Asset and risk management seminar: Post-Covid-19 and the rapidly changing investment landscape

OMFIF’s annual asset and risk management seminar brings together senior representatives from central banks, economic experts and asset managers to discuss macroeconomic and financial developments and the post-pandemic outlook for public sector investment management. Participants will also assess the global recovery and economic cycle, the efficacy of central bank monetary policies and fiscal stimulus packages, and issues relating to transitioning to a low-carbon economy and integrating ESG into investment frameworks. The aim is to share best practice, promote higher standards and encourage dialogue.