OMFIF’s annual asset and risk management seminar convenes senior representatives from central banks, economic experts and asset managers to discuss macroeconomic developments and trends in public sector investment management. Participants assess the impact of stagflation and geopolitics as we emerge from the northern hemisphere winter, looking at the investment landscape and implications for asset and risk management.
Payments in the metaverse and the future of transfer of value Tuesday 14 February, Roundtable Ronit Ghose, head of banking, fintech and digital assets at Citi, discusses the possibilities the metaverse brings and what technical features must be developed to deliver these possibilities.
Latin America and Caribbean public sector debt outlook Thursday 16 February, Live broadcast The Latin America public sector debt outlook brings together leading sovereign and public sector borrowers and investors from the region to discuss pertinent issuance questions.