The OMFIF Podcast podcast

Where the risks really are in sovereign portfolios

0:00
34:21
15 Sekunden vorwärts
15 Sekunden vorwärts

Max Castelli, head of strategy for sovereign institutions, and Philipp Salman, director of strategy for sovereign institutions at UBS Asset Management, join Yara Aziz, senior economist at OMFIF, to discuss how shifting geopolitics shaped reserve management in 2025, and what sovereign investors should watch for in 2026. They cover the macro outlook, longer-term portfolio strategy, US concentration risk and the debate around the dollar’s role in reserves.

Weitere Episoden von „The OMFIF Podcast“