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All Episodes

The OMFIF Podcast — 100 episodes

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Title
1

European investment grade credit in a shifting macro regime

2

The path towards women's leadership

3

Nature loss: the insurance protection blind spot

4

The emerging markets asset class amid the Middle East energy shock

5

China's flailing growth model and challenges

6

Unpacking sandboxes

7

Collapsing retail and wholesale for a universal CBDC

8

Where the risks really are in sovereign portfolios

9

Spending smarter: effective allocations in public investment

10

The imperative of debt transparency

11

Sovereigns, spreads and stability in Europe

12

Expectations and risks for the 2026 global economic outlook and beyond

13

Looking back on 10 years of the Paris agreement

14

Reimagining money: the rise and reach of stablecoins

15

Investing in outcomes: delivering more with less

16

A new generation of cash on-chain

17

Can Europe Survive?: Light at the end of the tunnel

18

Channelling climate capital to Asia and beyond

19

A new generation of financial infrastructure

20

Balancing delivery of public value with fiscal responsibility

21

What’s next for the dollar?

22

How to make public investment work

23

How public funds are addressing physical risk

24

The dollar's fight for supremacy

25

Point-of-sale integration: the hidden catalyst to CBDC adoption

26

After Liberation Day: gold, rates and currency shifts

27

The importance of privacy in capital markets

28

Driving ocean sustainability through finance

29

Navigating long-term investments amid short term volatility

30

Combatting fraud in instant payments systems

31

Tokenisation: an engine for convergence

32

Will the dollar remain king?

33

CBDC plans energised by stablecoin momentum

34

Trade, investment and their impact on sustainability

35

How political shifts are reshaping sovereign investment strategies

36

Unified ledgers: opportunities and legal challenges

37

Turning women’s entrepreneurial potential into economic opportunity

38

Tokenisation: a new model for collaboration

39

From plans to impactful strategies transforming transition finance

40

From petrodollar to petroyuan?

41

Risks and opportunities for investment grade credit in 2025

42

Behind the post-election crypto bump

43

Why governments should embrace technology

44

Transitioning global public funds – strategies, barriers and opportunities

45

Breaking down wholesale CBDC developments with G+D

46

Examining the changing landscape of digital assets with R3

47

The Draghi report: key messages for Europe’s economy

48

Evolution of sustainable government debt issuance

49

The status of stablecoins

50

Meeting the need for offline digital payments

51

Trump and Harris' 'meaningfully different' economic positions

52

Advancing financial inclusion in the Middle East and Africa

53

Emerging markets debt: trends opportunities and risks

54

Despite the odds: Ukraine’s economic reform progress

55

Entering a new paradigm in central bank reserve management

56

AI: a double-edged weapon in payments fraud

57

Building a thriving CBDC ecosystem

58

Economic implications after the European Parliament election

59

The path to unified ledgers

60

Sustainability-linked bonds: innovations in green finance

61

Robert Stheeman: 20 years of managing UK government debt

62

Indicators and policies to drive gender balance in financial institutions

63

Microsoft's vision for responsible AI in the public sector

64

Using better measures to inform public spending

65

Financial stability outlook: risks and resilience

66

Taking stock: financial market integration in Europe

67

US dollar dominance: Is there no alternative?

68

Geopolitical risks: What’s at stake for investors?

69

Greece’s landmark debt restructuring – What happened and why it matters

70

The history of dollar dominance and weaponisation

71

Pre-validation: combatting fraud and minimising errors in payments

72

Analysing Romania’s landmark debut green bond

73

Why gender equality in financial institutions is macro-critical

74

Global public investor outlook 2024: Another ‘rollercoaster’ year?

75

Safeguarding the future: why organisations need ESG data

76

Next steps for the EU’s evolution in bond markets

77

Argentina's sovereign debt litigation disaster

78

Risk, policy and investment models for transition finance

79

Establishing a new framework for international climate finance

80

Navigating the new norm: the long-term outlook for inflation and implications for investors

81

Unlocking the benefits of smart contracts for retail CBDCs

82

The International Monetary Fund’s role in Ukraine’s economy and financing

83

Improving grant delivery and management for emergency responses

84

Enhancing retail government bond programmes to improve diversification

85

How European DMOs are embracing the return of retail investors

86

Investment needs for the energy transition

87

From conception to implementation: the CBDC journey

88

Maintaining liquidity in times of crisis

89

The rise of gold as a central bank reserve asset

90

In conversation with the ministry of finance: growth prospects for the Hungarian economy

91

In conversation with Barnabás Virág: growth prospects for the Hungarian economy

92

The building blocks for accessing crypto

93

The state of Europe: interest rates, inflation and recession risks

94

Banco Central de Chile’s approach to improving gender balance

95

How Microsoft is preparing for artificial intelligence in the global economy

96

Digital remittances and the power of choice

97

GPI 2023: The challenges and responses from Africa’s reserve managers

98

HKMA explores tokenisation with green bond experiment

99

Central banks in the digital age: harnessing data

100

Pushing for transparency in transition finance