Amidst broad geopolitical tension, exponential growth of artificial intelligence, the impending turbulence of an election season, and lingering uncertainty of interest rates, the asset management industry finds itself navigating a series of unknowns. In the face of this, prudent managers must adapt their strategies to capitalize on emerging trends and opportunities. Where in the world can managers find long-term opportunity? How disruptive will AI be, and what will its effects be? What investment strategies are managers employing to address the uncertainty of interest rates?