In today's uncertain market conditions, asset managers have the unenviable task of predicting returns for their investors and clients. Strategizing the hunt for yield across geographies and asset classes requires innovative thinking, advanced fund management, and a keen sense for aligning tested investment philosophies with current market realities. What are some of the new investment strategies asset managers are deploying? In which sectors and geographies are these strategies being deployed? What is the outlook for the investment industry as the global economy recovers from the disruptions of the last two years? Which practices remain tried and true? And what approaches need to evolve?