Should the years 2018 and 2019 be seen as a period of transition or of potential crisis? The risk of inflation is probably not resurfacing, but questions about
Should the years 2018 and 2019 be seen as a period of transition or of potential crisis? The risk of inflation is probably not resurfacing, but questions about the US growth are rising. The recalibration of monetary policies is proceeding smoothly… but the divergences between the Fed and ECB / BoJ in particular, or the lack of room for manoeuvre, could become a major issue. Should we fear a new financial crisis from excesses of private debt in China, excessively low bond market rates, a potentially ‘overvalued’ US stock market, or from a ‘simple’ global repricing of risk premia?
Can the world, which has not fully emerged from the 2008 crisis, face a new one soon? The purpose of this roundtable is to address all the risk factors that threaten the global economy and to present macroeconomic and financial trends and forecasts.
Among our speakers:
Kenneth Rogoff, Thomas D. Cabot Professor of Public Policy and Professor of Economics at Harvard University & former Chief Economist at the International Monetary Fund
Nouriel Roubini, Professor of Economics at New York University’s Stern School of Business
Philippe Ithurbide, Global Head of Research and Macro Strategy at Amundi
Moderator: Adrian Dearnell, Chairman, EuroBusiness Media
(Thursday) 4:00 PM - 5:00 PM