As they head into the new year, what are the primary concerns for public asset owners? Where should they expect continuities from 2022, and where will there be divergence? How will they adjust to the new reality of higher risk, more uncertainty and more a volatile macro environment?

Max Castelli, head of strategy and advice, global sovereign markets, UBS Asset Management, joins Taylor Pearce, economist, OMFIF, to discuss these key questions and delve into diversification, inflation, quantitative tightening, environmental, social and governance concerns and other priorities for reserve managers in 2023.

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