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Sovereign debt crises, uncertainty in global currency markets, fiscal debt at unprecedented levels, regulatory risk and geopolitical hot spots offer a potent cocktail of both risk and opportunity t

Sovereign debt crises, uncertainty in global currency markets, fiscal debt at unprecedented levels, regulatory risk and geopolitical hot spots offer a potent cocktail of both risk and opportunity to the institutional portfolio.

As the first global meeting, Global Macro Investing & Geopolitical Risk Forum has assembled the best informed and most brilliant thinkers to help you navigate successfully both the risks and opportunities of 2010 and beyond.

You will hear fresh intelligence on the most important issues impacting financial markets today:
• Prospects for a global economic recovery
• Fiscal sustainability of the developed world
• Investment impact of central bank policy
• Prospect for Yuan appreciation or devaluation
• Outcome of regulatory reform on markets and global
capital flows
• Tension between inflationary and deflationary pressures
• Outcome of the midterm elections
• How fiscal tensions will be managed within the Eurozone
• Who is winning the war to secure their own energy supplies for the remainder of the 21st century
• Prospects for war in the Middle East
• Growth of state capitalism

All will be addressed by carefully selected global thought-leaders