Assets and risk management seminar

OMFIF’s Economic and Monetary Policy Institute’s annual asset and risk management seminar returns to convene senior representatives from central banks, public pension funds, sovereign funds, asset managers and policy-makers to discuss macroeconomic developments and trends in public sector investment management. The seminar will bring together 40 key individuals for a mixture of off- and on-the-record discussions.
Speakers
Fredrik Willumsen
Global Head of Strategy Research
Norges Bank Investment Management (NBIM)
Fredrik Willumsen
Global Head of Strategy Research
Norges Bank Investment Management (NBIM)
Timings
09:00-09:30 Registration and breakfast
9:30-9:35 Opening remarks
9:35-10:30 Session I: The next decade for the global economy
10:30-11:00 Refreshment break
11:00-11:20 OMFIF presentation: Global Public Investor research findings
11:20-12:05 Session II: Modernising operations for success – the power of AI
12:05-13:00 Panel III: Flight to safety or time to diversify?
13:00-14:30 Lunch
14:30-15:15 Panel IV: Outlook for alternative assets
15:15-15:30 Refreshment break
15:30-16:30 Panel V: Investing in emerging markets
16:30-16:55 Keynote address: Managing the threat of stagflation
16:55-17:00 Closing remarks