The asset management industry remains resilient and robust through two years of pandemic turmoil, however there are increased headwinds in the markets and macroeconomy. Many of the winning investments of 2020 and 2021 are facing challenges in 2022 and asset managers have to continue to remain nimble in the search for alpha. Which types of firms are best positioned to capitalize on future trends and how are they adapting to meet the needs of investors? Which asset classes hold the most promise and what innovations in the financial markets will prove the most disruptive to the status quo? How can asset managers form an alignment of interests with asset owners to their mutual benefit?