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Publication launch
Mar 2, 2026
2:30 PM
4:00 PM
Consumer Finance Risk Monitor 2026
Consumers of financial products and services experience a fast-evolving and complex landscape. The rise in financial scams and frauds poses material threats to consumer confidence and financial...
Publication launch
Mar 4, 2026
1:00 PM
1:35 PM
Launch of the OECD Global Debt Report 2026
Global debt markets face increasing pressures from sustained fiscal deficits, rising interest costs and investment needs, a structural decline in long-term demand, and growing refinancing risks as...
Roundtable on Global Financial Markets: The Mounting Debt Challenge
Mar 4, 2026
1:40 PM
2:00 PM
Dialogue with Governor Villeroy de Galhau
Henry Curr, Economics Editor at The Economist, will interview François Villeroy de Galhau, Governor of the Banque de France.
Roundtable on Global Financial Markets: The Mounting Debt Challenge
Mar 4, 2026
2:00 PM
3:15 PM
Roundtable Session 1: Sovereign Bonds in Advanced Economies: Who Will Buy Them and at What Price?
Sovereign bond markets continued to be impacted by rising issuance volumes in 2025, with a growing role for more price-sensitive investors. Both leveraged funds and foreign entities are now the...
Roundtable on Global Financial Markets: The Mounting Debt Challenge
Mar 4, 2026
3:30 PM
4:45 PM
Roundtable Session 2: Global Corporate Debt Markets: Adjusting to a New Reality
Up until the inflation shock of 2022, corporate debt had seen sustained growth around the world for two decades on the back of exceptionally accommodative financial conditions. While inflation has...
Roundtable on Global Financial Markets: The Mounting Debt Challenge
Mar 4, 2026
4:45 PM
5:45 PM
Roundtable Session 3: EMDE Sovereign Debt Markets: Closing the Gap
Many EMDE sovereign bond markets performed strongly in 2025. Local bond markets proved resilient, whilst the spreads on foreign currency bonds tightened to near all-time lows. Many issuers have...
Publication launch
Mar 5, 2026
9:30 AM
11:00 AM
Financial Protection Against Catastrophic Risks: Floods, Fires and Other Major Risks
Large-scale catastrophe risks, such as natural hazards, cyber attacks and infectious disease outbreaks, can lead to devastating financial consequences for individuals, households and businesses...
Publication launch
Mar 5, 2026
2:00 PM
3:00 PM
Stronger Financial Markets and Institutions for Ukraine’s Recovery
Ukraine’s financial system and corporate sector have remained resilient in the face of extraordinary challenges. Russia’s war of aggression has imposed immense human and economic costs, yet...