The OMFIF Podcast

A podcast by OMFIF

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244 Episodes

  1. Using better measures to inform public spending

    Published: 5/28/2024
  2. Financial stability outlook: risks and resilience

    Published: 5/7/2024
  3. Taking stock: financial market integration in Europe

    Published: 5/3/2024
  4. US dollar dominance: Is there no alternative?

    Published: 4/30/2024
  5. Geopolitical risks: What’s at stake for investors?

    Published: 4/25/2024
  6. Greece’s landmark debt restructuring – What happened and why it matters

    Published: 4/18/2024
  7. The history of dollar dominance and weaponisation

    Published: 4/18/2024
  8. Pre-validation: combatting fraud and minimising errors in payments

    Published: 3/19/2024
  9. Analysing Romania’s landmark debut green bond

    Published: 3/14/2024
  10. Why gender equality in financial institutions is macro-critical

    Published: 3/8/2024
  11. Global public investor outlook 2024: Another ‘rollercoaster’ year?

    Published: 2/20/2024
  12. Safeguarding the future: why organisations need ESG data

    Published: 2/15/2024
  13. Next steps for the EU’s evolution in bond markets

    Published: 2/13/2024
  14. Argentina's sovereign debt litigation disaster

    Published: 1/31/2024
  15. Risk, policy and investment models for transition finance

    Published: 1/25/2024
  16. Establishing a new framework for international climate finance

    Published: 1/18/2024
  17. Navigating the new norm: the long-term outlook for inflation and implications for investors

    Published: 12/21/2023
  18. Unlocking the benefits of smart contracts for retail CBDCs

    Published: 12/14/2023
  19. The International Monetary Fund’s role in Ukraine’s economy and financing

    Published: 12/12/2023
  20. Improving grant delivery and management for emergency responses

    Published: 12/4/2023

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