global community of central banks, finance ministries, regulators, banks, investors, consultants and other organisations to explore the future of the global economy.

The bedrock of EMP is our off-the-record roundtables with key policy-makers across the world, allowing members to actively discuss the factors the factors shaping economic policy and market trends. In 2024, we hosted over 30 in-person membership events across the UK, Germany and the US as well as more
than 20 virtually, with over 1,000 members across the public and private sector
registering to attend.

Moreover, through our market-leading Global Public Investor series, we have engaged with 160 central banks, public pension funds and sovereign funds across the world to explore their main investment strategies. We aim to deepen our engagement in 2025 through a new working group on reserve management diversification strategies.

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