Current Issues in Financial Market and Reserve Management <strong>[21-23 July 2020</strong>] - Bank Sentral Republik Indonesia
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30 Oktober 2020
Description
Reserve management is a part of central bank’s monetary policy implementation in order to ensure that adequate official public sector foreign assets are readily available to and controlled by the authorities for meeting a defined range of objectives for a country or union. Recent global economic dynamics add challenges to central banks in managing their reserves. For this reason, portfolio managers need to understand recent developments of global financial market and trends in reserve management practices in order to manage reserve portfolio with optimal risk and return.
 
Main Topics
This course is designed to understand recent developments of global financial market and its implication to reserve management. Also covers recent trends and developments of international guidelines in reserve management.
 
Objectives
Upon completion of this program, participants should be able to:
1. Understand recent developments of global financial market and its implication to reserve management.
2. Understand recent trends and best practices in reserve management.
3. Utilize information on financial market developments and trends in order to analyze and manage reserves as well as formulating investment decision.
 
Target Audience
This program is designed for middle-to-senior level officials involved in reserve management process from central banks and other related regulatory authorities.
 
Date     : 21-23 July 2020
Partner: Financial Market Practitioner, Central Bank Partners, International Institutions
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