OMFIF
Invested: The OMFIF Podcast
Welcome to Invested, an economics podcast from OMFIF that brings thoughtful conversations on the forces shaping global finance and public policy in a rapidly evolving world. OMFIF's economists are joined regularly by academic experts, central bankers and investment professionals to uncover the trends and decisions influencing markets and institutions worldwide. Visit our website at www.omfif.org.
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Episodes
Using better measures to inform public spending 28.05.2024 33:47
In the first of three podcasts as part of OMFIF’s project with EY on the future of public money, OMFIF’s Nikhil Sanghani is joined by Dr Carolyn Bordeaux, senior visiting scholar at the University of Georgia and former member of the US House of Representatives, and Mark Macdonald, global public finance management leader at EY. They discuss the growing fiscal constraints facing governments, the nee...
Financial stability outlook: risks and resilience 07.05.2024 25:40
Pedro Duerte Neves, Adviser for the Board of Directors and former Vice-Governor of Banco de Portugal, joins Taylor Pearce, senior economist, Economic and Monetary Policy Institute, OMFIF, to discuss the global financial stability outlook. Their discussion references the IMF’s 2024 Global Financial Stability Report , and examines vulnerabilities and risks to the global financial system, including s...
Taking stock: financial market integration in Europe 03.05.2024 25:55
Björn Storim, chief executive officer, and Ben Pott, managing director and international head of public policy and government affairs at BNY Mellon, join Clive Horwood, managing editor and deputy chief executive officer at OMFIF. They assess the progress towards capital markets union in Europe and the need to accelerate financial market integration. They discuss the current challenges, approaches...
US dollar dominance: Is there no alternative? 30.04.2024 26:21
Max Castelli, head of strategy, sovereign institutions at UBS Asset Management, joins Taylor Pearce, senior economist at OMFIF, to discuss the role of the dollar as a global reserve currency in a multipolar world. They discuss factors such as China’s rise in power, sanctions risk and the development of alternative payments systems and how these could challenge dollar dominance. They also discussed...
Geopolitical risks: What’s at stake for investors? 25.04.2024 19:36
Taylor Pearce, senior economist, Economic Monetary Institute at OMFIF, hosts Elliot Hentov, head of macro policy research at State Street Global Advisors, to discuss the interplay between geopolitics and financial markets. Hentov outlines several risk factors that could impact markets – including geopolitical shocks, risk premium repricing and the upcoming US election – and what investors are doin...
Greece’s landmark debt restructuring – What happened and why it matters 18.04.2024 30:09
Charles Dallara, ex-managing director of Institute of International Finance, talks about his book Euroshock, explaining how the 2012 Greek debt restructuring helped save European economic and monetary union from breakdown. A conversation with David Marsh and Burhan Khadbai.
The history of dollar dominance and weaponisation 18.04.2024 27:17
Saleha Mohsin, senior Washington correspondent for Bloomberg News joined Mark Sobel, US chair at OMFIF, to discuss her recently published book, Paper Soldiers: How the Weaponization of the Dollar Changed the World Order. She discusses how secretaries of the Treasury of past decades managed communications about the dollar and how the department developed and deployed financial sanctions based on th...
Pre-validation: combatting fraud and minimising errors in payments 19.03.2024 34:45
Cian O’Murchu, head of strategic transformation, Mireia Guisado-Parra, pre-validation product owner at Swift and Julien Lasalle, head of cashless payment monitoring at Banque de France, join Lewis McLellan, editor of OMFIF’s Digital Monetary Institute. Together, they discuss the implementation of pre-validation – a new tool developed to reduce the number of errors in payments and restore people's...
Analysing Romania’s landmark debut green bond 14.03.2024 39:14
Stefan Nanu, head of public debt management and state treasury at the ministry of finance of Romania, joins Burhan Khadbai, head of content at OMFIF’s Sovereign Debt Institute, to discuss Romania’s long-awaited inaugural green bond, which was the most successful ever euro-denominated bond in this format by an emerging market issuer. As well as the record-breaking deal itself, they also cover Roman...
Why gender equality in financial institutions is macro-critical 08.03.2024 28:35
Monique Newiak, deputy unit chief, inclusion and gender, and Mariarosaria Communale, economist at the International Monetary Fund, join Arunima Sharan, senior research analyst at OMFIF’s Economic and Monetary Policy Institute, to discuss the state of gender balance in financial institutions. They examine the IMF’s gender strategy, the macro-criticality of gender equality and findings from their re...
Global public investor outlook 2024: Another ‘rollercoaster’ year? 20.02.2024 33:47
Max Castelli, head of strategy, sovereign institutions, and Philipp Salman, director of strategy and advice, global sovereign markets, UBS Asset Management, join Taylor Pearce, senior economist at OMFIF, to discuss what’s in store for global public investors in 2024. The discussion identifies opportunities and risks for reserve managers and sovereign wealth funds amid evolving market dynamics, inc...
Safeguarding the future: why organisations need ESG data 15.02.2024 29:36
Environmental, social and governance data is integral to scaling up sustainable finance and investment. With increasing regulation and demand for information, it’s also crucial for organisations and businesses. Sherry Madera, chief executive officer of CDP, joins John Orchard, OMFIF chief executive officer, to discuss how data can improve the quality of a company, how datasets are evolving to supp...
Next steps for the EU’s evolution in bond markets 13.02.2024 27:31
Siegfried Ruhl, hors classe adviser to the director-general for budget at the European Commission, joins Burhan Khadbai, head of content at OMFIF’s Sovereign Debt Institute, to discuss upcoming priorities for the European Union as it continues its rapid journey towards sovereign status in the capital markets. They discuss the EU’s recent launch of quoting commitments for its primary dealers and th...
Argentina's sovereign debt litigation disaster 31.01.2024 33:08
Gregory Makoff, author of new book Default: The Landmark Court Battle over Argentina's $100 Billion Debt Restructuring joins OMFIF US Chair Mark Sobel to discuss Argentina's nearly two-decades-long sovereign debt litigation following the 2001 default. Both review the spectacular blow-up of the Argentine economy, the litigation's timeline and the US government's role at various junctures. You can...
Risk, policy and investment models for transition finance 25.01.2024 25:53
To transition to a sustainable economy, new investment models are needed. Financial flows into emerging economies must be also scaled. Blended finance and public-private collaboration will be integral in supporting increased investment and mitigating risk perception. David Carlin, head of risk, United Nations Environment Programme Finance Initiative, joins OMFIF’s Emma McGarthy, head, Sustainable...
Establishing a new framework for international climate finance 18.01.2024 32:17
Vera Songwe, a non-resident senior fellow in the Africa Growth Initiative at the Brookings Institution and co-chair of the Independent High-Level Expert Group on Climate Finance, joins Katerina Atkins, programme coordinator at OMFIF’s Sustainable Policy Institute, to explore the key outcomes and challenges from the COP28 climate summit. They discuss the agreement to transition away from fossil fue...
Navigating the new norm: the long-term outlook for inflation and implications for investors 21.12.2023 31:45
Max Castelli, head of strategy, sovereign institutions, and Philipp Salman, director of strategy and advice, global sovereign markets, UBS Asset Management, join Taylor Pearce, senior economist at OMFIF, to discuss macroeconomic challenges marked by exogenous shocks. They explore the short- and long-term outlook for inflation and the potential for a 'higher-for-longer' interest rate environment. T...
Unlocking the benefits of smart contracts for retail CBDCs 14.12.2023 27:50
Katie-Ann Wilson, Managing Director of OMFIF’s Digital Monetary Institute is joined by Peter Faykiss Director, Digitalization, Central Bank of Hungary, Imre Kocsis, Assistant Professor, Budapest University of Technology, Laszlo Gonczy Associate Professor, Budapest University of Technology and Chris Ostrowski, CEO and founder of SODA to explore what we mean by programmable money and how it could im...
The International Monetary Fund’s role in Ukraine’s economy and financing 12.12.2023 26:56
The International Monetary Fund's Ukraine team joins OMFIF to discuss the stabilisation of the Ukrainian economy over the past year. They assess the critical role played by the Fund's programme and foreign financing for Ukraine, as well as Ukraine's progress on combatting corruption and strengthening the domestic financial system. Speakers: Mark Sobel, US Chairman, OMFIF Natan Epstein, Deputy Miss...
Improving grant delivery and management for emergency responses 04.12.2023 35:31
There has been a rise in the number of people needing humanitarian assistance over recent years, resulting in disaster response public funding having to tackle immediate and longer-term socio-economic challenges. Gareth Owen, humanitarian director of Save the Children UK and Simon Inglis, partner, grants & relief funds management at EY join OMFIF’s Digital Monetary Institute editor, Lewis McLe...
Enhancing retail government bond programmes to improve diversification 28.11.2023 43:34
In the second part of a special mini-series on the European retail government bond market, Burhan Khadbai, head of content at OMFIF’s Sovereign Debt Institute, speaks to senior officials at the Hungarian, Irish and Romanian debt management offices about how they are developing their retail bond programmes. Zoltán Kurali, chief executive officer of Hungary’s debt management office (ÁKK), Murray McC...
How European DMOs are embracing the return of retail investors 23.11.2023 37:24
In the first of two parts in a special mini-series on the European retail government bond market, Burhan Khadbai, head of content at OMFIF’s Sovereign Debt Institute, speaks to senior officials at the Belgian and Portuguese debt management offices about their record-breaking retail bond programmes this year. Rui Amaral, board member, Portugal’s debt management office (IGCP) and Maric Post, directo...
Investment needs for the energy transition 14.11.2023 27:46
Diala Hawila, Knowledge Policy and Finance Centre programme officer at International Renewable Energy Agency, speaks with Katerina Atkins, programme coordinator at OMFIF, about the energy transition investment required under the 1.5°C scenarios, geographical aspects and key financing tools. They both discuss the importance of innovative instruments for under-invested countries, the need to expand...
From conception to implementation: the CBDC journey 09.11.2023 26:53
Whether or not they eventually go through with it, virtually every central bank will, sooner or later, at least consider issuing a digital currency. Whatever their aims and strategic priorities, they will need to go through a process of strategy formation, examination and experimentation. This process is fraught with challenges and must be carefully constructed to ensure all stakeholders are kept...
Maintaining liquidity in times of crisis 02.11.2023 26:33
Max Castelli, head of strategy, sovereign institutions, and Philipp Salman, director of strategy and advice, global sovereign markets, UBS Asset Management, spoke with Taylor Pearce, senior economist at OMFIF, about financial liquidity. They looked at how institutional investors have balanced liquidity needs with their pursuit of higher returns over the past decade and how these strategies are cha...
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