summaries -
Feb 2024 -
Investopia 2024 In a volatile global environment, investors grapple with geopolitical risks, emphasizing proactive risk assessment and mitigation. Sovereign wealth funds adopt longer-term horizons and diversification strategies to navigate uncertainties. Amidst shifts towards localization and sustainability, effective risk management is crucial for safeguarding reputational integrity. Despite challenges, opportunities arise in sectors like technology and renewable energy, urging investors to remain adaptable while capitalizing on emerging market potential.