The post-Covid-19, inflationary world continues to be full of new challenges, but also opportunities, for sovereign investors. We believe that central banks, sovereign wealth funds and other state-controlled investment vehicles should focus on how to best deal with these challenges and how to grasp the opportunities.
In this volatile investment environment, the need for tailored advice and knowledge transfer remains high, so we are continuing to offer this topical series of modules in 2022 to support our wider educational conference programme.
2022 modules
2022 modules
Introduction: Navigating challenging fixed income markets
Bond Bites: Into the unknown
Broadening the fixed income universe
Flexibility in the management of fixed income portfolios
Is it time for investors to revisit their fixed income allocations?
Bond bites: is there a secular change on the horizon?
Three benefits of higher income in the fixed income universe
Introduction: 2023 Global Sovereign Markets Outlook
Sovereign portfolios across different scenarios
Outlooks for asset classes and Q&A
Asset class correlations, Summary and closing remarks
2021 modules
2021 modules
Lower forever: Implications and challenges for sovereign institutions
Fixed Income Overview
Fixed Income Strategies & Solutions
Currency management for alpha generation
Central banks and SWFs investment flows into Chinese capital markets
China Economic and Financial Outlook
Fixed Income Markets: The second largest in the world and still growing
Hedge Funds: An alpha opportunity
Equity Markets: When is the right time to reenter the Chinese stock market?
Summary and closing remarks
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Whether you have a question or a request, we will be happy to get in touch with you. Contact our UBS Asset Management team for more details.
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