Global asset managers ended 2021 on a high fueled by an economic reopening surge. While the worst of the pandemic looks to be behind us, there are new issues for investors to contend with in both the near and medium term. Do the rising rate environment and inflation increase the value proposition for active asset management? How will passive management vehicles such as ETFs fare? What information are investors using to model their decisions during geopolitical crises? Join a fascinating discussion with some of the leading figures in asset management to hear their perspectives on the market outlook.