GPI 2023: Reserve managers navigating losses, stagflation and geopolitics

Amid persistent inflation, heightened recession risks and prolonged geopolitical tensions, central bank reserve managers find themselves confronting yet another difficult year. This challenging macroenvironment is impacting their investment strategies and, for some, it is raising concerns about the adequacy of their reserves. Join Nikhil Sanghani, managing director of research, and Taylor Pearce, senior economist at OMFIF, as they discuss some of the key findings from the 10th Global Public Investor report.

Join Today

Connect with our membership team

Scroll to Top