In an increasingly interconnected world, geopolitical tensions have become a defining factor in market movements. From trade disputes and sanctions to conflicts and regulatory shifts, global investors must navigate an ever-evolving landscape of risks and opportunities. 

For fund selectors, understanding how these developments impact asset classes, sectors, and regional markets is crucial for building resilient portfolios. How can investors hedge against uncertainty? What strategies can help mitigate downside risk while capturing potential upside? Explore insights from industry experts on how to adapt investment strategies in the face of geopolitical uncertainty.