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Home Banking Unveiling central banks’ $5tn investment strategies: OMFIF’s Global Public Investor 2024

Unveiling central banks’ $5tn investment strategies: OMFIF’s Global Public Investor 2024

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Global Public Investor 2024
Virtual report launch | Tuesday 4 June
This year, OMFIF’s Global Public Investor 2024 will reveal the investment strategies of more than 70 surveyed central banks with total international reserves of over $5tn.

Join us for a presentation and discussion of the findings, where we will explore:

Macro considerations 

  • What are the top macro concerns in central banks’ investment strategies?
  • What is the level of inflation that they anticipate in most major economies?
  • Do reserve managers anticipate that interest rates will settle above, below or equal to their pre-pandemic levels?

Asset allocation and investment strategies 

  • This year, are reserve managers more concerned about ensuring safety or achieving returns?
  • Are reserve managers looking to take on more risk or maintain their investment strategies?
  • Will traditional reserve assets be in highest demand? Or are reserve managers looking to diversify into unconventional asset classes?

Currency allocation and expectations

  • Is there evidence of de-dollarisation among central banks?
  • Will the trend towards renminbi allocation continue, stagnate or reverse?
  • How do reserve managers anticipate that the dollar’s share of global reserves will evolve over the next 10 years? 

ESG practices and investment 

  • Are central banks incorporating ESG considerations into their investment strategies?
  • Will reserve managers look to continue adding to their green bond holdings?
  • What are the biggest barriers to further ESG integration in central bank reserves? 

Be among the first to unpack these pivotal reserve management strategies. Secure your spot by registering now.

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