Asset and risk management seminar: Public sector investment in a volatile environment

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. They also explore portfolio diversification strategies, risk management, financial market stability, environmental, social and governance considerations and long-term sustainable investment opportunities. The aim of OMFIF’s ARM seminar is to share best practice, promote higher standards and encourage dialogue.