
International Capital Market Association (ICMA) Podcast Channel
Episodes

Sep 25, 2020
Sep 25, 2020
53 min
Arunma Oteh, Academic Scholar at the University of Oxford and former Treasurer & Vice President of the World Bank speaks to ICMA about her view of today’s financial markets, including the rise of sustainable finance and role of technology, the importance of diversity, the potential of capital markets to make a positive impact on the world’s problems and the game changing opportunities that are open to us in the industry.

Sep 25, 2020
Sep 25, 2020
38 min
Stéphane Janin, Vice-Chair of ICMA’s Asset Management & Investors Council and Head of Global Regulatory Development at AXA IM, reviews the short-term impact of the COVID-19 crisis from a supervision and regulatory perspective and outlines the medium to long-term impact of the pandemic on policy developments including on sustainable finance, financial stability and capital markets.

Sep 25, 2020
Sep 25, 2020
29 min
Robert Parker, Chair of ICMA's Asset Management and Investors Council, reviews the market events of the last two weeks, in light of the increase in global coronavirus cases, recent economic data and investor positioning.

Sep 24, 2020
Sep 24, 2020
27 min
Leland Goss, ICMA General Counsel and Starla Griffin of Slaney Advisors talk about the benefits of government bonds where the interest and principal are linked to a country’s GDP, adjusting the burden of debt repayment in line with the sovereign’s ability to pay and reducing the risk of sovereign debt crises and defaults in a recession. How are these instruments designed? And, in the wake of the pandemic, will GDP-linked bonds provide support for economies as they navigate rising debt burdens and transition to sustainable growth? ‘Term sheet’ for GDP-Linked bonds.

Sep 24, 2020
Sep 24, 2020
26 min
Dane Kramberger, Head of Workplace Wellbeing Services at UK mental health charity MIND, talks to ICMA about his work and experiences and how resilience is taking a hit during the pandemic. He offers some practical ideas on how to regain a sense of control, including being aware of where your news comes from and planning how to spend non-working time. Also, how can managers best support their teams and should everyone have a wellness action plan? More here mind.org.uk

Sep 10, 2020
Sep 10, 2020
29 min
Paul Richards, ICMA’s Head of Market Practice and Regulatory Policy, provides an update on the issues that arise at the end of the post-Brexit transition period, both for market firms based in the EU and in the UK, covering: the loss of passporting rights; market access; regulatory equivalence; cliff-edge risks; the need for regulatory and supervisory cooperation; and the state of market preparations.

Sep 10, 2020
Sep 10, 2020
28 min
Robert Parker, Chair of ICMA's Asset Management and Investors Council, reviews the market events of the last two weeks, in light of the recent Tech sell-off, central banks meetings in September and political risks lying ahead (Brexit, US elections, and China-US tensions).

Aug 26, 2020
Aug 26, 2020
23 min
Chetan Tolia, Head of Digital Business Transformation at UBS Investment Bank, talks to Martin Scheck, ICMA Chief Executive about unlearning the past and relearning to reinvent the business model and create a radical future, and how COVID-19 has forced us all to do this on a wider scale. The momentum building in tokenisation and the role of regulators, major developments in market infrastructure and the challenges of managing change and innovation in a large institution all feature in the discussion.

Aug 20, 2020
Aug 20, 2020
28 min
Robert Parker, Chair of ICMA's Asset Management and Investors Council, decipher the market events of the last two weeks, in light of the S&P 500 new record high, the recent dollar weakness, central banks' policy outlook and institutional investors' positioning.

Aug 18, 2020
Aug 18, 2020
30 min
Mr. Kun Hu, General Manager of Investment Banking and Asset Management at Bank of China talks to ICMA’s Chief Executive Martin Scheck about the prospects for further internationalisation of China’s capital markets, the issuance of COVID-19 themed bonds in the interbank market, international investment in onshore Chinese bond markets and opportunities for issuers in the Panda bond market.
