Venue
The Westin Hotel, Singapore
The Westin Hotel, Singapore, 12 Marina View, Asia Square Tower 2, Singapore, 018961

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Event Date Wed Sep 5 HKT - Thu Sep 6 HKT (over 6 years ago)
In your timezone (EST): Wed Sep 5 12:00am - Thu Sep 6 12:00am
Location The Westin Hotel, Singapore
12 Marina View, Asia Square Tower 2, Singapore, 018961
Region APAC
Details

The two-day agenda is designed for senior decision makers charged with managing national balance sheets at central banks and sovereign wealth funds to discuss unique investment challenges and solutions to optimise portfolio returns.

Key themes of 2018 include:

How volatility will look in a post-QE era and what is the impact on real economy?
What are the major developments sparking increasing market uncertainties and their implications to reserves managers?
How changes in capital flow trajectory are affecting portfolio allocation among sovereigns?
What asset classes might be the solutions in a low return environment?
What are sovereigns’ outlook on RMB as a reserve currency and its pace of internationalisation?
How sovereigns optimise their risk management practices as investments continue to evolve and diversify?
What constitutes an adequate level of foreign reserves? How transparent should central banks be?

Speakers

2018 Speakers

Eric Wolfe
Former Deputy Managing Director, Funds Management and Banking Department, Bank of Canada

Aniq Aziz
Director, International Markets & Investments, State Bank of Pakistan

Prisadee Jindahra
Director of Reserves Management, Bank of Thailand

Kimty Kormoly
Deputy Director General, National Bank of Cambodia

Nguyen Thi Nhung
Manager, Foreign Exchange Management Department, State Bank of Vietnam

William Oswald
Senior Vice President, Economics and Investment Strategy Department, GIC

Mark Perry
Head of Financial Markets, Reserve Bank of New Zealand

Hariyadi Ramelan
Executive Director – Reserves Management, Bank Indonesia

Pablo Sosa
Portfolio Manager, Portfolio Investments, Guardians of New Zealand Superannuation Fund

Zeno Ronald R. Abenoja
Senior Director, Department of Economic Research, Bangko Sentral ng Pilipinas

Aniq Aziz
Director, International Markets & Investment, State Bank of Pakistan

Chiragra Chakrabarty
Director, Financial Market, Reserve Management, Bank of Mauritius

Arnab Das
Global Market Strategist, Global Thought Leadership, Invesco

Jakob de Haan
Head of Research, De Nederlandsche Bank

Prisadee Jindahra
Director of Investment Management Office, Reserves Management Department, Bank of Thailand

Sangjoon Kim
Chief Operating Officer, Korea Investment Corporation

Kimty Kormoly
Deputy Director General, Head of FX Reserves Management Group, National Bank of Cambodia

Johanna Lasker
Head of Central Banks & Official Institutions, BNP Paribas Asset Management

Jae Young Lee
Group Head and Lead Economist, Surveillance (Japan, Myanmar, Philippines, Thailand), ASEAN+3 Macroeconomic Research Office (AMRO)

Chi Lo
Senior Economist, Greater China, BNP Paribas Asset Management

Nguyen Thi Nhung
Manager, Foreign Exchange Management Department, State Bank of Vietnam

William Oswald
Senior Vice President, Economics and Investment Strategy Department, GIC

Cosimo Pacciani
Chief Risk Officer, European Stability Mechanism

Mark Perry
Head of Financial Markets, Reserve Bank of New Zealand

Hariyadi Ramelan
Executive Director, Head of Reserve Management Department, Bank Indonesia

Pablo Sosa
Portfolio Manager, Portfolio Investments, Guardians of New Zealand Superannuation Fund