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The COVID-19 pandemic and rising global conflict have affected the economy, investment strategies, regulatory environment, and, consequently, client value sentiments. Amidst high volatility and rapidly changing market conditions, asset managers can no longer afford to take a backseat as they chase more stable sources of long-term capital. How are they using new digital infrastructures and investment data to their advantage? What is the next phase of private market democratization? With greater global emphasis on climate risks, will the industry further incorporate sustainability as a metric?