Central banks around the world are gradually shifting away from the dollar. OMFIF’s Global Public Investor 2023 report finds important regional divergences in this trend. Institutions in Sub-Saharan Africa and the Asia Pacific region are more willing to add to their renminbi holdings compared to their European counterparts. They are less deterred by geopolitics when considering investment in China. Read the full commentary →
Demographic trends may be slow-moving and predictable, but they are already adversely affecting countries’ economic performance, public finances and credit profiles.
This roundtable delves into the Reserve Bank of India’s and Securities and Exchange Board of India’s approach to climate risks, sustainable practices and fostering a sustainable financial system.
Massimiliano Castelli, head of strategy and advice, global sovereign markets at UBS Asset Management, discusses the investment landscape for reserve managers and asset allocation strategies.
The role of reserve managers has never been so challenging. The 10th edition of the report explores the pressing considerations and intentions of reserve managers with analysis split across six chapters.