Assets and risk management seminar

SeminarLondonEconomic and Monetary Policy Institute
Tue 26 Mar 202409:00 - 17:00

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

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